Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
Clean Energy Fuels
CLNE
5
NVIDIA
NVDA
| (Q3)2025/09/30 | (Q2)2025/06/30 | (Q1)2025/03/31 | (FY)2024/12/31 | (Q4)2024/12/31 | (Q3)2024/09/30 | (Q2)2024/06/30 | (Q1)2024/03/31 | (FY)2023/12/31 | (Q4)2023/12/31 | |
|---|---|---|---|---|---|---|---|---|---|---|
| 資產 | ||||||||||
| 流動資產 | ||||||||||
| 現金及現金等價物和短期投資 | 18.81%1,061.2萬 | 116.37%1,835.5萬 | 207.99%2,624.4萬 | 238.43%3,560.6萬 | 238.43%3,560.6萬 | -26.21%893.2萬 | -3.57%848.3萬 | -10.00%852.1萬 | 25.86%1,052.1萬 | 25.86%1,052.1萬 |
| -現金和現金等價物 | 18.81%1,061.2萬 | 116.37%1,835.5萬 | 207.99%2,624.4萬 | 238.43%3,560.6萬 | 238.43%3,560.6萬 | -26.21%893.2萬 | -3.57%848.3萬 | -10.00%852.1萬 | 25.86%1,052.1萬 | 25.86%1,052.1萬 |
| 應收款項 | 1,590.20%86.2萬 | 521.88%59.7萬 | -4.08%23.5萬 | 96.28%42.2萬 | 96.28%42.2萬 | 6.25%5.1萬 | 255.56%9.6萬 | 642.42%24.5萬 | 667.86%21.5萬 | 667.86%21.5萬 |
| -應收賬款 | 1,590.20%86.2萬 | 619.28%59.7萬 | 1.29%23.5萬 | 96.28%42.2萬 | 96.28%42.2萬 | 6.25%5.1萬 | 207.41%8.3萬 | 603.03%23.2萬 | 667.86%21.5萬 | 667.86%21.5萬 |
| -其他應收款 | ---- | ---- | ---- | ---- | ---- | ---- | --1.3萬 | --1.3萬 | ---- | ---- |
| 存貨 | 15.50%1,890.7萬 | 15.43%2,040.7萬 | 96.86%2,334.9萬 | 91.30%1,831.7萬 | 91.30%1,831.7萬 | 84.16%1,637萬 | 134.66%1,767.9萬 | 50.22%1,186.1萬 | -3.95%957.5萬 | -3.95%957.5萬 |
| 預付費用 | -69.30%65萬 | 123.58%220萬 | 12.61%100.9萬 | 45.07%113.3萬 | 45.07%113.3萬 | 53.41%211.7萬 | 12.97%98.4萬 | 70.67%89.6萬 | -11.55%78.1萬 | -11.55%78.1萬 |
| 受限制現金 | --450萬 | --450萬 | --450萬 | --450萬 | --450萬 | ---- | ---- | ---- | ---- | ---- |
| 其他流動資產 | 220.94%217.6萬 | -52.17%81.7萬 | 48.99%81.5萬 | 32.06%145.4萬 | 32.06%145.4萬 | --67.8萬 | --170.8萬 | --54.7萬 | --110.1萬 | --110.1萬 |
| 流動資產合計 | 33.96%3,770.7萬 | 61.92%4,687.6萬 | 154.43%5,615.2萬 | 176.81%6,143.2萬 | 176.81%6,143.2萬 | 25.54%2,814.8萬 | 68.03%2,895萬 | 23.14%2,207萬 | 15.35%2,219.3萬 | 15.35%2,219.3萬 |
| 非流動資產 | ||||||||||
| 固定資產淨額 | 91.89%1.23億 | 116.32%1.26億 | 62.94%9,927.9萬 | 66.03%9,893萬 | 66.03%9,893萬 | 9.28%6,416.8萬 | -2.96%5,832.5萬 | -2.07%6,093萬 | -4.21%5,958.5萬 | -4.21%5,958.5萬 |
