Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
百度集團-SW
09888
5
京東健康
06618
| (Q6)2025/09/30 | (FY)2025/03/31 | (Q6)2024/09/30 | (FY)2024/03/31 | (Q6)2023/09/30 | (FY)2023/03/31 | (Q6)2022/09/30 | (FY)2022/03/31 | (Q6)2021/09/30 | (FY)2021/03/31 | |
|---|---|---|---|---|---|---|---|---|---|---|
| 資產 | ||||||||||
| 流動資產 | ||||||||||
| 存貨 | -16.86%2,091.3萬 | -12.53%1,905.7萬 | 16.30%2,515.3萬 | 22.35%2,178.7萬 | 7.09%2,162.8萬 | 17.94%1,780.7萬 | 26.45%2,019.7萬 | 4.52%1,509.8萬 | -9.26%1,597.2萬 | -15.03%1,444.5萬 |
| 應收賬款 | 12.64%4,020萬 | 1.90%3,260.6萬 | -2.06%3,569萬 | 7.20%3,199.7萬 | 85.89%3,644.2萬 | 59.70%2,984.7萬 | 7.67%1,960.4萬 | -17.35%1,868.9萬 | 34.53%1,820.8萬 | 41.08%2,261.3萬 |
| 預繳及應收稅項 | ---- | ---- | ---- | ---- | ---- | ---- | 0.00%175萬 | 0.00%175萬 | -64.64%175萬 | -66.06%175萬 |
| 現金及等價物 | 3.24%8,261.9萬 | 12.71%7,872.3萬 | 64.85%8,003萬 | 70.17%6,984.4萬 | 25.14%4,854.7萬 | -26.91%4,104.4萬 | -54.49%3,879.4萬 | -6.39%5,615.6萬 | 34.11%8,523.9萬 | 9.20%5,998.7萬 |
| 定期存款-流動資產 | 246.13%1,862.2萬 | 81.15%999.6萬 | -57.91%538萬 | -24.50%551.8萬 | -72.97%1,278.3萬 | -81.33%730.9萬 | 164.70%4,728.9萬 | -3.34%3,914.4萬 | -70.14%1,786.5萬 | -31.55%4,049.5萬 |
| 流動資產合計 | 11.01%1.62億 | 8.70%1.4億 | 22.49%1.46億 | 34.52%1.29億 | -6.45%1.19億 | -26.62%9,600.7萬 | -8.20%1.28億 | -6.07%1.31億 | -12.82%1.39億 | -8.53%1.39億 |
| 非流動資產 | ||||||||||
| 物業廠房及設備 | -3.89%5,639.6萬 | -3.25%5,733.7萬 | -2.75%5,867.9萬 | -3.82%5,926.3萬 | 134.99%6,033.7萬 | 131.94%6,161.8萬 | -2.25%2,567.6萬 | -2.49%2,656.6萬 | -6.73%2,626.8萬 | -6.84%2,724.3萬 |
| 投資物業 | -8.05%911.4萬 | -4.51%945.2萬 | 42.52%991.2萬 | 421.22%989.8萬 | 292.27%695.5萬 | --189.9萬 | --177.3萬 | ---- | ---- | ---- |
| 預付款項 | ---- | ---- | ---- | ---- | -80.48%291.2萬 | -52.15%893.4萬 | -26.05%1,491.7萬 | 4.59%1,867.2萬 | 354.96%2,017.3萬 | 333.43%1,785.3萬 |
| 遞延稅項資產 | -22.88%68.1萬 | -18.66%68萬 | 4.50%88.3萬 | -78.55%83.6萬 | -79.63%84.5萬 | 2.44%389.7萬 | 254.92%414.9萬 | 246.45%380.4萬 | 50.64%116.9萬 | 53.78%109.8萬 |
