Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
阿里巴巴-W
09988
5
京東集團-SW
09618
| (Q1)2025/09/30 | (FY)2025/06/30 | (Q4)2025/06/30 | (Q3)2025/03/31 | (Q2)2024/12/31 | (Q1)2024/09/30 | (FY)2024/06/30 | (Q4)2024/06/30 | (Q3)2024/03/31 | (Q2)2023/12/31 | |
|---|---|---|---|---|---|---|---|---|---|---|
| 資產 | ||||||||||
| 流動資產 | ||||||||||
| 現金及現金等價物和短期投資 | -72.54%434.9萬 | 41.03%873萬 | 41.03%873萬 | 180.28%2,469.55萬 | -41.20%1,477.88萬 | 809.52%1,583.62萬 | -15.20%619萬 | -15.20%619萬 | -14.54%881.11萬 | 1,230.55%2,513.49萬 |
| -現金和現金等價物 | -74.51%363.3萬 | 44.67%762.4萬 | 44.67%762.4萬 | 292.86%2,392.94萬 | -44.76%1,376.27萬 | 2,194.14%1,425.01萬 | 603.20%527萬 | 603.20%527萬 | 8.18%609.11萬 | 1,218.91%2,491.49萬 |
| -短期投資 | -54.86%71.6萬 | 20.22%110.6萬 | 20.22%110.6萬 | -71.83%76.61萬 | 361.86%101.61萬 | 41.62%158.61萬 | -85.95%92萬 | -85.95%92萬 | -41.88%272萬 | --22萬 |
| 應收款項 | 75.09%1,253.3萬 | 569.92%1,193.8萬 | 569.92%1,193.8萬 | 147.50%987.77萬 | 49.79%991.37萬 | -45.65%715.82萬 | -84.15%178.2萬 | -84.15%178.2萬 | -51.25%399.1萬 | 26.62%661.84萬 |
| -應收賬款 | 721.33%904.9萬 | 787.37%857.2萬 | 787.37%857.2萬 | 96.80%657.14萬 | 129.02%756.85萬 | -71.44%110.17萬 | -51.18%96.6萬 | -51.18%96.6萬 | 78.76%333.9萬 | -9.87%330.48萬 |
| -未開單應收款 | -94.79%17.5萬 | -2.40%65.1萬 | -2.40%65.1萬 | 162.57%141.53萬 | -90.71%29.03萬 | -63.53%335.81萬 | -90.99%66.7萬 | -90.99%66.7萬 | --53.9萬 | --312.5萬 |
| -應收稅費 | 19.20%327.8萬 | --268.4萬 | --268.4萬 | --189.96萬 | --214.98萬 | --275萬 | --0 | --0 | ---- | ---- |
| -應收關聯方款項 | --5.5萬 | --5.5萬 | --5.5萬 | ---- | ---- | ---- | --0 | --0 | ---- | ---- |
| -其他應收款 | -98.37%2,000 | -99.38%2,000 | -99.38%2,000 | 16.58%13.17萬 | -75.90%4.54萬 | 14.41%12.26萬 | -96.13%32.3萬 | -96.13%32.3萬 | -97.76%11.3萬 | -39.92%18.86萬 |
| -應收賬款調整額 | 85.08%-2.6萬 | 85.06%-2.6萬 | 85.06%-2.6萬 | ---14.02萬 | ---14.02萬 | ---17.42萬 | 97.32%-17.4萬 | 97.32%-17.4萬 | ---- | ---- |
| 存貨 | 32.88%1,115.8萬 | 37.82%900.1萬 | 37.82%900.1萬 | 168.28%744.51萬 | 622.97%755.69萬 | 938.08%839.71萬 | 1,355.47%653.1萬 | 1,355.47%653.1萬 | 327.71%277.51萬 | 64.53%104.53萬 |
| 預付費用 | 96.62%275.7萬 | 205.66%955.8萬 | 205.66%955.8萬 | 62.64%325.86萬 | -70.47%138.4萬 | -72.85%140.22萬 | 2.37%312.7萬 | 2.37%312.7萬 | -22.17%200.36萬 | 104.61%468.65萬 |
| 受限制現金 | --466.5萬 | --209.5萬 | --209.5萬 | ---- | ---- | ---- | --0 | --0 | ---- | ---- |
| 其他流動資產 | ---- | ---- | ---- | ---- | ---- | --1 | ---- | ---- | ---1 | ---1 |
| 流動資產合計 | 8.14%3,546.2萬 | 134.38%4,132.2萬 | 134.38%4,132.2萬 | 157.54%4,527.7萬 | -10.27%3,363.35萬 | 55.55%3,279.36萬 | -20.03%1,763萬 | -20.03%1,763萬 | -19.06%1,758.08萬 | 273.30%3,748.5萬 |
