Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
百度集团-SW
09888
5
京东健康
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 | |
|---|---|---|---|---|---|---|---|---|---|---|
| 资产 | ||||||||||
| 流动资产 | ||||||||||
| 货币资金 | 71.71%4.24亿 | 2.33%3.53亿 | -25.81%2.57亿 | 43.05%3.76亿 | -37.66%2.47亿 | -13.08%3.45亿 | -33.90%3.47亿 | -41.87%2.63亿 | -16.46%3.96亿 | -25.81%3.97亿 |
| 应收票据及应收账款 | -11.40%5.48亿 | -4.67%5.94亿 | 2.52%5.72亿 | -18.22%5.08亿 | 1.07%6.19亿 | -0.96%6.23亿 | -11.05%5.58亿 | 0.90%6.21亿 | -17.59%6.12亿 | 0.39%6.29亿 |
| -应收票据 | -30.76%3,202.93万 | -10.16%5,186.27万 | -3.69%4,511.55万 | -26.21%3,502.08万 | 45.85%4,625.52万 | 71.15%5,773.01万 | 81.91%4,684.44万 | 137.28%4,746.03万 | 33.56%3,171.32万 | 33.38%3,373.04万 |
| -应收账款 | -9.84%5.16亿 | -4.11%5.42亿 | 3.09%5.27亿 | -17.56%4.73亿 | -1.38%5.72亿 | -5.05%5.65亿 | -15.03%5.11亿 | -3.68%5.74亿 | -19.28%5.8亿 | -0.99%5.95亿 |
| 其他应收款(含利息和股利) | -8.05%1,642.53万 | -24.94%958.44万 | 3.31%1,588.09万 | -31.00%1,641.85万 | 27.88%1,786.38万 | -44.26%1,276.98万 | -58.29%1,537.17万 | -23.23%2,379.38万 | -51.61%1,396.95万 | -43.16%2,290.8万 |
| -其他应收款 | ---- | -24.94%958.44万 | ---- | ---- | ---- | -44.26%1,276.98万 | ---- | -23.23%2,379.38万 | ---- | -43.16%2,290.8万 |
| 合同资产 | -19.17%8,103.36万 | -7.81%8,558.28万 | 0.18%9,414.13万 | 15.18%9,683.92万 | -21.81%1亿 | -27.83%9,283.1万 | 7.36%9,396.92万 | -15.86%8,407.65万 | 38.42%1.28亿 | 51.54%1.29亿 |
| 预付款项 | -18.42%4,438.93万 | -10.28%4,100.55万 | -9.46%4,272.65万 | -21.77%2,104.13万 | 8.19%5,441.08万 | 18.64%4,570.56万 | 0.69%4,719.01万 | -9.40%2,689.79万 | -26.44%5,029.11万 | -45.32%3,852.59万 |
| 存货 | -14.62%4.59亿 | -14.79%4.36亿 | -29.15%4.36亿 | -26.37%4.32亿 | -3.56%5.38亿 | -7.22%5.12亿 | 37.03%6.15亿 | 17.84%5.87亿 | 15.94%5.58亿 | 22.15%5.52亿 |
| 应收款项融资 | -43.63%1,047.37万 | -3.65%1,878.4万 | -9.27%1,662.92万 | 40.83%2,671.04万 | 61.67%1,858.06万 | 273.86%1,949.55万 | -4.27%1,832.74万 | 28.51%1,896.69万 | -37.88%1,149.26万 | -84.18%521.46万 |
| 其他流动资产 | 44.26%5,669.78万 | -12.36%4,188.13万 | 7.93%4,300.42万 | 10.85%5,373.57万 | -9.60%3,930.22万 | 33.70%4,778.58万 | 16.45%3,984.56万 | 57.35%4,847.66万 | 25.73%4,347.63万 | 34.54%3,574.17万 |
| 流动资产合计 | 0.39%16.4亿 | -6.98%15.8亿 | -14.82%14.77亿 | -8.51%15.31亿 | -9.89%16.33亿 | -6.09%16.99亿 | -4.97%17.34亿 | -5.57%16.73亿 | -6.57%18.13亿 | -3.71%18.09亿 |
| 非流动资产 | ||||||||||
| 其他权益工具投资 | 75.32%277.25万 | 71.07%299.37万 | 19.91%225.13万 | -31.71%139.84万 | -24.34%158.14万 | -18.18%174.99万 | 33.80%187.75万 | 31.57%204.77万 | -9.95%209.02万 | -8.47%213.88万 |
