Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
BIDU-SW
09888
5
JD HEALTH
06618
| (Q3)Sep 30, 2025 | (Q2)Jun 30, 2025 | (Q1)Mar 31, 2025 | (FY)Dec 31, 2024 | (Q4)Dec 31, 2024 | (Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | (Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Cash, cash equivalents and short term investments | --2.68M | --2.76M | --7.96M | 232.93%7.39M | 232.93%7.39M | ---- | ---- | ---- | --2.22M | --2.22M |
| -Cash and cash equivalents | --2.68M | --2.76M | --7.96M | 232.93%7.39M | 232.93%7.39M | ---- | ---- | ---- | --2.22M | --2.22M |
| Receivables | -5.67%124.69M | -10.60%137.22M | -18.51%136.16M | 3.07%139.22M | 3.07%139.22M | -41.33%132.19M | 1.29%153.5M | 8.79%167.08M | -21.09%135.07M | -21.09%135.07M |
| -Accounts receivable | 10.83%124.69M | 4.63%137.22M | 0.56%136.16M | 24.84%125.92M | 24.84%125.92M | -46.25%112.51M | -13.06%131.15M | -10.50%135.4M | -31.49%100.87M | -31.49%100.87M |
| -Due from related parties current | ---- | ---- | ---- | -5.43%5.99M | -5.43%5.99M | --5.97M | --7.78M | --6.85M | -57.29%6.33M | -57.29%6.33M |
| -Other receivables | ---- | ---- | ---- | -73.75%7.32M | -73.75%7.32M | --13.71M | --14.57M | --24.83M | 205.40%27.87M | 205.40%27.87M |
| Prepaid assets | 259.30%24.16M | 186.03%28.08M | 145.42%28.81M | -37.94%11.19M | -37.94%11.19M | -6.05%6.72M | 14.27%9.82M | 16.47%11.74M | 163.43%18.02M | 163.43%18.02M |
| Hedging assets-current | -91.50%2.29M | 7.54%5.98M | 40.83%3.4M | -52.33%20.05M | -52.33%20.05M | 2,882.95%26.94M | 372.39%5.56M | 67.71%2.42M | 596.24%42.06M | 596.24%42.06M |
| Holding assets for sale | --148.46M | --0 | --38.45M | --37.56M | --37.56M | ---- | ---- | ---- | --0 | --0 |
| Total current assets | 82.26%302.28M | 3.06%174.04M | 18.51%214.78M | 9.14%215.41M | 9.14%215.41M | -59.44%165.85M | 4.69%168.88M | 9.77%181.24M | 7.24%197.38M | 7.24%197.38M |
| Non current assets | ||||||||||
| Net PPE | -17.28%3.17B | -4.50%3.69B | -4.10%3.77B | -5.97%3.77B | -5.97%3.77B | -4.61%3.83B | -11.84%3.86B | -10.74%3.93B | -9.11%4.01B | -9.11%4.01B |
| -Gross PPE | -14.15%5.01B | 5.59%6.04B | 5.83%5.99B | 3.95%5.85B | 3.95%5.85B | 6.99%5.84B | -7.35%5.72B | -6.89%5.66B | -5.06%5.62B | -5.06%5.62B |
| -Accumulated depreciation | 8.17%-1.84B | -26.55%-2.35B | -28.54%-2.21B | -28.68%-2.07B | -28.68%-2.07B | -39.28%-2.01B | -3.59%-1.86B | -3.33%-1.72B | -6.81%-1.61B | -6.81%-1.61B |
| Financial assets | ---- | ---- | ---- | ---- | ---- | 745.03%2.89M | ---- | ---- | ---- | ---- |
| Total non current assets | -17.34%3.17B | -4.50%3.69B | -4.10%3.77B | -5.97%3.77B | -5.97%3.77B | -5.02%3.83B | -12.25%3.86B | -11.15%3.93B | -9.53%4.01B | -9.53%4.01B |
| Total assets | -13.21%3.47B | -4.18%3.86B | -3.11%3.99B | -5.26%3.99B | -5.26%3.99B | -10.02%4B | -11.65%4.03B | -10.40%4.12B | -8.86%4.21B | -8.86%4.21B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Current debt and capital lease obligation | 253.46%13.6M | 110.14%9.91M | 167.74%12.53M | -95.36%6.5M | -95.36%6.5M | -97.16%3.85M | -97.46%4.72M | -98.39%4.68M | -47.11%140.17M | -47.11%140.17M |
| -Current debt | 638.78%7.51M | 279.47%7.36M | 369.88%9.11M | -95.45%2.58M | -95.45%2.58M | -99.05%1.02M | -98.76%1.94M | -99.03%1.94M | -78.62%56.67M | -78.62%56.67M |
| -Bank in debtedness | ---- | ---- | ---- | --0 | --0 | --0 | --0 | --0 | --83.5M | --83.5M |
| -Current capital lease obligation | 115.22%6.1M | -8.14%2.55M | 24.74%3.42M | --3.92M | --3.92M | -25.10%2.83M | -26.58%2.78M | -34.28%2.74M | ---- | ---- |
| Payables | -14.89%164.8M | -8.30%137.74M | -14.68%180.26M | -0.85%199.81M | -0.85%199.81M | -8.30%193.63M | -22.19%150.21M | -12.15%211.27M | -41.39%201.53M | -41.39%201.53M |
| -accounts payable | -14.89%164.8M | -8.30%137.74M | -14.68%180.26M | -0.85%199.81M | -0.85%199.81M | -8.30%193.63M | -22.19%150.21M | -12.15%211.27M | -41.39%201.53M | -41.39%201.53M |