| 非流動資產 | ||||||||||
| 固定資產淨額 | 62.53%7,659.2萬 | 455.56%7,471.7萬 | 455.56%7,471.7萬 | 1,242.89%4,234.55萬 | 1,353.42%4,619.35萬 | 4,042.65%4,712.56萬 | 1,128.65%1,344.9萬 | 1,128.65%1,344.9萬 | 1,699.41%315.33萬 | 1,589.77%317.83萬 |
| -固定資產 | 80.80%8,763.9萬 | 480.99%7,950.2萬 | 480.99%7,950.2萬 | 1,245.28%4,549.58萬 | 1,341.00%4,841.67萬 | 3,718.46%4,847.25萬 | 1,036.15%1,368.4萬 | 1,036.15%1,368.4萬 | 890.57%338.19萬 | 884.14%335.99萬 |
| -累計折舊 | -720.14%-1,104.7萬 | -1,936.17%-478.5萬 | -1,936.17%-478.5萬 | -1,278.29%-315.03萬 | -1,123.66%-222.32萬 | -921.52%-134.7萬 | -114.02%-23.5萬 | -114.02%-23.5萬 | -37.55%-22.86萬 | -18.50%-18.17萬 |
| 投資和預付款 | ---- | --0 | --0 | -100.00%100 | --0 | --0 | 613.06%515.2萬 | 613.06%515.2萬 | --515.2萬 | --318.75萬 |
| 金融資產 | -38.57%41萬 | 124.18%34.3萬 | 124.18%34.3萬 | --26.23萬 | --69.34萬 | --66.74萬 | --15.3萬 | --15.3萬 | ---- | ---- |
| 長期應收款 | -21.63%29.3萬 | -22.44%31.1萬 | -22.44%31.1萬 | --35.13萬 | --37.51萬 | --37.39萬 | --40.1萬 | --40.1萬 | ---- | ---- |
| 長期預付費用 | --1.1萬 | --73.5萬 | --73.5萬 | ---- | ---- | ---- | --0 | --0 | ---- | ---- |
| 商譽及其他無形資產 | -78.15%2,168.4萬 | 588.69%1,680.4萬 | 588.69%1,680.4萬 | 673.61%1.05億 | 744.00%1.04億 | 1,952.42%9,922.6萬 | 120.51%244萬 | 120.51%244萬 | --1,357.04萬 | --1,228.49萬 |
| -商譽 | -92.64%276.6萬 | 530.07%276.6萬 | 530.07%276.6萬 | 560.66%3,758.62萬 | 560.66%3,758.62萬 | --3,758.62萬 | --43.9萬 | --43.9萬 | --568.92萬 | --568.92萬 |
| -其他無形資產 | -69.31%1,891.8萬 | 601.55%1,403.8萬 | 601.55%1,403.8萬 | 755.15%6,739.56萬 | 902.15%6,609.84萬 | 1,174.97%6,163.98萬 | 80.84%200.1萬 | 80.84%200.1萬 | --788.12萬 | --659.56萬 |
| 其他非流動資產 | 430.17%429.7萬 | --411.9萬 | --411.9萬 | --75.46萬 | --76.45萬 | 1,346.82%81.05萬 | ---- | ---- | ---- | ---- |
| 非流動資產合計 | -30.31%1.03億 | 349.31%9,702.9萬 | 349.31%9,702.9萬 | 579.73%1.49億 | 713.44%1.52億 | 1,529.56%1.48億 | 638.63%2,159.5萬 | 638.63%2,159.5萬 | 12,383.16%2,187.57萬 | 9,815.91%1,865.06萬 |
| 總資產 | -23.34%1.39億 | 252.71%1.38億 | 252.71%1.38億 | 391.61%1.94億 | 230.17%1.85億 | 499.80%1.81億 | 57.09%3,922.5萬 | 57.09%3,922.5萬 | 80.20%3,945.66萬 | 448.75%5,613.56萬 |
| 負債 | ||||||||||
| 流動負債 | ||||||||||
| 短期借款與資本租賃負債 | 54.44%1,153.5萬 | 681.07%1,489.5萬 | 681.07%1,489.5萬 | 2,179.28%1,063.27萬 | 2,187.95%1,145.94萬 | 3,666.31%746.91萬 | 872.60%190.7萬 | 872.60%190.7萬 | 140.71%46.65萬 | -61.50%50.09萬 |
| -短期借款 | 53.97%1,054.3萬 | 690.90%1,390.4萬 | 690.90%1,390.4萬 | 2,780.67%998.72萬 | 2,691.70%1,084.86萬 | 4,431.45%684.75萬 | 1,063.38%175.8萬 | 1,063.38%175.8萬 | 129.43%34.67萬 | -69.17%38.86萬 |
