Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
快手-W
01024
5
京東健康
06618
| (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 | 9.41%3.3億 | 34.97%2.47億 | -10.00%7,856.03萬 | -19.17%4.04億 | -23.73%3.02億 | -38.57%1.83億 | -47.05%8,728.84萬 | -6.05%5億 | 0.41%3.96億 | 17.70%2.98億 |
| 收到的稅費返還 | -64.98%303.66萬 | -75.57%139.49萬 | -68.99%85.61萬 | -7.17%946.79萬 | 29.41%867.14萬 | 59.48%571萬 | 102.02%276.09萬 | -54.04%1,019.88萬 | -61.93%670.09萬 | -53.91%358.03萬 |
| 收到其他與經營活動有關的現金 | -51.28%586.8萬 | -42.49%337.1萬 | -40.44%182.84萬 | 26.84%1,321.02萬 | 90.83%1,204.49萬 | 43.00%586.13萬 | 65.18%307萬 | -57.06%1,041.47萬 | -53.74%631.17萬 | -68.01%409.9萬 |
| 經營活動現金流入小計 | 5.14%3.39億 | 29.39%2.52億 | -12.75%8,124.48萬 | -18.02%4.27億 | -21.09%3.23億 | -36.33%1.95億 | -44.59%9,311.94萬 | -10.03%5.2億 | -3.91%4.09億 | 11.66%3.06億 |
| 購買商品、接受勞務支付的現金 | -2.89%1.76億 | 5.14%1.3億 | 9.85%6,000.68萬 | -12.05%2.42億 | -14.58%1.82億 | -12.69%1.24億 | -20.82%5,462.71萬 | -0.39%2.75億 | -3.91%2.13億 | 0.11%1.42億 |
| 支付給職工以及為職工支付的現金 | -3.02%6,209.35萬 | -5.23%4,531.74萬 | 3.32%2,993.53萬 | -1.06%8,062.2萬 | 0.03%6,402.54萬 | 3.78%4,781.61萬 | 7.82%2,897.32萬 | 16.84%8,148.35萬 | 23.43%6,400.57萬 | 21.84%4,607.26萬 |
| 支付的各項稅費 | 161.54%1,556.11萬 | 253.25%1,164.8萬 | 208.60%658.98萬 | -61.92%1,072.02萬 | -73.93%594.98萬 | -78.82%329.74萬 | -39.85%213.54萬 | -6.59%2,815.13萬 | -1.02%2,282.57萬 | 17.74%1,556.47萬 |
| 支付其他與經營活動有關的現金 | -26.88%2,561.13萬 | -34.70%1,569.56萬 | -13.31%886.22萬 | 13.04%4,644.88萬 | 12.81%3,502.74萬 | 19.30%2,403.72萬 | 51.22%1,022.24萬 | -20.05%4,109.21萬 | -13.29%3,105.04萬 | -24.06%2,014.87萬 |
| 經營活動現金流出小計 | -2.44%2.8億 | 1.95%2.03億 | 9.83%1.05億 | -10.82%3.8億 | -13.28%2.87億 | -11.02%1.99億 | -9.62%9,595.81萬 | -0.38%4.26億 | -0.45%3.31億 | 2.00%2.24億 |
| 經營活動產生的現金流量淨額 | 65.80%5,939.11萬 | 1,158.98%4,869.11萬 | -750.71%-2,414.94萬 | -50.33%4,706.8萬 | -54.15%3,582.16萬 | -105.63%-459.79萬 | -104.59%-283.87萬 | -37.32%9,476.86萬 | -16.21%7,813.36萬 | 50.75%8,173.7萬 |
| 投資活動產生的現金流量 | ||||||||||
| 收回投資收到的現金 | -6.41%23.05億 | -3.51%15.99億 | -7.04%8.55億 | -11.94%35.35億 | -23.13%24.63億 | -36.17%16.57億 | -1.92%9.2億 | 85.32%40.14億 | 221.04%32.04億 | 12,880.00%25.96億 |
| 取得投資收益收到的現金 | 51.14%2,809.54萬 | 8.33%1,085.3萬 | 409.01%886.19萬 | 63.08%3,994.31萬 | 5.17%1,858.89萬 | -27.82%1,001.89萬 | -64.52%174.1萬 | 57.08%2,449.28萬 | 127.45%1,767.49萬 | 9,178.95%1,388.03萬 |
| 處置固定資產、無形資產和其他長期資產收回的現金淨額 | -18.68%508.38萬 | 6,948.29%487.79萬 | 115,508.10%476.55萬 | 12,613.74%883.23萬 | 3,396.28%625.14萬 | -0.38%6.92萬 | -79.75%4,122.12 | -62.46%6.95萬 | 83.27%17.88萬 | 94.22%6.95萬 |
| 收到其他與投資活動有關的現金 | ---- | ---- | ---- | -98.01%2.5萬 | ---- | ---- | --437.62萬 | -90.62%125.32萬 | -94.42%102.67萬 | -93.94%102.67萬 |
