Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
快手-W
01024
5
阿里巴巴-W
09988
| (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 | |
|---|---|---|---|---|---|---|---|---|---|---|
| 經營活動現金流量(間接法) | ||||||||||
| 持續經營活動現金淨額 | -133.86%-577.25萬 | 49.48%-82.89萬 | -93.40%-120.86萬 | -77.00%-691.78萬 | 34.29%-218.4萬 | -160.76%-246.83萬 | -175.52%-164.06萬 | 65.48%-62.49萬 | 17.91%-390.84萬 | 18.92%-332.38萬 |
| 持續經營淨收入 | 85.48%-358.52萬 | 86.30%-184.29萬 | 37.71%-337.26萬 | 24.34%-5,926.18萬 | 22.13%-1,570.39萬 | 42.58%-2,469.22萬 | -108.44%-1,345.15萬 | 37.80%-541.41萬 | -47.75%-7,832.73萬 | 43.36%-2,016.61萬 |
| 持續經營損益 | -21.20%327 | -2,518.78%-59.68萬 | ---- | -159.08%-13.37萬 | 36.97%-2.63萬 | -99.83%415 | -63,405.56%-2.28萬 | -281.91%-3.28萬 | 560.74%22.63萬 | ---4.17萬 |
| 折舊攤銷及損耗 | -83.05%27.36萬 | -85.09%30.45萬 | -83.36%34.32萬 | -22.97%747.59萬 | -27.33%175.63萬 | -38.91%161.45萬 | -12.13%204.3萬 | -11.12%206.21萬 | 29.93%970.49萬 | 12.48%241.67萬 |
| 資產減值支出 | ---- | ---- | ---- | -82.65%719.27萬 | 40.94%719.27萬 | --0 | ---- | ---- | -2.78%4,146.58萬 | -86.72%510.34萬 |
| 資產準備金與勾銷 | -99.81%3.61萬 | -100.10%-7,497 | 18.89%6.43萬 | 374.42%3,239.48萬 | -7.87%611.59萬 | 21,353.29%1,871.54萬 | 9,208.54%750.94萬 | 149.40%5.41萬 | 267.12%682.82萬 | 417.69%663.86萬 |
| 以股票支付的報酬 | --0 | --0 | -94.55%258 | -97.44%1.26萬 | -92.22%1,456 | -89.37%2,733 | -98.37%3,641 | -97.87%4,734 | -77.57%49.08萬 | -96.38%1.87萬 |
| 遞延稅費 | ---- | ---- | ---- | -2,410.01%-146.19萬 | -197.20%-146.19萬 | --0 | --0 | --0 | 101.20%6.33萬 | 128.19%150.4萬 |
| 其他非現金項目 | 102.73%20.81萬 | 119.26%12萬 | 91.32%20.56萬 | -148.39%-1,111.12萬 | -140.37%-290.23萬 | 41.50%-763.35萬 | -183.79%-62.29萬 | -83.26%10.74萬 | -402.05%-447.34萬 | 322.93%718.95萬 |
| 營運資金變化 | -128.41%-270.56萬 | -58.84%119.38萬 | -40.21%155.07萬 | -10.63%1,797.48萬 | 147.51%284.41萬 | -42.78%952.43萬 | -49.72%290.06萬 | -29.64%259.36萬 | 1,034.60%2,011.3萬 | 17.69%-598.67萬 |
| -應收款項(增)減 | 50.89%-22.73萬 | 321.30%89.53萬 | 85.73%-8萬 | -487.66%-283.96萬 | 67.30%-152.37萬 | -115.49%-46.28萬 | -110.80%-40.46萬 | 58.24%-56.07萬 | 113.50%73.25萬 | 44.41%-465.99萬 |
| -預付費用(增)減 | -100.61%-4.7萬 | -72.44%28.81萬 | 198.36%7.06萬 | -35.98%1,134.98萬 | 214.10%252.69萬 | -44.04%775.36萬 | -65.96%104.56萬 | -99.22%2.37萬 | 74.06%1,772.9萬 | -155.18%-221.46萬 |
| -應付款項及應計費用(減)增 | -221.50%-264.15萬 | -100.09%-2,052 | -53.24%138.72萬 | 132.03%920.16萬 | 127.14%168.64萬 | 540.69%217.41萬 | 3,721.02%237.45萬 | 5.13%296.65萬 | 1,141.25%396.56萬 | -57.77%74.25萬 |
| -其他流動資產變動 | --0 | --0 | --0 | -12.98%8.37萬 | 7,185.53%8.86萬 | -107.45%-2,506 | -101.38%-796 | -125.76%-1,591 | 647.34%9.62萬 | -103.40%-1,251 |
| -其他營運資本變動 | 239.71%21.02萬 | 110.81%1.23萬 | 4.34%17.29萬 | 107.43%17.91萬 | -55.14%6.58萬 | 110.84%6.19萬 | 90.24%-11.42萬 | 120.31%16.57萬 | 63.17%-241.04萬 | 103.12%14.66萬 |
| 非持續經營活動現金淨額 | ||||||||||
| 經營活動現金淨額 | -133.86%-577.25萬 | 49.48%-82.89萬 | -93.40%-120.86萬 | -77.00%-691.78萬 | 34.29%-218.4萬 | -160.76%-246.83萬 | -175.52%-164.06萬 | 65.48%-62.49萬 | 17.91%-390.84萬 | 18.92%-332.38萬 |