| -固定資產 | 62.69%2.01億 | 74.54%1.99億 | 46.65%1.65億 | 49.17%1.61億 | 49.17%1.61億 | 18.89%1.24億 | 11.85%1.14億 | 12.27%1.13億 | 11.05%1.08億 | 11.05%1.08億 |
| -累計折舊 | -31.11%-7,781.5萬 | -30.69%-7,265.1萬 | -27.51%-6,612.7萬 | -28.33%-6,184.8萬 | -28.33%-6,184.8萬 | -31.40%-5,935.1萬 | -33.17%-5,558.9萬 | -35.62%-5,185.9萬 | -38.31%-4,819.6萬 | -38.31%-4,819.6萬 |
| 商譽及其他無形資產 | -59.70%3,878.4萬 | -60.12%3,843.7萬 | -59.15%3,884萬 | -58.88%3,911.5萬 | -58.88%3,911.5萬 | 1.46%9,623.9萬 | 1.39%9,637萬 | -0.37%9,507.8萬 | -0.73%9,511.8萬 | -0.73%9,511.8萬 |
| -商譽 | 0.00%152.5萬 | 0.00%152.5萬 | 0.00%152.5萬 | 0.00%152.5萬 | 0.00%152.5萬 | 0.00%152.5萬 | 0.00%152.5萬 | -0.07%152.5萬 | -0.07%152.5萬 | -0.07%152.5萬 |
| -其他無形資產 | -60.66%3,725.9萬 | -61.08%3,691.2萬 | -60.11%3,731.5萬 | -59.84%3,759萬 | -59.84%3,759萬 | 1.49%9,471.4萬 | 1.41%9,484.5萬 | -0.38%9,355.3萬 | -0.74%9,359.3萬 | -0.74%9,359.3萬 |
| 長期應收款 | --22.3萬 | --21萬 | --19萬 | --19萬 | --19萬 | ---- | ---- | ---- | ---- | ---- |
| 非流動遞延資產 | --189.9萬 | --217.7萬 | --146.1萬 | --125.2萬 | --125.2萬 | ---- | ---- | ---- | --0 | --0 |
| 長期預付費用 | --173.7萬 | --173.7萬 | --597.7萬 | 552.04%591.4萬 | 552.04%591.4萬 | ---- | ---- | ---- | --90.7萬 | --90.7萬 |
| 其他非流動資產 | -89.29%14.7萬 | -84.85%15.1萬 | -84.45%15.5萬 | --15.9萬 | --15.9萬 | -71.92%137.3萬 | 23.39%99.7萬 | 23.39%99.7萬 | ---- | ---- |
| 非流動資產合計 | 2.56%1.66億 | 8.47%1.69億 | -7.07%1.46億 | -6.46%1.46億 | -6.46%1.46億 | 2.09%1.62億 | -0.17%1.56億 | -0.92%1.57億 | -2.00%1.56億 | -2.00%1.56億 |
| 總資產 | 7.22%2.04億 | 16.85%2.16億 | 12.83%2.02億 | 16.42%2.07億 | 16.42%2.07億 | 5.00%1.9億 | 6.61%1.85億 | 1.53%1.79億 | -0.13%1.78億 | -0.13%1.78億 |
| 負債 | ||||||||||
| 流動負債 | ||||||||||
| 應付款項 | -89.35%534.3萬 | 81.92%6,247.6萬 | 52.75%5,361.8萬 | 83.95%5,064.9萬 | 83.95%5,064.9萬 | 70.73%5,018.8萬 | 24.94%3,434.2萬 | 42.73%3,510.1萬 | 31.85%2,753.4萬 | 31.85%2,753.4萬 |
| -應付賬款 | -33.50%534.3萬 | 70.61%968.4萬 | -27.87%443.9萬 | 14.61%633.2萬 | 14.61%633.2萬 | 118.64%803.5萬 | -16.69%567.6萬 | -18.26%615.4萬 | -20.29%552.5萬 | -20.29%552.5萬 |
