Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
快手-W
01024
5
阿里巴巴-W
09988
| (Q2)2025/08/31 | (Q1)2025/05/31 | (FY)2025/02/28 | (Q4)2025/02/28 | (Q3)2024/11/30 | (Q2)2024/08/31 | (Q1)2024/05/31 | (FY)2024/02/29 | (Q4)2024/02/29 | (Q3)2023/11/30 | |
|---|---|---|---|---|---|---|---|---|---|---|
| 經營活動現金流量(間接法) | ||||||||||
| 經營活動產生的現金 | 134.00%73萬 | -283.70%-595.2萬 | 144.12%924.98萬 | 266.59%588.38萬 | -37.00%227.3萬 | -327.69%-214.7萬 | 451.41%324萬 | -32.62%378.9萬 | 6.20%160.5萬 | 180.12%360.8萬 |
| 扣除非現金調整前淨利潤 | -86.65%12.6萬 | -64.29%19.5萬 | -13.72%270.26萬 | 85.13%93.16萬 | -43.57%28.1萬 | 92.65%94.4萬 | -66.73%54.6萬 | -61.72%313.22萬 | -78.20%50.32萬 | -69.07%49.8萬 |
| 非現金項目調整總額 | -46.22%51.2萬 | 47.68%82.7萬 | 18.54%289.22萬 | 298.51%96.02萬 | -16.00%42萬 | -14.39%95.2萬 | -4.60%56萬 | -1.75%244萬 | -69.28%24.1萬 | 32.98%50萬 |
| -折舊與攤銷 | 5.16%59.1萬 | 3.47%56.6萬 | 10.54%214.14萬 | 144.28%49.14萬 | -9.38%54.1萬 | -1.92%56.2萬 | -3.36%54.7萬 | -9.31%193.72萬 | -52.66%20.12萬 | 1.19%59.7萬 |
| -在損益中確認的減值損失回撥 | --0 | --0 | 1,136.44%60.05萬 | 1,134.38%59.95萬 | --0 | --0 | --1,000 | --4.86萬 | --4.86萬 | --0 |
| -處置利潤 | -2,218.18%-23.3萬 | -133.33%-7,000 | 241.52%27.11萬 | 1,349.01%10.71萬 | 252.94%15.6萬 | 106.83%1.1萬 | -103.75%-3,000 | -238.29%-19.16萬 | -103.23%-8,577 | 52.78%-10.2萬 |
| -匯兌損益淨額 | -98.68%4,000 | 2,428.57%17.7萬 | 54.54%6.47萬 | -118.92%-2.23萬 | -3,085.71%-22.3萬 | 877.42%30.3萬 | 107.00%7,000 | 290.45%4.19萬 | 2.48%11.79萬 | 94.62%-7,000 |
| -其他非現金項目 | 97.37%15萬 | 1,037.50%9.1萬 | -130.70%-18.54萬 | -82.49%-21.54萬 | -550.00%-5.4萬 | -88.64%7.6萬 | -80.49%8,000 | 161.57%60.39萬 | -459.39%-11.81萬 | -90.91%1.2萬 |
| 營運資本變動 | 102.28%9.2萬 | -426.80%-697.4萬 | 304.97%365.49萬 | 363.74%399.19萬 | -39.77%157.2萬 | -92.16%-404.3萬 | 167.75%213.4萬 | 64.64%-178.32萬 | 154.41%86.08萬 | 473.93%261萬 |
| -應收款(增)減 | 150.28%62.7萬 | -228.28%-436.4萬 | 510.12%446.07萬 | 112.15%23.67萬 | 65.52%206.9萬 | -141.20%-124.7萬 | 199.56%340.2萬 | 55.44%-108.76萬 | -253.55%-194.76萬 | 187.66%125萬 |
| -存貨(增)減 | -139.30%-49.4萬 | -17.15%-280.8萬 | 52.97%-110.95萬 | -199.08%-91.15萬 | -13.89%94.2萬 | 141.57%125.7萬 | -77.69%-239.7萬 | -232.31%-235.91萬 | 1,293.87%91.99萬 | -55.65%109.4萬 |
| -應付款(減)增 | 98.99%-4.1萬 | -82.46%19.8萬 | -81.74%30.38萬 | 147.11%466.68萬 | -640.98%-143.9萬 | -92.36%-405.3萬 | -30.14%112.9萬 | 137.93%166.35萬 | 168.09%188.85萬 | 115.30%26.6萬 |
| 已付股息(經營活動產生的現金流) | ||||||||||
| 已收到的股息(經營活動產生的現金流) | ||||||||||
| 已付利息(經營活動產生的現金流) | 0 | |||||||||
| 已收到的利息(經營活動產生的現金流) | -39.81%6.5萬 | -62.13%6.4萬 | -5.00%60.87萬 | -64.22%8.47萬 | 46.15%24.7萬 | -25.00%10.8萬 | 85.71%16.9萬 | 76.09%64.07萬 | 92.69%23.67萬 | 138.03%16.9萬 |
| 已支付退稅 | -249.69%-23.8萬 | -24.68%-28.8萬 | 42.37%-91.65萬 | -55.36%-37.35萬 | 42.56%-47.1萬 | 181.12%15.9萬 | 30.84%-23.1萬 | -10.07%-159.04萬 | 40.34%-24.04萬 | -102.47%-82萬 |
| 其他經營現金流入(流出) | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