| 非流動資產合計 | -1.54%8,647.9萬 | -1.95%8,791.5萬 | -3.14%8,783萬 | -4.00%8,966.5萬 | 35.72%9,067.8萬 | 38.93%9,340.5萬 | 6.95%6,681.2萬 | 6.92%6,723.4萬 | 8.80%6,246.9萬 | 0.76%6,288.1萬 |
| 總資產 | 6.30%2.49億 | 4.34%2.28億 | 11.43%2.34億 | 15.52%2.19億 | 8.04%2.1億 | -4.37%1.89億 | -3.50%1.94億 | -2.03%1.98億 | -7.10%2.02億 | -5.83%2.02億 |
| 負債 | ||||||||||
| 流動負債 | ||||||||||
| 應付帳款 | -2.28%1,497.9萬 | 4.56%1,433.7萬 | -0.85%1,532.8萬 | 12.38%1,371.2萬 | 36.89%1,546萬 | -8.90%1,220.2萬 | -6.82%1,129.4萬 | 34.10%1,339.4萬 | -5.85%1,212.1萬 | 12.44%998.8萬 |
| 應付稅項 | -51.84%292.5萬 | -83.55%78.4萬 | 174.35%607.4萬 | 244.93%476.7萬 | 168.04%221.4萬 | 35.49%138.2萬 | 6.86%82.6萬 | 4.72%102萬 | -26.66%77.3萬 | -41.64%97.4萬 |
| 應付股利 | 0.03%1,525.7萬 | 41.67%1.7萬 | 99.90%1,525.2萬 | 20.00%1.2萬 | 0.01%763萬 | 11.11%1萬 | 0.03%762.9萬 | -84.21%9,000 | 0.00%762.7萬 | 714.29%5.7萬 |
| 銀行貸款及透支 | -19.25%183.7萬 | -17.26%205.7萬 | -15.55%227.5萬 | -14.22%248.6萬 | --269.4萬 | --289.8萬 | ---- | ---- | ---- | ---- |
| 撥備-流動負債 | 116.87%72萬 | 85.90%69.9萬 | 42.49%33.2萬 | -34.95%37.6萬 | -23.36%23.3萬 | 13.33%57.8萬 | -44.22%30.4萬 | 30.10%51萬 | 63.66%54.5萬 | 17.37%39.2萬 |
| 融資租賃負債-流動負債 | 0.33%1,123.8萬 | 13.69%1,168.1萬 | 15.63%1,120.1萬 | 13.30%1,027.4萬 | -9.96%968.7萬 | -14.29%906.8萬 | 7.87%1,075.9萬 | -2.53%1,058萬 | -18.26%997.4萬 | -16.32%1,085.5萬 |
| 流動負債合計 | -6.95%4,695.6萬 | -6.49%2,957.5萬 | 33.08%5,046.2萬 | 21.00%3,162.7萬 | 23.06%3,791.8萬 | 2.45%2,613.8萬 | -0.73%3,081.2萬 | 14.58%2,551.3萬 | -8.95%3,104萬 | -6.70%2,226.6萬 |
| 淨流動資產 | 20.47%1.15億 | 13.63%1.11億 | 17.56%9,579.1萬 | 39.57%9,751.9萬 | -15.84%8,148.2萬 | -33.66%6,986.9萬 | -10.35%9,682.2萬 | -10.00%1.05億 | -13.88%1.08億 | -8.87%1.17億 |
| 總資產減流動負債 | 9.94%2.02億 | 6.16%1.99億 | 6.66%1.84億 | 14.64%1.87億 | 5.21%1.72億 | -5.38%1.63億 | -4.01%1.64億 | -4.08%1.73億 | -6.75%1.7億 | -5.72%1.8億 |
| 非流動負債 | ||||||||||
| 融資租賃負債-非流動負債 | 37.37%666.1萬 | -16.52%670.6萬 | -41.44%484.9萬 | 20.42%803.3萬 | 17.63%828萬 | 26.08%667.1萬 | 125.90%703.9萬 | 62.35%529.1萬 | -47.74%311.6萬 | -62.87%325.9萬 |