| -短期資本租賃負債 | 59.59%99.2萬 | 565.10%99.1萬 | 565.10%99.1萬 | 438.82%64.55萬 | 444.13%61.08萬 | 1,216.86%62.16萬 | 231.40%14.9萬 | 231.40%14.9萬 | 180.61%11.98萬 | 177.32%11.23萬 |
| 應付款項 | -24.86%2,070.5萬 | 305.21%1,998.9萬 | 305.21%1,998.9萬 | 270.42%2,239.22萬 | 73.32%2,049.83萬 | 307.00%2,755.67萬 | -14.02%493.3萬 | -14.02%493.3萬 | 86.51%604.51萬 | 284.14%1,182.7萬 |
| -應付帳款 | -7.87%1,535.8萬 | 1,345.42%1,514.8萬 | 1,345.42%1,514.8萬 | 174.23%1,502.78萬 | 42.59%1,313.85萬 | 323.32%1,666.92萬 | -32.07%104.8萬 | -32.07%104.8萬 | 980.78%548萬 | 595.41%921.44萬 |
| -應付稅費 | -37.41%312.1萬 | 17.57%257.6萬 | 17.57%257.6萬 | 6,208.67%571.48萬 | 6,975.83%564.35萬 | 1,216.13%498.65萬 | 114.03%219.1萬 | 114.03%219.1萬 | 148.45%9.06萬 | 116.18%7.98萬 |
| -應付關聯方款項 | -94.28%7.5萬 | 16.13%14.4萬 | 16.13%14.4萬 | 1,826.11%22.65萬 | --4.85萬 | 3,063.77%131.23萬 | 94.50%12.4萬 | 94.50%12.4萬 | --1.18萬 | --0 |
| -其他應付款 | -53.12%215.1萬 | 35.10%212.1萬 | 35.10%212.1萬 | 207.53%142.32萬 | -34.16%166.78萬 | 90.19%458.86萬 | -49.47%157萬 | -49.47%157萬 | -82.84%46.28萬 | 160.59%253.29萬 |
| 應計費用 | --252.8萬 | 29.77%252.8萬 | 29.77%252.8萬 | ---- | ---- | ---- | --194.8萬 | --194.8萬 | ---- | ---- |
| 遞延負債 | 50.15%166.2萬 | 23.87%569.8萬 | 23.87%569.8萬 | 47.78%247.17萬 | -82.89%278.58萬 | -59.85%110.69萬 | 299.79%460萬 | 299.79%460萬 | 481.20%167.25萬 | 99,930.82%1,628.6萬 |
| 其他流動負債 | ---- | ---- | ---- | --457.43萬 | ---- | ---- | ---- | ---- | ---- | ---- |
| 流動負債總額 | 0.82%3,643萬 | 222.00%4,311萬 | 222.00%4,311萬 | 389.62%4,007.09萬 | 21.42%3,474.35萬 | 271.51%3,613.27萬 | 88.99%1,338.8萬 | 88.99%1,338.8萬 | 119.84%818.41萬 | 550.92%2,861.39萬 |
| 非流動負債 | ||||||||||
| 長期借款與租賃負債 | 7.49%6,252.1萬 | 1,025.84%6,048萬 | 1,025.84%6,048萬 | 1,718.80%6,571.77萬 | 1,696.15%6,530.75萬 | 6,764.36%5,816.57萬 | 505.22%537.2萬 | 505.22%537.2萬 | 289.67%361.32萬 | 255.71%363.6萬 |
| -長期借款 | 9.58%5,559.7萬 | 1,128.36%5,379萬 | 1,128.36%5,379萬 | 1,976.69%5,856.06萬 | 1,962.83%5,800.65萬 | 6,836.25%5,073.75萬 | 476.75%437.9萬 | 476.75%437.9萬 | 258.29%281.99萬 | 223.08%281.2萬 |
| -長期租賃負債 | -6.79%692.4萬 | 573.72%669萬 | 573.72%669萬 | 802.14%715.71萬 | 786.06%730.1萬 | 6,310.48%742.82萬 | 673.67%99.3萬 | 673.67%99.3萬 | 465.80%79.33萬 | 442.85%82.4萬 |
| 長期應付帳款及其他應付款項 | 127.14%63.1萬 | 164.00%79.2萬 | 164.00%79.2萬 | -18.96%25.67萬 | -14.99%27.84萬 | -21.47%27.78萬 | -18.22%30萬 | -18.22%30萬 | --31.67萬 | --32.75萬 |
| 應付關聯方款項 | -88.84%82.1萬 | --86.1萬 | --86.1萬 | --86.96萬 | --93.43萬 | --735.72萬 | --0 | --0 | ---- | ---- |
