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)2025/09/30 | (Q1)2025/06/30 | (FY)2025/03/31 | (Q4)2025/03/31 | (Q3)2024/12/31 | (Q2)2024/09/30 | (Q1)2024/06/30 | (FY)2024/03/31 | (Q4)2024/03/31 | (Q3)2023/12/31 | |
|---|---|---|---|---|---|---|---|---|---|---|
| 經營活動現金流量(間接法) | ||||||||||
| 經營活動產生的現金 | 169.64%1,467萬 | 75.26%2,603.2萬 | -459.81%-2,928.1萬 | -987.30%-2,158.8萬 | -121.19%-148.2萬 | -143.51%-2,106.4萬 | 101.75%1,485.3萬 | -95.36%813.8萬 | -92.63%243.3萬 | 228.08%699.3萬 |
| 扣除非現金調整前淨利潤 | 127.95%673.2萬 | 12.09%-596.5萬 | 96.85%-313.1萬 | 144.24%2,631萬 | 116.45%142.6萬 | -75.91%-2,408.2萬 | 61.44%-678.5萬 | 60.71%-9,942.2萬 | 40.37%-5,946.7萬 | 93.92%-866.9萬 |
| 非現金項目調整總額 | -436.34%-465.5萬 | 125.36%152.7萬 | -160.00%-2,890.8萬 | -143.64%-1,823.9萬 | -700.70%-603.1萬 | -66.49%138.4萬 | -582.53%-602.2萬 | -80.60%4,818萬 | -45.84%4,179.8萬 | -99.33%100.4萬 |
| -折舊與攤銷 | -70.87%192.7萬 | 185.41%226.9萬 | -6.70%1,479.8萬 | 67.81%463.5萬 | -39.00%275.3萬 | 54.45%661.5萬 | -81.52%79.5萬 | -65.01%1,586.1萬 | -71.92%276.2萬 | -60.32%451.3萬 |
| -在損益中確認的減值損失回撥 | -395.48%-646.6萬 | -61.05%-123.2萬 | -162.86%-2,011.6萬 | -123.42%-890.8萬 | -39.36%-913.8萬 | -118.59%-130.5萬 | -168.49%-76.5萬 | -80.31%3,199.9萬 | -11.79%3,803.6萬 | -105.56%-655.7萬 |
| -資產準備金與勾銷 | ---- | -192.49%-45.6萬 | -243.40%-838.9萬 | ---- | ---- | -359.84%-345.8萬 | 122.40%49.3萬 | -85.71%585萬 | ---- | ---- |
| -聯營企業份額 | --78.2萬 | --90.8萬 | --20.7萬 | ---- | ---- | --0 | --0 | --0 | ---- | ---- |
| -處置利潤 | 88.93%-27.8萬 | 113.79%82.1萬 | -291.81%-1,286.3萬 | -153.47%-584.5萬 | 274.52%144.5萬 | -470.90%-251.1萬 | -620.58%-595.2萬 | -17.84%-328.3萬 | -184.16%-230.6萬 | -433.87%-82.8萬 |
| -匯兌損益淨額 | ---- | 191.76%7.8萬 | 138.98%63.7萬 | 137.37%78.4萬 | -202.39%-115.9萬 | 102.77%109.7萬 | 92.97%-8.5萬 | 46.00%-163.4萬 | 51.41%-209.8萬 | -52.36%113.2萬 |
| -其他非現金項目 | 0.89%-99.8萬 | -69.49%-86.1萬 | -419.09%-318.2萬 | -62.11%-72.3萬 | -351.67%-94.4萬 | -4,477.27%-100.7萬 | -893.75%-50.8萬 | -111.51%-61.3萬 | -163.90%-44.6萬 | -115.89%-20.9萬 |
| 營運資本變動 | 670.69%1,259.3萬 | 10.16%3,047萬 | -95.36%275.8萬 | -247.54%-2,965.9萬 | -78.69%312.3萬 | 79.56%163.4萬 | 16.66%2,766萬 | -67.04%5,938萬 | -63.81%2,010.2萬 | 223.28%1,465.8萬 |
| -應收款(增)減 | 446.02%3,529.8萬 | -62.27%1,394.2萬 | -150.70%-2,915.6萬 | -269.41%-2,273萬 | -279.77%-3,317.5萬 | 59.70%-1,020.1萬 | -27.48%3,695萬 | -80.81%5,750.5萬 | -81.18%1,341.7萬 | -6.72%1,845.4萬 |
| -存貨(增)減 | -72.14%261.6萬 | 320.09%980.9萬 | -41.49%2,442.2萬 | -69.84%841.2萬 | 507.71%428.5萬 | -62.09%939萬 | 123.67%233.5萬 | -79.64%4,174.3萬 | 27.48%2,789.3萬 | -110.15%-105.1萬 |
| -應付款(減)增 | -1,135.62%-2,532.1萬 | 158.00%674.3萬 | 118.89%746.8萬 | 27.55%-1,536.5萬 | 1,266.23%3,201.3萬 | 67.70%244.5萬 | 31.81%-1,162.5萬 | 87.83%-3,954.2萬 | 44.12%-2,120.8萬 | 93.47%-274.5萬 |
| -其他流動資產變動 | --0 | ---2.4萬 | 107.36%2.4萬 | --2.4萬 | --0 | --0 | --0 | -200.00%-32.6萬 | --0 | --0 |
| 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) | 0 | 0 | ||||||||
| 已付利息(經營活動產生的現金流) | ||||||||||
