Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
快手-W
01024
5
阿里巴巴-W
09988
| (Q6)2025/06/30 | (FY)2024/12/31 | (Q6)2024/06/30 | (FY)2023/12/31 | (Q6)2023/06/30 | (FY)2022/12/31 | (Q6)2022/06/30 | (FY)2021/12/31 | (Q6)2021/06/30 | (FY)2020/12/31 | |
|---|---|---|---|---|---|---|---|---|---|---|
| 資產 | ||||||||||
| 流動資產 | ||||||||||
| 存貨 | -18.17%791.5萬 | 1,925.67%986.5萬 | 444.96%967.3萬 | 11.19%48.7萬 | -7.60%177.5萬 | -88.01%43.8萬 | -86.19%192.1萬 | -73.95%365.4萬 | 165.65%1,390.7萬 | 223.98%1,402.5萬 |
| 應收賬款 | 22.74%1,758.8萬 | -42.22%1,499.3萬 | -35.83%1,432.9萬 | 104.73%2,594.7萬 | -73.68%2,233萬 | -77.16%1,267.4萬 | 6.17%8,483.8萬 | -55.13%5,549.8萬 | -28.11%7,990.4萬 | 85.76%1.24億 |
| 預繳及應收稅項 | -42.45%14.1萬 | 271.88%11.9萬 | 70.14%24.5萬 | 6.67%3.2萬 | 61.80%14.4萬 | -69.07%3萬 | --8.9萬 | 234.48%9.7萬 | ---- | 70.59%2.9萬 |
| 現金及等價物 | 3.20%3.51億 | 2.39%3.4億 | 92.60%3.4億 | 1,422.39%3.32億 | 99.38%1.77億 | 34.01%2,183.9萬 | -32.91%8,862.5萬 | 519.66%1,629.7萬 | 1,854.46%1.32億 | -37.31%263萬 |
| 按公平值入損益金融資產-流動資產 | -24.86%13.6萬 | -20.45%14萬 | -11.27%18.1萬 | -9.74%17.6萬 | -61.07%20.4萬 | -61.08%19.5萬 | 2.75%52.4萬 | -3.09%50.1萬 | -22.96%51萬 | -20.58%51.7萬 |
| 流動資產合計 | 3.36%3.77億 | -0.88%3.66億 | -0.46%3.65億 | 3.18%3.69億 | -5.46%3.66億 | 89.25%3.57億 | 35.58%3.88億 | -20.97%1.89億 | 28.82%2.86億 | 215.37%2.39億 |
| 非流動資產 | ||||||||||
| 物業廠房及設備 | 80.51%6,265.3萬 | 875.40%6,347.9萬 | 396.54%3,470.8萬 | -14.26%650.8萬 | -15.13%699萬 | -14.28%759萬 | -13.88%823.6萬 | -13.80%885.4萬 | -12.47%956.3萬 | -4.45%1,027.2萬 |
| 在建工程 | ---- | ---- | --3,066.8萬 | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| 聯營公司權益 | -18.50%208.4萬 | --195.2萬 | --255.7萬 | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| 無形資產 | ---- | ---- | -99.94%2,000 | -44.47%245.4萬 | -36.38%343.6萬 | -30.77%441.9萬 | -26.68%540.1萬 | -82.68%638.3萬 | -80.53%736.6萬 | -5.07%3,685.5萬 |
| 商譽 | -14.85%173.2萬 | --173.2萬 | --203.4萬 | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| 其他非流動資產 | ---- | ---- | --892.4萬 | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| 非流動資產合計 | -11.40%1.03億 | 606.67%1.03億 | 625.27%1.16億 | -46.56%1,463.5萬 | -11.26%1,595.1萬 | -77.62%2,738.6萬 | -16.01%1,797.5萬 | 136.88%1.22億 | -60.28%2,140.1萬 | -70.91%5,165.8萬 |
| 總資產 | -0.19%4.8億 | 22.30%4.69億 | 25.65%4.8億 | -0.36%3.83億 | -5.72%3.82億 | 23.64%3.85億 | 31.99%4.06億 | 7.08%3.11億 | 11.41%3.07億 | 14.71%2.91億 |
| 負債 | ||||||||||
| 流動負債 | ||||||||||
| 應付帳款 | 19.89%8,667.4萬 | 70.84%7,400.3萬 | 78.26%7,229.7萬 | -4.78%4,331.7萬 | -52.76%4,055.8萬 | -42.79%4,549萬 | -7.10%8,585.9萬 | -3.07%7,951.6萬 | 14.05%9,241.6萬 | 31.78%8,203.3萬 |
| 應付稅項 | -71.15%22.3萬 | -92.22%57.3萬 | -91.22%77.3萬 | -33.57%736.3萬 | -40.84%880.7萬 | 4.77%1,108.4萬 | 286.65%1,488.6萬 | 111.12%1,057.9萬 | 90.88%385萬 | 409.25%501.1萬 |
| 銀行貸款及透支 | 314.27%5,526.4萬 | 405.64%3,891.9萬 | 133.26%1,334萬 | 65.42%769.7萬 | --571.9萬 | --465.3萬 | ---- | ---- | ---- | ---- |
| 融資租賃負債-流動負債 | 159.86%73.8萬 | -7.29%73.8萬 | 5.19%28.4萬 | 194.81%79.6萬 | --27萬 | --27萬 | ---- | ---- | ---- | ---- |