| 衍生品負債 | --129.8萬 | --140萬 | --140萬 | ---- | ---- | ---- | --0 | --0 | ---- | ---- |
| 長期撥備 | --242.3萬 | --240.1萬 | --240.1萬 | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| 遞延負債 | -61.21%593.5萬 | 443.30%583.5萬 | 443.30%583.5萬 | --1,438.59萬 | --1,492.48萬 | --1,530.07萬 | --107.4萬 | --107.4萬 | ---- | ---- |
| 其他非流動負債 | 1,069.83%422.7萬 | 914.21%371.2萬 | 914.21%371.2萬 | 592,199,900.00%592.2萬 | --630.72萬 | --36.13萬 | --36.6萬 | --36.6萬 | --1 | ---- |
| 非流動負債總額 | -4.43%7,785.6萬 | 961.32%7,548.1萬 | 961.32%7,548.1萬 | 2,117.61%8,715.18萬 | 2,114.03%8,775.22萬 | 6,682.27%8,146.27萬 | 466.93%711.2萬 | 466.93%711.2萬 | 322.27%393萬 | 286.46%396.35萬 |
| 負債總額 | -2.81%1.14億 | 478.49%1.19億 | 478.49%1.19億 | 950.20%1.27億 | 276.01%1.22億 | 976.19%1.18億 | 145.85%2,050萬 | 145.85%2,050萬 | 160.33%1,211.41萬 | 500.89%3,257.74萬 |
| 所有者權益 | ||||||||||
| 股本 | 28.01%4,827.1萬 | 401.72%4,528.5萬 | 401.72%4,528.5萬 | 484.28%5,249.46萬 | 333.18%3,891.88萬 | 445.07%3,770.78萬 | 31.67%902.6萬 | 31.67%902.6萬 | 31.97%898.44萬 | 898,344.80%898.44萬 |
| -普通股股本 | 28.01%4,827.1萬 | 401.72%4,528.5萬 | 401.72%4,528.5萬 | 484.28%5,249.46萬 | 333.18%3,891.88萬 | 445.07%3,770.78萬 | 31.67%902.6萬 | 31.67%902.6萬 | 31.97%898.44萬 | 898,344.80%898.44萬 |
| 資本公積 | -40.78%247.1萬 | -51.93%195.1萬 | -51.93%195.1萬 | -61.59%144.44萬 | -0.17%364.58萬 | 21.59%417.24萬 | 35.21%405.9萬 | 35.21%405.9萬 | 40.50%376.04萬 | --365.2萬 |
| 留存收益 | -765.48%-2,675.7萬 | -973.01%-2,775.3萬 | -973.01%-2,775.3萬 | -122.55%-276.19萬 | -64.40%310.92萬 | -53.72%402.07萬 | -52.21%317.9萬 | -52.21%317.9萬 | 56.28%1,224.78萬 | 83.37%873.41萬 |
| 不影響留存收益的損益 | 29.73%-5.2萬 | -342.00%-24.2萬 | -342.00%-24.2萬 | 1,548.13%60.83萬 | 456.66%77.95萬 | -146.72%-7.4萬 | 185.65%10萬 | 185.65%10萬 | -23.56%-4.2萬 | -781.88%-21.85萬 |
| 其他股本權益 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---1 | ---- |
| 股東權益總額 | -47.78%2,393.3萬 | 17.58%1,924.1萬 | 17.58%1,924.1萬 | 107.55%5,178.55萬 | 119.62%4,645.32萬 | 141.11%4,582.69萬 | -0.18%1,636.4萬 | -0.18%1,636.4萬 | 44.33%2,495.07萬 | 335.86%2,115.21萬 |
| 非控制性權益 | -96.98%53萬 | -78.02%51.9萬 | -78.02%51.9萬 | 525.66%1,496.44萬 | 581.39%1,639.57萬 | 7,139.67%1,757.46萬 | 890.33%236.1萬 | 890.33%236.1萬 | 5,448.69%239.18萬 | 5,481.00%240.62萬 |
| 總權益 | -61.42%2,446.3萬 | 5.53%1,976萬 | 5.53%1,976萬 | 144.13%6,674.99萬 | 166.78%6,284.9萬 | 229.37%6,340.15萬 | 12.59%1,872.5萬 | 12.59%1,872.5萬 | 58.57%2,734.25萬 | 389.96%2,355.83萬 |
| 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 | -- | 無保留意見 | -- | -- | -- | -- | 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。