| 撥備-非流動負債 | -29.36%78.9萬 | -13.92%81萬 | 3.04%111.7萬 | 73.30%94.1萬 | 19.51%108.4萬 | -22.65%54.3萬 | 239.70%90.7萬 | 67.54%70.2萬 | -44.26%26.7萬 | 11.14%41.9萬 |
| 非流動負債合計 | 24.87%745萬 | -16.25%751.6萬 | -36.29%596.6萬 | 24.40%897.4萬 | 17.85%936.4萬 | 20.37%721.4萬 | 134.88%794.6萬 | 62.94%599.3萬 | -47.48%338.3萬 | -59.83%367.8萬 |
| 總負債 | -3.58%5,440.6萬 | -8.65%3,709.1萬 | 19.34%5,642.8萬 | 21.73%4,060.1萬 | 21.99%4,728.2萬 | 5.86%3,335.2萬 | 12.59%3,875.8萬 | 21.44%3,150.6萬 | -15.07%3,442.3萬 | -21.43%2,594.4萬 |
| 總資產減總負債 | 9.44%1.94億 | 7.29%1.91億 | 9.13%1.78億 | 14.19%1.78億 | 4.57%1.63億 | -6.31%1.56億 | -6.82%1.56億 | -5.48%1.67億 | -5.27%1.67億 | -2.99%1.76億 |
| 總權益及非流動負債 | 9.94%2.02億 | 6.16%1.99億 | 6.66%1.84億 | 14.64%1.87億 | 5.21%1.72億 | -5.38%1.63億 | -4.01%1.64億 | -4.08%1.73億 | -6.75%1.7億 | -5.72%1.8億 |
| 權益 | ||||||||||
| 股本 | 0.00%762萬 | 0.00%762萬 | 0.00%762萬 | 0.00%762萬 | 0.00%762萬 | 0.00%762萬 | 0.00%762萬 | 0.00%762萬 | 0.00%762萬 | 0.00%762萬 |
| 儲備 | 9.86%1.87億 | 7.62%1.84億 | 9.58%1.7億 | 14.92%1.71億 | 4.80%1.55億 | -6.61%1.48億 | -7.14%1.48億 | -5.73%1.59億 | -5.50%1.59億 | -3.13%1.69億 |
| 股東權益 | 9.44%1.94億 | 7.29%1.91億 | 9.13%1.78億 | 14.19%1.78億 | 4.57%1.63億 | -6.31%1.56億 | -6.82%1.56億 | -5.48%1.67億 | -5.27%1.67億 | -2.99%1.76億 |
| 總權益 | 9.44%1.94億 | 7.29%1.91億 | 9.13%1.78億 | 14.19%1.78億 | 4.57%1.63億 | -6.31%1.56億 | -6.82%1.56億 | -5.48%1.67億 | -5.27%1.67億 | -2.99%1.76億 |
| 總權益及總負債 | 6.30%2.49億 | 4.34%2.28億 | 11.43%2.34億 | 15.52%2.19億 | 8.04%2.1億 | -4.37%1.89億 | -3.50%1.94億 | -2.03%1.98億 | -7.10%2.02億 | -5.83%2.02億 |
| 貨幣單位 | 港元 | 港元 | 港元 | 港元 | 港元 | 港元 | 港元 | 港元 | 港元 | 港元 |
| 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 |
| 審計意見 | -- | 無保留意見 | -- | 無保留意見 | -- | 無保留意見 | -- | 無保留意見 | -- | 無保留意見 |
| 會計師事務所 | -- | 久安(香港)會計師事務所有限公司 | -- | 華融(香港)會計師事務所有限公司 | -- | 華融(香港)會計師事務所有限公司 | -- | 華融(香港)會計師事務所有限公司 | -- | 匯聯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。