| Current provisions | -33.25%8.68M | -47.62%7.16M | -52.44%6.49M | -40.77%7.7M | -40.77%7.7M | -22.37%13M | 7.33%13.67M | 22.34%13.63M | 16.07%13M | 16.07%13M |
| Pension and other retirement benefit plans | 36.17%7.87M | 35.72%6.76M | -24.36%7.47M | --8.01M | --8.01M | 4.45%5.78M | -0.64%4.98M | -1.26%9.87M | ---- | ---- |
| Other current liabilities | 423.64%57.52M | -20.25%10.91M | 87.79%57.02M | 158.26%53.39M | 158.26%53.39M | -89.03%10.99M | 15.91%13.68M | 30.33%30.36M | -9.71%20.67M | -9.71%20.67M |
| Current liabilities | 11.10%252.46M | -7.89%172.47M | -2.25%263.75M | -26.63%275.4M | -26.63%275.4M | -51.54%227.24M | -54.11%187.25M | -53.14%269.82M | -41.62%375.37M | -41.62%375.37M |
| Non current liabilities | ||||||||||
| Long term debt and capital lease obligation | -4.14%722.3M | -17.61%737.78M | -17.66%785.34M | -0.83%765.39M | -0.83%765.39M | -33.99%753.48M | -23.70%895.52M | -6.74%953.78M | -17.03%771.81M | -17.03%771.81M |
| -Long term debt | -3.90%716.57M | -17.51%731.65M | -17.55%778.74M | -1.76%758.24M | -1.76%758.24M | -34.28%745.63M | -24.12%886.93M | -7.15%944.47M | -17.03%771.81M | -17.03%771.81M |
| -Long term capital lease obligation | -27.02%5.73M | -28.62%6.13M | -29.19%6.6M | --7.15M | --7.15M | 13.22%7.85M | 76.51%8.59M | 66.92%9.32M | ---- | ---- |
| Long term provisions | -18.49%127.13M | 13.40%168M | 17.03%178.47M | -2.48%172.58M | -2.48%172.58M | 3.89%155.97M | -41.71%148.15M | -40.01%152.5M | -30.27%176.97M | -30.27%176.97M |
| Employee benefits | 79.52%9.43M | 42.58%6.85M | 154.71%9.68M | --8.15M | --8.15M | 3.29%5.25M | 18.02%4.81M | 3.26%3.8M | ---- | ---- |
| Non current deferred liabilities | -26.49%361.86M | -3.76%473.42M | -5.61%471.65M | -11.46%474.12M | -11.46%474.12M | -7.68%492.27M | -12.94%491.9M | -14.63%499.68M | -10.37%535.49M | -10.37%535.49M |
| Other non current liabilities | -5.75%165.62M | 22.42%167.63M | 22.21%169.51M | -2.56%171.27M | -2.56%171.27M | 4,264.58%175.72M | 3,116.49%136.93M | 3,040.87%138.7M | 447.48%175.77M | 447.48%175.77M |
| Total non current liabilities | -12.41%1.39B | -7.37%1.55B | -7.65%1.61B | -4.13%1.59B | -4.13%1.59B | -13.70%1.58B | -16.19%1.68B | -6.52%1.75B | -8.46%1.66B | -8.46%1.66B |
| Total liabilities | -9.46%1.64B | -7.42%1.73B | -6.93%1.88B | -8.28%1.87B | -8.28%1.87B | -21.41%1.81B | -22.61%1.86B | -17.49%2.02B | -17.14%2.04B | -17.14%2.04B |
| Shareholders'equity | ||||||||||
| Share capital | -7.71%1.67B | -8.56%1.69B | -7.07%1.72B | -6.08%1.76B | -6.08%1.76B | -3.95%1.8B | -1.74%1.85B | -1.36%1.85B | 0.00%1.88B | 0.00%1.88B |
| -common stock | -7.71%1.67B | -8.56%1.69B | -7.07%1.72B | -6.08%1.76B | -6.08%1.76B | -3.95%1.8B | -1.74%1.85B | -1.36%1.85B | 0.00%1.88B | 0.00%1.88B |
| Additional paid-in capital | -32.17%20.93M | -34.32%19.51M | -32.53%20.07M | -26.83%20.82M | -26.83%20.82M | 5.10%30.85M | 1.35%29.7M | 4.59%29.74M | 3.58%28.46M | 3.58%28.46M |
| Retained earnings | -58.58%147.08M | 48.39%429.82M | 71.49%370.53M | 26.05%339.87M | 26.05%339.87M | 52.27%355.1M | 18.01%289.66M | -10.20%216.07M | 4.12%269.64M | 4.12%269.64M |
| Less: Treasury stock | -2.18%2.33M | 117.18%3.81M | 96.91%3.5M | 54.59%3.74M | 54.59%3.74M | 181.37%2.39M | -47.58%1.75M | 158.81%1.78M | -1.43%2.42M | -1.43%2.42M |
| Total stockholders'equity | -16.31%1.83B | -1.39%2.13B | 0.57%2.11B | -2.44%2.12B | -2.44%2.12B | 2.22%2.19B | 0.63%2.16B | -2.32%2.1B | 0.54%2.17B | 0.54%2.17B |
| Total equity | -16.31%1.83B | -1.39%2.13B | 0.57%2.11B | -2.44%2.12B | -2.44%2.12B | 2.22%2.19B | 0.63%2.16B | -2.32%2.1B | 0.54%2.17B | 0.54%2.17B |
| Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
| Audit Opinions | -- | -- | -- | Unqualified Opinion | -- | -- | -- | -- | Unqualified Opinion | -- |
FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.
Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.