| 投資活動現金流入小計 | -6.01%23.38億 | -3.15%16.15億 | -6.18%8.69億 | -11.29%35.84億 | -22.81%24.88億 | -36.15%16.67億 | -1.78%9.26億 | 84.03%40.4億 | 214.65%32.23億 | 6,931.53%26.11億 |
| 購建固定資產、無形資產和其他長期資產支付的現金 | 101.95%1.15億 | 70.53%6,305.41萬 | 6.66%2,252.35萬 | 153.02%1.05億 | 147.47%5,716.96萬 | 71.82%3,697.45萬 | 79.18%2,111.77萬 | -16.94%4,162.34萬 | -39.20%2,310.18萬 | -9.44%2,151.94萬 |
| 投資支付的現金 | -14.23%20.73億 | -5.70%14.23億 | -9.86%7.44億 | -9.31%35.77億 | -22.87%24.17億 | -42.99%15.09億 | -12.51%8.25億 | 19.39%39.45億 | 53.17%31.34億 | 170.61%26.47億 |
| 支付其他與投資活動有關的現金 | -52.42%14.16萬 | 73.32%14.16萬 | ---- | ---- | -93.52%29.76萬 | -97.43%8.17萬 | ---115.29萬 | -67.77%488.94萬 | 24.95%459.17萬 | 513.74%317.49萬 |
| 投資活動現金流出小計 | -11.55%21.89億 | -3.87%14.86億 | -9.33%7.66億 | -7.73%36.83億 | -21.73%24.75億 | -42.13%15.46億 | -11.50%8.45億 | 18.46%39.91億 | 51.44%31.62億 | 166.52%26.71億 |
| 投資活動產生的現金流量淨額 | 1,035.30%1.49億 | 6.09%1.28億 | 26.58%1.03億 | -304.11%-9,911.83萬 | -78.55%1,316.48萬 | 300.95%1.21億 | 784.00%8,111.23萬 | 104.14%4,856.22萬 | 105.77%6,136.09萬 | 93.76%-6,026.82萬 |
| 籌資活動產生的現金流量 | ||||||||||
| 分配股利、利潤或償付利息支付的現金 | -84.97%826.19萬 | -84.97%826.19萬 | ---- | 3.40%5,497.64萬 | 3.40%5,497.64萬 | 3.40%5,497.64萬 | ---- | 43.96%5,316.86萬 | 43.96%5,316.86萬 | 43.96%5,316.86萬 |
| 支付其他與籌資活動有關的現金 | 242.75%4,098.16萬 | -70.69%103.64萬 | 96.76%84.73萬 | 2,825.68%2,085.45萬 | 2,248.38%1,195.68萬 | 941.59%353.55萬 | 141.65%43.06萬 | -97.23%71.28萬 | -98.04%50.92萬 | -98.66%33.94萬 |
| 籌資活動現金流出小計 | -26.43%4,924.35萬 | -84.11%929.83萬 | 96.76%84.73萬 | 40.74%7,583.09萬 | 24.69%6,693.31萬 | 9.35%5,851.19萬 | 141.65%43.06萬 | -33.66%5,388.14萬 | -34.14%5,367.78萬 | -33.73%5,350.8萬 |
| 籌資活動產生的現金流量淨額 | 26.43%-4,924.35萬 | 84.11%-929.83萬 | -96.76%-84.73萬 | -40.74%-7,583.09萬 | -24.69%-6,693.31萬 | -9.35%-5,851.19萬 | -141.65%-43.06萬 | -105.72%-5,388.14萬 | -105.70%-5,367.78萬 | -105.67%-5,350.8萬 |
| 現金及現金等價物 | ||||||||||
| 匯率變動對現金及現金等價物的影響 | -632.12%-160.73萬 | -127.20%-51.61萬 | -84.36%7.89萬 | 380.55%287.29萬 | -116.83%-21.95萬 | 40.44%189.73萬 | 188.63%50.44萬 | -97.80%59.78萬 | -94.86%130.44萬 | -90.55%135.09萬 |
| 現金及現金等價物淨增加額 | 969.75%1.58億 | 179.42%1.67億 | -0.76%7,775.14萬 | -238.83%-1.25億 | -120.85%-1,816.63萬 | 295.17%5,989.5萬 | 58.97%7,834.73萬 | 270.12%9,004.72萬 | 3,953.52%8,712.12萬 | -165.81%-3,068.83萬 |
| 加:期初現金及現金等價物餘額 | -35.74%2.25億 | -35.74%2.25億 | -35.74%2.25億 | 34.68%3.5億 | 34.68%3.5億 | 34.68%3.5億 | 34.68%3.5億 | -16.93%2.6億 | -16.93%2.6億 | -16.93%2.6億 |
| 期末現金及現金等價物餘額 | 15.43%3.83億 | -4.28%3.92億 | -29.34%3.02億 | -35.74%2.25億 | -4.39%3.32億 | 78.88%4.1億 | 38.55%4.28億 | 34.68%3.5億 | 11.74%3.47億 | -36.26%2.29億 |
| 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 | 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 | -- | -- | -- | 容誠會計師事務所(特殊普通合夥) | -- | -- | -- | 容誠會計師事務所(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。