Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
阿里巴巴-W
09988
5
京東集團-SW
09618
| (Q9)2025/09/30 | (Q6)2025/06/30 | (Q1)2025/03/31 | (FY)2024/12/31 | (Q9)2024/09/30 | (Q6)2024/06/30 | (Q1)2024/03/31 | (FY)2023/12/31 | (Q9)2023/09/30 | (Q6)2023/06/30 | |
|---|---|---|---|---|---|---|---|---|---|---|
| 經營活動產生的現金流量 | ||||||||||
| 銷售商品、提供勞務收到的現金 | -19.34%3.18億 | -24.52%1.88億 | 6.54%1.12億 | -29.61%3.5億 | -13.02%3.95億 | -7.58%2.49億 | -52.41%1.05億 | -5.78%4.97億 | -22.02%4.54億 | -29.86%2.7億 |
| 收到的稅費返還 | ---- | ---- | ---- | -94.54%6.35萬 | -99.08%1.17萬 | -99.01%1.17萬 | -38.20%1.17萬 | -60.57%116.25萬 | -65.42%127.56萬 | -49.19%118.8萬 |
| 收到其他與經營活動有關的現金 | -57.86%93.63萬 | 257.33%643.25萬 | -66.35%38.4萬 | 5,652.34%8,141.62萬 | -71.55%222.19萬 | -55.80%180.01萬 | -66.39%114.14萬 | -89.80%141.54萬 | -66.48%780.89萬 | -67.35%407.24萬 |
| 經營活動現金流入小計 | -19.55%3.19億 | -22.50%1.94億 | 5.75%1.12億 | -13.67%4.31億 | -14.24%3.97億 | -8.69%2.51億 | -52.62%1.06億 | -8.22%5億 | -23.98%4.63億 | -31.15%2.75億 |
| 購買商品、接受勞務支付的現金 | -22.33%2.4億 | -30.24%1.46億 | -12.36%8,438.31萬 | -26.82%2.81億 | -14.65%3.09億 | 9.99%2.09億 | -32.11%9,628.08萬 | 16.61%3.84億 | -24.34%3.62億 | -37.69%1.9億 |
| 支付給職工以及為職工支付的現金 | -13.77%3,206.32萬 | -3.83%2,347.55萬 | -1.70%1,226.87萬 | -1.94%5,340.2萬 | -4.94%3,718.25萬 | -4.25%2,441.16萬 | 7.93%1,248.14萬 | -29.46%5,445.71萬 | -33.92%3,911.37萬 | -38.08%2,549.56萬 |
| 支付的各項稅費 | -48.20%499.4萬 | -58.05%337.06萬 | -79.03%117.82萬 | -53.76%1,000.32萬 | -45.73%964.18萬 | -45.81%803.47萬 | -21.16%561.75萬 | -34.23%2,163.09萬 | -41.04%1,776.66萬 | -43.15%1,482.79萬 |
| 支付其他與經營活動有關的現金 | -43.31%784.14萬 | -11.97%761.77萬 | -22.02%276.88萬 | 268.54%7,522.85萬 | -40.91%1,383.26萬 | -40.27%865.32萬 | -39.61%355.07萬 | -35.68%2,041.24萬 | -12.06%2,341.1萬 | -5.98%1,448.72萬 |
| 經營活動現金流出小計 | -22.93%2.85億 | -27.92%1.8億 | -14.70%1.01億 | -12.67%4.2億 | -16.43%3.69億 | 2.16%2.5億 | -29.13%1.18億 | 1.99%4.8億 | -25.59%4.42億 | -36.84%2.45億 |
| 經營活動產生的現金流量淨額 | 25.76%3,466.07萬 | 1,925.74%1,410.95萬 | 201.47%1,180.47萬 | -38.60%1,183.83萬 | 32.13%2,756.11萬 | -97.67%69.65萬 | -120.07%-1,163.38萬 | -73.73%1,928.09萬 | 40.21%2,085.93萬 | 164.59%2,985.26萬 |
| 投資活動產生的現金流量 | ||||||||||
| 收回投資收到的現金 | ---- | ---- | ---- | 204.40%2.26億 | 204.40%2.26億 | 204.40%2.26億 | 2,499,900.00%2,500萬 | 1,852,995.00%7,412.38萬 | 2,470,693.33%7,412.38萬 | 7,412,280.00%7,412.38萬 |
| 取得投資收益收到的現金 | 166.19%1,865.87萬 | 166.19%1,865.87萬 | --1,128.35萬 | 28.31%702.81萬 | 27.97%700.95萬 | 28.19%700.95萬 | ---- | -12.50%547.75萬 | -12.50%547.75萬 | -12.65%546.8萬 |
| 處置固定資產、無形資產和其他長期資產收回的現金淨額 | 2,144.90%11萬 | 39,234.79%59萬 | ---- | -98.30%5.44萬 | -99.77%4,900 | -99.93%1,500 | ---- | -57.97%320.76萬 | -71.18%213.87萬 | -71.26%213.22萬 |
| 投資活動現金流入小計 | -91.93%1,876.87萬 | -91.73%1,924.87萬 | -54.87%1,128.35萬 | 181.03%2.33億 | 184.62%2.33億 | 184.67%2.33億 | 2,443,597.22%2,500萬 | 437.39%8,280.88萬 | 437.91%8,173.99萬 | 497.36%8,172.39萬 |
| 購建固定資產、無形資產和其他長期資產支付的現金 | 165.09%525.35萬 | 648.15%1,131.31萬 | 128.18%242.02萬 | -91.66%32.59萬 | -63.73%198.18萬 | -66.88%151.22萬 | -75.27%106.07萬 | -92.82%390.92萬 | -90.16%546.35萬 | -83.91%456.56萬 |