| -應付稅費 | --0 | 84.16%5,279.2萬 | 69.89%4,917.9萬 | 101.36%4,431.7萬 | 101.36%4,431.7萬 | 63.89%4,215.3萬 | 38.66%2,866.6萬 | 69.65%2,894.7萬 | 57.75%2,200.9萬 | 57.75%2,200.9萬 |
| 應計費用 | 81.60%985.2萬 | -27.08%761.7萬 | 59.71%892.3萬 | -13.87%842.3萬 | -13.87%842.3萬 | 1.80%542.5萬 | 112.69%1,044.5萬 | 22.20%558.7萬 | 76.71%977.9萬 | 76.71%977.9萬 |
| 現行撥備 | ---- | ---- | --500萬 | --495.7萬 | --495.7萬 | ---- | ---- | ---- | ---- | ---- |
| 短期借款與租賃負債 | -88.75%755.5萬 | -89.63%675.5萬 | 59.13%540.1萬 | 78.48%550.6萬 | 78.48%550.6萬 | 1,101.56%6,716.7萬 | 2,127.15%6,514.4萬 | 12.50%339.4萬 | 7.72%308.5萬 | 7.72%308.5萬 |
| -短期借款 | -96.90%198.3萬 | -97.83%134.5萬 | -3.78%45.8萬 | 254.46%75.5萬 | 254.46%75.5萬 | 10,459.24%6,398.9萬 | 18,207.67%6,206.3萬 | -10.36%47.6萬 | -71.26%21.3萬 | -71.26%21.3萬 |
| -短期租賃負債 | 75.33%557.2萬 | 75.59%541萬 | 69.40%494.3萬 | 65.42%475.1萬 | 65.42%475.1萬 | -36.24%317.8萬 | 19.14%308.1萬 | 17.38%291.8萬 | 35.28%287.2萬 | 35.28%287.2萬 |
| 其他流動負債 | 97.80%161.6萬 | -14.17%147.2萬 | -77.22%169.1萬 | -76.42%214.8萬 | -76.42%214.8萬 | -90.86%81.7萬 | -79.85%171.5萬 | -17.11%742.2萬 | 4.99%910.9萬 | 4.99%910.9萬 |
| 流動負債總額 | -80.29%2,436.6萬 | -29.85%7,832萬 | 44.91%7,463.3萬 | 44.79%7,168.3萬 | 44.79%7,168.3萬 | 150.94%1.24億 | 154.70%1.12億 | 25.21%5,150.4萬 | 30.43%4,950.7萬 | 30.43%4,950.7萬 |
| 非流動負債 | ||||||||||
| 長期撥備 | --741.4萬 | --727.8萬 | --898萬 | --904.4萬 | --904.4萬 | ---- | ---- | ---- | ---- | ---- |
| 長期借款與租賃負債 | 219.97%1.48億 | 243.14%1.49億 | 25.93%1.27億 | 29.01%1.27億 | 29.01%1.27億 | -49.74%4,633.8萬 | -52.70%4,343.3萬 | 10.36%1.01億 | 8.30%9,843.1萬 | 8.30%9,843.1萬 |
| -長期借款 | 944.78%7,746萬 | 1,298.34%7,675.5萬 | 21.82%7,599萬 | 22.99%7,525.7萬 | 22.99%7,525.7萬 | -87.65%741.4萬 | -90.68%548.9萬 | 7.72%6,238.1萬 | 7.41%6,118.9萬 | 7.41%6,118.9萬 |
| -長期租賃負債 | 81.91%7,080.6萬 | 90.50%7,228.2萬 | 32.57%5,116.8萬 | 38.89%5,172.7萬 | 38.89%5,172.7萬 | 21.02%3,892.4萬 | 15.33%3,794.4萬 | 14.92%3,859.7萬 | 9.79%3,724.2萬 | 9.79%3,724.2萬 |