| 已收到的利息(經營活動產生的現金流) | ||||||||||
| 已支付退稅 | 176.86%29.9萬 | 54.90%-12.9萬 | 138.85%120.6萬 | 479.65%214.5萬 | 58.49%-26.4萬 | 33.84%-38.9萬 | 78.25%-28.6萬 | 79.51%-310.4萬 | 89.54%-56.5萬 | 74.91%-63.6萬 |
| 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 | 169.78%1,496.9萬 | 77.82%2,590.3萬 | -657.71%-2,807.5萬 | -1,140.85%-1,944.3萬 | -127.47%-174.6萬 | -132.23%-2,145.3萬 | 140.90%1,456.7萬 | -96.86%503.4萬 | -93.23%186.8萬 | 179.51%635.7萬 |
| 投資活動現金流量 | ||||||||||
| 物業、廠房及設備交易淨額 | 2.79%1,567.1萬 | 957.13%871.7萬 | 494.65%589.3萬 | 147.56%429.8萬 | -284.34%-1,263.3萬 | 1,308.96%1,524.5萬 | -148.59%-101.7萬 | -87.80%99.1萬 | -1,854.76%-903.7萬 | 14,377.08%685.3萬 |
| 業務交易淨額 | --0 | --0 | ---482萬 | --0 | ---490萬 | --0 | --8萬 | --0 | --0 | --0 |
| 投資產品交易淨額 | ---- | ---- | ---1,000萬 | ---- | ---- | ---- | ---- | --0 | ---- | ---- |
| 已收到的利息(投資活動產生的現金流) | -7.10%205.5萬 | 8.00%199.9萬 | 9.62%812.3萬 | 2.49%197.9萬 | 10.75%208.1萬 | 21.61%221.2萬 | 3.93%185.1萬 | 88.98%741萬 | 56.61%193.1萬 | 71.91%187.9萬 |
| 其他投資變動淨額 | ---- | ---- | 48.87%1,410.4萬 | ---187萬 | --2,057.1萬 | ---1,745.7萬 | --1,286萬 | --947.4萬 | ---- | ---- |
| 投資活動現金淨額 | --2,772.6萬 | -22.20%1,071.6萬 | -25.59%1,330萬 | -336.19%-559.3萬 | -41.38%511.9萬 | --0 | 255.55%1,377.4萬 | 48.43%1,787.5萬 | 35.47%236.8萬 | 735.60%873.2萬 |
| 融資活動現金流量 | ||||||||||
| 債務發行/償還的淨額 | -213.47%-632.9萬 | 22.81%-476.7萬 | 647.45%1,468.8萬 | 598.82%1,987.3萬 | 233.70%301萬 | -176.30%-201.9萬 | -174.86%-617.6萬 | 95.80%-268.3萬 | 77.07%-398.4萬 | 89.50%90.2萬 |
| 租賃融資增減 | 35.71%-451.1萬 | 32.14%-500.3萬 | 23.28%-2,600.4萬 | 41.60%-516萬 | 26.18%-645.4萬 | 12.43%-701.7萬 | 11.22%-737.3萬 | 20.91%-3,389.6萬 | 1.16%-883.5萬 | -5.40%-874.3萬 |
| 已付利息(籌資活動產生的現金流) | 12.28%-105.7萬 | 15.26%-113.8萬 | 27.31%-494.1萬 | 15.42%-125.6萬 | 31.92%-113.7萬 | 32.94%-120.5萬 | 27.21%-134.3萬 | 26.53%-679.7萬 | 23.22%-148.5萬 | 30.65%-167萬 |
| 融資活動現金淨額 | -16.17%-1,189.7萬 | 26.75%-1,090.8萬 | 62.52%-1,625.7萬 | 194.08%1,345.7萬 | 51.83%-458.1萬 | -42.95%-1,024.1萬 | -20.13%-1,489.2萬 | 62.62%-4,337.6萬 | 49.37%-1,430.4萬 | 7.00%-951.1萬 |
| 現金淨流量 | ||||||||||
| 期初現金流 | -7.55%2.3億 | -13.16%2.04億 | -8.00%2.35億 | -12.02%2.16億 | -7.55%2.22億 | -1.80%2.49億 | -8.00%2.35億 | 28.00%2.56億 | -3.69%2.46億 | -11.92%2.4億 |
| 現金變動 | 197.17%3,079.8萬 | 91.17%2,571.1萬 | -51.62%-3,103.2萬 | -15.01%-1,157.9萬 | -121.66%-120.8萬 | -134.75%-3,169.4萬 | 643.17%1,344.9萬 | -136.41%-2,046.7萬 | -1,022.82%-1,006.8萬 | 132.47%557.8萬 |
| 匯率變動影響 | -86.96%3,000 | -7,500.00%-7.4萬 | 490.91%4.3萬 | 340.00%2.4萬 | -400.00%-5,000 | --2.3萬 | --1,000 | 95.34%-1.1萬 | 88.24%-1萬 | 99.69%-1,000 |
| 期末現金 | 17.62%2.61億 | -7.55%2.3億 | -13.16%2.04億 | -13.16%2.04億 | -12.02%2.16億 | -7.55%2.22億 | -1.80%2.49億 | -8.00%2.35億 | -8.00%2.35億 | -3.69%2.46億 |
| 自由現金流 | 170.45%1,469.8萬 | 100.56%2,567.8萬 | -3,634.47%-3,077.2萬 | -668.45%-1,970.3萬 | -154.90%-300.8萬 | -118.59%-2,086.4萬 | 120.51%1,280.3萬 | -100.56%-82.4萬 | -110.99%-256.4萬 | 168.31%547.9萬 |
| 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。