| 投資活動現金流出小計 | 165.09%525.35萬 | 648.15%1,131.31萬 | 128.18%242.02萬 | -91.66%32.59萬 | -63.73%198.18萬 | -66.88%151.22萬 | -75.27%106.07萬 | -92.82%390.92萬 | -90.16%546.35萬 | -83.91%456.56萬 |
| 投資活動產生的現金流量淨額 | -94.14%1,351.52萬 | -96.57%793.56萬 | -62.98%886.33萬 | 194.54%2.32億 | 202.41%2.31億 | 199.56%2.31億 | 658.21%2,393.94萬 | 302.00%7,889.97萬 | 289.03%7,627.64萬 | 624.81%7,715.83萬 |
| 籌資活動產生的現金流量 | ||||||||||
| 取得借款收到的現金 | -5.75%6.15億 | -22.16%3.69億 | 4.18%1.95億 | 15.03%8.25億 | -26.95%6.53億 | -24.03%4.74億 | -47.62%1.87億 | -24.24%7.17億 | 13.89%8.93億 | 12.42%6.24億 |
| 收到其他與籌資活動有關的現金 | -77.37%3,719.69萬 | 56.76%7,442.15萬 | 650.61%3.4億 | 145.40%11.5億 | -75.88%1.64億 | -87.21%4,747.48萬 | 113.30%4,528.42萬 | 175.59%4.69億 | 365.14%6.81億 | 155.74%3.71億 |
| 籌資活動現金流入小計 | -20.16%6.52億 | -14.98%4.44億 | 130.19%5.35億 | 66.56%19.75億 | -48.12%8.17億 | -47.58%5.22億 | -38.59%2.32億 | 6.20%11.85億 | 69.17%15.75億 | 42.10%9.95億 |
| 償還債務支付的現金 | -3.27%6.42億 | -13.80%4.22億 | 2.81%2.13億 | -18.16%8.36億 | -47.02%6.64億 | -48.54%4.9億 | -52.12%2.07億 | 9.34%10.21億 | 60.05%12.53億 | 55.52%9.52億 |
| 分配股利、利潤或償付利息支付的現金 | -12.38%2,312.6萬 | -19.99%1,516萬 | -21.21%760.98萬 | -43.38%3,457.01萬 | -29.01%2,639.21萬 | -32.02%1,894.82萬 | 12.55%965.83萬 | -6.10%6,105.46萬 | -32.07%3,717.81萬 | -35.32%2,787.17萬 |
| 支付其他與籌資活動有關的現金 | -91.48%3,229.9萬 | -88.24%2,998.75萬 | 663.93%3.01億 | 508.18%13.62億 | -8.23%3.79億 | 119.47%2.55億 | 104.63%3,946.43萬 | 13.48%2.24億 | 205.28%4.13億 | 18.18%1.16億 |
| 籌資活動現金流出小計 | -34.77%6.97億 | -38.80%4.67億 | 103.77%5.22億 | 70.88%22.33億 | -37.22%10.69億 | -30.31%7.64億 | -44.34%2.56億 | 9.18%13.06億 | 75.06%17.03億 | 45.45%10.96億 |
| 籌資活動產生的現金流量淨額 | 82.14%-4,500.42萬 | 90.20%-2,371.52萬 | 153.78%1,281.93萬 | -113.25%-2.58億 | -96.95%-2.52億 | -140.95%-2.42億 | 70.91%-2,383.84萬 | -50.62%-1.21億 | -206.63%-1.28億 | -89.74%-1億 |
| 現金及現金等價物 | ||||||||||
| 現金及現金等價物淨增加額 | -49.16%317.17萬 | 83.42%-167.01萬 | 390.36%3,348.73萬 | 39.63%-1,376.52萬 | 120.25%623.83萬 | -252.19%-1,007.06萬 | 59.20%-1,153.29萬 | 50.43%-2,280.02萬 | 54.15%-3,081.18萬 | 111.75%661.7萬 |
| 加:期初現金及現金等價物餘額 | -74.92%460.8萬 | -74.92%460.8萬 | -74.92%460.8萬 | -55.38%1,837.32萬 | -55.38%1,837.32萬 | -55.38%1,837.32萬 | -55.38%1,837.32萬 | -52.77%4,117.34萬 | -52.77%4,117.34萬 | -52.77%4,117.34萬 |
| 期末現金及現金等價物餘額 | -68.39%777.97萬 | -64.61%293.79萬 | 456.93%3,809.53萬 | -74.92%460.8萬 | 137.52%2,461.14萬 | -82.63%830.26萬 | -47.01%684.03萬 | -55.38%1,837.32萬 | -48.11%1,036.16萬 | 54.97%4,779.04萬 |
| 貨幣單位 | 人民幣 | 人民幣 | 人民幣 | 人民幣 | 人民幣 | 人民幣 | 人民幣 | 人民幣 | 人民幣 | 人民幣 |
| 會計準則 | 新會計準則(2007) | 新會計準則(2007) | 新會計準則(2007) | 新會計準則(2007) | 新會計準則(2007) | 新會計準則(2007) | 新會計準則(2007) | 新會計準則(2007) | 新會計準則(2007) | 新會計準則(2007) |
| 審計意見 | -- | -- | -- | 無保留意見 | -- | -- | -- | 無保留意見 | -- | -- |
| 會計師事務所 | -- | -- | -- | 中興財光華會計師事務所(特殊普通合夥) | -- | -- | -- | 中興財光華會計師事務所(特殊普通合夥) | -- | -- |
FY:Financial Year 年度報告,相當於上市公司向SEC披露的10-K文件。
Q:Quarter 季度報告,相當於上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4為單季報,跨度為3個月;Q6、Q9為累計季報,Q6為6個月,Q9為9個月。