| 遞延負債 | -78.89%470.8萬 | -76.61%476.3萬 | -70.23%554.2萬 | -72.31%481.7萬 | -72.31%481.7萬 | 15.64%2,230.3萬 | 8.48%2,036.5萬 | -2.50%1,861.5萬 | -14.25%1,739.8萬 | -14.25%1,739.8萬 |
| 其他非流動負債 | 0.00%344.7萬 | 0.00%344.7萬 | -1.71%344.7萬 | -11.21%344.7萬 | -11.21%344.7萬 | -22.90%344.7萬 | 535.98%344.7萬 | 180.56%350.7萬 | 191.22%388.2萬 | 191.22%388.2萬 |
| 非流動負債總額 | 204.95%2.2億 | 144.67%1.65億 | 17.89%1.45億 | 20.53%1.44億 | 20.53%1.44億 | -37.83%7,208.8萬 | -39.50%6,724.5萬 | 10.07%1.23億 | 6.40%1.2億 | 6.40%1.2億 |
| 總負債 | 24.79%2.44億 | 35.75%2.43億 | 25.86%2.2億 | 27.63%2.16億 | 27.63%2.16億 | 18.45%1.96億 | 15.43%1.79億 | 14.14%1.75億 | 12.46%1.69億 | 12.46%1.69億 |
| 所有者權益 | ||||||||||
| 股本 | 12.49%2.07億 | 12.37%2.06億 | 12.37%2.06億 | 12.37%2.06億 | 12.37%2.06億 | 0.06%1.84億 | 0.06%1.84億 | 0.15%1.84億 | 1.51%1.84億 | 1.51%1.84億 |
| -普通股股本 | 12.49%2.07億 | 12.37%2.06億 | 12.37%2.06億 | 12.37%2.06億 | 12.37%2.06億 | 0.06%1.84億 | 0.06%1.84億 | 0.15%1.84億 | 1.51%1.84億 | 1.51%1.84億 |
| 留存收益 | -24.65%-2.9億 | -25.15%-2.77億 | -20.26%-2.67億 | -18.54%-2.58億 | -18.54%-2.58億 | -10.57%-2.33億 | -6.37%-2.21億 | -9.65%-2.22億 | -11.66%-2.18億 | -11.66%-2.18億 |
| 不影響留存收益的損益 | -258.08%-119.6萬 | -258.08%-119.6萬 | -258.08%-119.6萬 | -258.08%-119.6萬 | -258.08%-119.6萬 | 0.00%-33.4萬 | 0.00%-33.4萬 | 0.00%-33.4萬 | 0.00%-33.4萬 | 0.00%-33.4萬 |
| 其他權益 | 1.18%4,422.3萬 | 2.05%4,432.4萬 | 2.16%4,403.1萬 | 2.22%4,400.6萬 | 2.22%4,400.6萬 | 1.63%4,370.6萬 | 1.53%4,343.2萬 | 0.74%4,309.9萬 | 2.47%4,305萬 | 2.47%4,305萬 |
| 股東權益總額 | -604.48%-4,056.4萬 | -570.98%-2,708.6萬 | -496.04%-1,770.7萬 | -204.62%-898.2萬 | -204.62%-898.2萬 | -136.71%-575.8萬 | -68.43%575.1萬 | -80.90%447.1萬 | -68.85%858.5萬 | -68.85%858.5萬 |
| 總權益 | -604.48%-4,056.4萬 | -570.98%-2,708.6萬 | -496.04%-1,770.7萬 | -204.62%-898.2萬 | -204.62%-898.2萬 | -136.71%-575.8萬 | -68.43%575.1萬 | -80.90%447.1萬 | -68.85%858.5萬 | -68.85%858.5萬 |
| 貨幣單位 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 |
| 會計準則 | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
| 審計意見 | -- | -- | -- | 無保留意見 | -- | -- | -- | -- | 無保留意見 | -- |