| 流動負債合計 | 64.83%1.43億 | 1.64%1.14億 | 56.62%8,669.4萬 | -11.22%1.12億 | -66.01%5,535.4萬 | 40.50%1.27億 | 69.17%1.63億 | 3.51%9,009.5萬 | 15.92%9,626.6萬 | 37.66%8,704.4萬 |
| 淨流動資產 | -15.81%2.34億 | -1.99%2.51億 | -10.61%2.78億 | 11.08%2.56億 | 38.41%3.11億 | 133.72%2.31億 | 18.53%2.25億 | -35.00%9,877.2萬 | 36.53%1.9億 | 1,110.93%1.52億 |
| 總資產減流動負債 | -14.51%3.37億 | 30.87%3.55億 | 20.40%3.94億 | 4.96%2.71億 | 34.73%3.27億 | 16.77%2.58億 | 15.03%2.43億 | 8.61%2.21億 | 9.47%2.11億 | 7.08%2.04億 |
| 非流動負債 | ||||||||||
| 長期銀行貸款 | -94.86%146.5萬 | --150.7萬 | --2,850萬 | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| 融資租賃負債-非流動負債 | -1.04%76.3萬 | -1.04%76.3萬 | -26.85%77.1萬 | -26.92%77.1萬 | --105.4萬 | --105.5萬 | ---- | ---- | ---- | ---- |
| 遞延稅項負債 | -87.53%114萬 | 39.93%85.5萬 | 966.74%914.2萬 | -44.50%61.1萬 | -36.33%85.7萬 | -30.80%110.1萬 | -26.69%134.6萬 | -23.55%159.1萬 | -21.07%183.6萬 | -19.06%208.1萬 |
| 可轉換票據及債券 | ---- | ---- | ---- | ---- | --5,605.9萬 | ---- | ---- | ---- | ---- | ---- |
| 非流動負債合計 | -91.23%336.8萬 | 126.12%312.5萬 | -33.74%3,841.3萬 | -35.90%138.2萬 | 4,206.84%5,797萬 | 35.51%215.6萬 | -26.69%134.6萬 | -23.55%159.1萬 | -21.07%183.6萬 | -19.06%208.1萬 |
| 總負債 | 16.91%1.46億 | 3.15%1.17億 | 10.40%1.25億 | -11.63%1.14億 | -30.98%1.13億 | 40.42%1.29億 | 67.37%1.64億 | 2.87%9,168.6萬 | 14.91%9,810.2萬 | 35.44%8,912.5萬 |
| 總資產減總負債 | -6.22%3.33億 | 30.38%3.52億 | 32.07%3.55億 | 5.31%2.7億 | 11.46%2.69億 | 16.64%2.56億 | 15.40%2.41億 | 8.94%2.2億 | 9.84%2.09億 | 7.44%2.02億 |
| 總權益及非流動負債 | -14.51%3.37億 | 30.87%3.55億 | 20.40%3.94億 | 4.96%2.71億 | 34.73%3.27億 | 16.77%2.58億 | 15.03%2.43億 | 8.61%2.21億 | 9.47%2.11億 | 7.08%2.04億 |
| 權益 | ||||||||||
| 股本 | -96.00%142.1萬 | 18.98%3,553.4萬 | 18.97%3,552.9萬 | 0.41%2,986.5萬 | 4.42%2,986.5萬 | 3.99%2,974.2萬 | 0.00%2,860.1萬 | 0.00%2,860.1萬 | 0.00%2,860.1萬 | 0.00%2,860.1萬 |
| 儲備 | 5.04%3.05億 | 22.11%2.86億 | 26.77%2.9億 | 8.68%2.35億 | 23.09%2.29億 | 26.62%2.16億 | 12.36%1.86億 | 6.35%1.7億 | 7.93%1.65億 | 5.87%1.6億 |
| 股東權益 | -5.99%3.06億 | 21.76%3.22億 | 25.87%3.26億 | 7.68%2.64億 | 20.60%2.59億 | 23.37%2.46億 | 10.54%2.14億 | 5.39%1.99億 | 6.69%1.94億 | 4.94%1.89億 |
| 非控股權益 | -8.74%2,722.6萬 | 467.20%2,961.9萬 | 185.67%2,983.5萬 | -50.21%522.2萬 | -61.25%1,044.4萬 | -48.79%1,048.8萬 | 77.46%2,695.2萬 | 62.15%2,048萬 | 76.60%1,518.8萬 | 67.06%1,263萬 |
| 總權益 | -6.22%3.33億 | 30.38%3.52億 | 32.07%3.55億 | 5.31%2.7億 | 11.46%2.69億 | 16.64%2.56億 | 15.40%2.41億 | 8.94%2.2億 | 9.84%2.09億 | 7.44%2.02億 |
| 總權益及總負債 | -0.19%4.8億 | 22.30%4.69億 | 25.65%4.8億 | -0.36%3.83億 | -5.72%3.82億 | 23.64%3.85億 | 31.99%4.06億 | 7.08%3.11億 | 11.41%3.07億 | 14.71%2.91億 |
| 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 | 香港會計準則 | 香港會計準則 | 香港會計準則 | 香港會計準則 | 香港會計準則 | 香港會計準則 | 香港會計準則 | 香港會計準則 | 香港會計準則 | 香港會計準則 |
| 會計師事務所 | -- | 富睿瑪澤會計師事務所有限公司 | -- | 富睿瑪澤會計師事務所有限公司 | -- | 富睿瑪澤會計師事務所有限公司 | -- | 中匯安達會計師事務所有限公司 | -- | 中匯安達會計師事務所有限公司 |
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。