| 投資活動現金流量 | ||||||||||
| 持續投資活動現金淨額 | 131.45%3.97萬 | 219.51%8.97萬 | 0 | 92.37%-62.26萬 | 96.54%-5.17萬 | 90.93%-12.62萬 | 95.20%-7.5萬 | 90.07%-36.96萬 | 34.67%-816.29萬 | 59.00%-149.34萬 |
| 固定資產交易淨額 | 2,381.38%3.97萬 | --7.92萬 | --0 | 104.28%3.51萬 | -305.19%-474 | --1,600 | --0 | 104.58%3.4萬 | -1,568.14%-81.99萬 | 103.27%231 |
| 無形資產交易淨額 | --0 | 113.93%1.05萬 | --0 | 90.69%-65.77萬 | 96.57%-5.12萬 | 92.03%-12.78萬 | 94.92%-7.5萬 | 83.78%-40.36萬 | 39.04%-706.34萬 | 60.10%-149.37萬 |
| 業務交易淨額 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 | ---- |
| 投資產品交易淨額 | ---- | ---- | ---- | --0 | --0 | --0 | --0 | --0 | 73.67%-27.95萬 | --0 |
| 非持續投資活動現金淨額 | ||||||||||
| 投資活動現金淨額 | 131.45%3.97萬 | 219.51%8.97萬 | --0 | 92.37%-62.26萬 | 96.54%-5.17萬 | 90.93%-12.62萬 | 95.20%-7.5萬 | 90.07%-36.96萬 | 34.67%-816.29萬 | 59.00%-149.34萬 |
| 融資活動現金流量 | ||||||||||
| 持續融資活動現金淨額 | 212.07%645.59萬 | -42.28%105.7萬 | 54.97%104.48萬 | -46.24%633.26萬 | -44.95%175.84萬 | 27.31%206.88萬 | 1.91%183.13萬 | -86.94%67.42萬 | 415.44%1,177.87萬 | 379.14%319.4萬 |
| 債務發行/償還的淨額 | 648.20%621.65萬 | -60.58%72.19萬 | -121.70%-9.51萬 | -63.73%324.08萬 | -94.95%14.03萬 | -32.33%83.09萬 | 876.42%183.13萬 | -91.51%43.83萬 | 5,384.03%893.6萬 | 317.20%278.12萬 |
| 普通股發行/回購的淨額 | --0 | --32.74萬 | --113.99萬 | 256.99%285.59萬 | --161.8萬 | --123.79萬 | --0 | --0 | --80萬 | --0 |
| 職工行使股票期權收到的現金 | ---- | ---- | ---- | --0 | --0 | --0 | --0 | ---- | -82.33%37.5萬 | --0 |
| 其他融資活動的淨現金流額 | --23.95萬 | --7,616 | ---- | -85.86%23.59萬 | --0 | ---- | ---- | --23.59萬 | --166.77萬 | --41.29萬 |
| 非持續融資活動現金淨額 | ||||||||||
| 融資活動現金淨額 | 212.07%645.59萬 | -42.28%105.7萬 | 54.97%104.48萬 | -46.24%633.26萬 | -44.95%175.84萬 | 27.31%206.88萬 | 1.91%183.13萬 | -86.94%67.42萬 | 415.44%1,177.87萬 | 379.14%319.4萬 |
| 現金淨流量 | ||||||||||
| 期初現金流 | 39.98%59.19萬 | 319.83%68.2萬 | -25.30%89.01萬 | -63.03%119.16萬 | -20.35%103.86萬 | -61.15%42.29萬 | -94.43%16.24萬 | -63.03%119.16萬 | -82.85%322.34萬 | -84.64%130.4萬 |
| 當期現金流變化 | 237.53%72.31萬 | 174.84%31.77萬 | 48.87%-16.38萬 | -312.84%-120.78萬 | 70.59%-47.73萬 | 26.28%-52.58萬 | -95.20%11.56萬 | 13.20%-32.03萬 | 98.05%-29.26萬 | 77.06%-162.32萬 |
| 利率變動影響 | -80.25%22.54萬 | -381.53%-40.78萬 | 93.74%-4.43萬 | 152.11%90.63萬 | -78.23%32.88萬 | 22.91%114.15萬 | 103.42%14.48萬 | -1,243.34%-70.88萬 | -188.70%-173.92萬 | -16.55%151.08萬 |
| 期末現金流 | 48.33%154.05萬 | 39.98%59.19萬 | 319.83%68.2萬 | -25.30%89.01萬 | -25.30%89.01萬 | -20.35%103.86萬 | -61.15%42.29萬 | -94.43%16.24萬 | -63.03%119.16萬 | -63.03%119.16萬 |
| 自由現金流 | -122.35%-577.25萬 | 51.68%-82.89萬 | -17.51%-120.86萬 | 35.76%-757.55萬 | 53.60%-223.52萬 | -1.76%-259.62萬 | -381.65%-171.57萬 | 79.59%-102.85萬 | 28.09%-1,179.18萬 | 38.64%-481.72萬 |
| 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 | -- | -- | -- | 帶解釋段的無保留意見 | -- | -- | -- | -- | -- | -- |
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。