| 經營活動現金淨額 | 129.63%55.7萬 | -294.34%-617.6萬 | 214.94%894.2萬 | 249.40%559.5萬 | -30.71%204.9萬 | -239.35%-188萬 | 372.79%317.8萬 | -37.49%283.93萬 | -7.12%160.13萬 | 293.74%295.7萬 |
| 投資活動現金流量 | ||||||||||
| 物業、廠房及設備交易淨額 | -14,045.83%-1,018.5萬 | -8,900.00%-72萬 | -236.45%-494.82萬 | -443.32%-222.92萬 | -60.91%-263.9萬 | 84.81%-7.2萬 | -33.33%-8,000 | -52.05%-147.07萬 | 502.62%64.93萬 | -5,366.67%-164萬 |
| 無形資產交易淨額 | ---- | ---- | ---351.24萬 | 99.86%-388 | ---- | ---- | ---- | --0 | 67.43%-28.1萬 | ---- |
| 已收到的股息(投資活動產生的現金流) | ---- | ---- | --0 | ---- | ---- | ---- | ---- | --0 | ---- | ---- |
| 投資活動現金淨額 | -14,045.83%-1,018.5萬 | -8,900.00%-72萬 | -475.28%-846.06萬 | -705.35%-222.96萬 | -304.67%-615.1萬 | 77.00%-7.2萬 | -33.33%-8,000 | 34.95%-147.07萬 | 135.97%36.83萬 | -229.72%-152萬 |
| 融資活動現金流量 | ||||||||||
| 債務發行/償還的淨額 | 523.76%1,372.9萬 | 759.38%110萬 | -125.09%-72.6萬 | -80.41%-134.8萬 | 12.37%-170.7萬 | -16.09%220.1萬 | -95.68%12.8萬 | 2,248.20%289.38萬 | 1.26%-74.72萬 | -37.67%-194.8萬 |
| 普通股發行/回購的淨額 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 | ---- | ---- |
| 租賃融資增減 | 14.66%-19.8萬 | 21.14%-19.4萬 | 17.39%-90.02萬 | 21.47%-19.22萬 | 36.64%-23萬 | 2.11%-23.2萬 | -0.41%-24.6萬 | 4.64%-108.97萬 | 24.42%-24.47萬 | -53.81%-36.3萬 |
| 發行費用 | ---- | ---- | --0 | --0 | --0 | ---- | ---- | -434.11%-65.73萬 | ---1.83萬 | --0 |
| 已支付現金股息 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -2.29%-179.01萬 | ---129 | --0 |
| 已付利息(籌資活動產生的現金流) | -15.20%-23.5萬 | 11.17%-17.5萬 | -9.78%-82.07萬 | 4.42%-19.17萬 | -13.43%-22.8萬 | -5.15%-20.4萬 | -29.61%-19.7萬 | -30.77%-74.76萬 | ---20.06萬 | ---20.1萬 |
| 其他籌資費用淨額 | ---- | ---- | 55.67%-3.71萬 | 39.14%-3.51萬 | --0 | ---- | ---- | -104.33%-8.36萬 | -102.95%-5.76萬 | --0 |
| 融資活動現金淨額 | 730.80%1,464.7萬 | 332.06%73.1萬 | -68.46%-248.39萬 | -39.29%-176.69萬 | 13.81%-216.5萬 | 770.34%176.3萬 | -112.26%-31.5萬 | -126.45%-147.45萬 | -116.81%-126.85萬 | -52.15%-251.2萬 |
| 現金淨流量 | ||||||||||
| 期初現金流 | -47.70%1,237.4萬 | -10.07%1,871.6萬 | -0.56%2,081.07萬 | -15.22%1,712.3萬 | 8.94%2,316.7萬 | 5.50%2,365.9萬 | -0.56%2,081.1萬 | 60.19%2,092.74萬 | 36.37%2,019.6萬 | 32.57%2,126.5萬 |
| 現金變動 | 2,755.56%501.9萬 | -315.94%-616.5萬 | -1,791.33%-200.25萬 | 127.99%159.85萬 | -482.98%-626.7萬 | 83.27%-18.9萬 | 104.22%285.5萬 | -101.35%-10.59萬 | -91.50%70.11萬 | 21.01%-107.5萬 |
| 匯率變動影響 | 98.68%-4,000 | -2,428.57%-17.7萬 | -748.88%-9.18萬 | 94.51%-4,764 | 3,085.71%22.3萬 | -877.42%-30.3萬 | -107.00%-7,000 | -273.02%-1.08萬 | 33.61%-8.68萬 | -94.62%7,000 |
| 期末現金 | -24.94%1,738.9萬 | -47.70%1,237.4萬 | -10.06%1,871.64萬 | -10.06%1,871.64萬 | -15.22%1,712.3萬 | 8.94%2,316.7萬 | 5.50%2,365.9萬 | -0.56%2,081.07萬 | -0.56%2,081.07萬 | 36.37%2,019.6萬 |
| 自由現金流 | -405.53%-986.8萬 | -317.54%-689.6萬 | -92.99%8.43萬 | 42.95%321.73萬 | -477.69%-435.1萬 | -89.88%-195.2萬 | 370.71%317萬 | -47.24%120.36萬 | 221.47%225.06萬 | 297.24%115.2萬 |
| 會計準則 | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP |
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。