| 其他非流动金融资产 | 2.63%3.97亿 | 5.22%3.97亿 | 2.35%3.86亿 | -0.59%3.82亿 | 4.17%3.87亿 | 4.00%3.78亿 | 4.64%3.78亿 | 7.97%3.84亿 | 4.40%3.71亿 | 2.50%3.63亿 |
| 长期股权投资 | -1.75%6,868.07万 | 2.41%6,822.81万 | 0.82%6,732.8万 | 6.78%7,004.94万 | 14.10%6,990.31万 | 9.25%6,662.21万 | 6.93%6,677.76万 | 8.08%6,560.39万 | 3.21%6,126.39万 | 4.78%6,098.04万 |
| 固定资产 | ---- | 14.40%10.79亿 | ---- | ---- | ---- | -5.41%9.43亿 | ---- | 2.08%10.05亿 | ---- | 4.54%9.97亿 |
| 在建工程 | ---- | -15.44%2.48亿 | ---- | ---- | ---- | 110.57%2.93亿 | ---- | 100.72%2.34亿 | ---- | 12.41%1.39亿 |
| 工程物资 | ---- | -21.86%3,298.34万 | ---- | ---- | ---- | 28.15%4,221.19万 | ---- | -7.18%3,008.92万 | ---- | 4.80%3,293.89万 |
| 无形资产 | -6.19%2.19亿 | -6.05%2.23亿 | -6.02%2.26亿 | -6.04%2.3亿 | -6.21%2.33亿 | -6.05%2.37亿 | -1.93%2.41亿 | 19.46%2.44亿 | 19.70%2.49亿 | 19.96%2.52亿 |
| 商誉 | -32.49%2.26亿 | -32.49%2.26亿 | -32.49%2.26亿 | -32.49%2.26亿 | -10.33%3.35亿 | -10.33%3.35亿 | -9.74%3.35亿 | -9.07%3.35亿 | 1.90%3.74亿 | 1.90%3.74亿 |
| 长期待摊费用 | -18.77%708.02万 | 43.74%794.71万 | 950.57%894.66万 | 897.65%916.63万 | 551.77%871.61万 | 808.36%552.86万 | 107.45%85.16万 | 93.67%91.88万 | 145.81%133.73万 | 147.51%60.86万 |
| 递延所得税资产 | 51.10%1.62亿 | 47.70%1.57亿 | 57.70%1.48亿 | 53.32%1.47亿 | 101.64%1.07亿 | 103.26%1.07亿 | 82.45%9,355.87万 | 61.29%9,596.63万 | 31.58%5,306.81万 | 8.15%5,246.17万 |
| 使用权资产 | -18.97%2,655.94万 | -15.34%2,827.68万 | 9.63%2,903.61万 | -1.71%2,999.67万 | 75.07%3,277.88万 | 63.97%3,340.11万 | 31.26%2,648.61万 | 68.66%3,051.78万 | 5.84%1,872.29万 | 48.06%2,037.05万 |
| 其他非流动资产 | -31.28%2,762.92万 | 20.70%4,027.43万 | -49.32%3,079.94万 | -35.02%2,834.47万 | -57.31%4,020.55万 | -63.18%3,336.6万 | -2.31%6,077.46万 | 13.35%4,362.38万 | 174.82%9,418.98万 | 156.46%9,062.41万 |
| 非流动资产合计 | 0.55%25.05亿 | 1.44%25.12亿 | 0.45%24.69亿 | 0.66%24.88亿 | 4.01%24.92亿 | 3.77%24.76亿 | 5.63%24.58亿 | 10.27%24.72亿 | 9.36%23.95亿 | 8.49%23.86亿 |
| 资产总计 | 0.49%41.45亿 | -1.99%40.92亿 | -5.87%39.46亿 | -3.04%40.19亿 | -1.98%41.25亿 | -0.48%41.75亿 | 0.97%41.92亿 | 3.28%41.45亿 | 1.88%42.08亿 | 2.87%41.95亿 |
| 负债 | ||||||||||
| 流动负债 | ||||||||||
| 短期借款 | 54.71%11.36亿 | 46.73%10.27亿 | 22.70%9.22亿 | 42.70%9.39亿 | 31.48%7.34亿 | 32.89%7亿 | 44.84%7.52亿 | 26.70%6.58亿 | 5.10%5.59亿 | -4.32%5.27亿 |
| 交易性金融负债 | --5.28万 | --7.59万 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| 应付票据及应付账款 | 1.02%4.47亿 | 14.42%4.68亿 | 7.93%4.45亿 | 6.45%4.71亿 | -3.69%4.43亿 | -16.77%4.09亿 | -11.52%4.12亿 | -7.75%4.42亿 | -10.33%4.6亿 | -2.25%4.91亿 |
| -应付票据 | 19.46%7,822.92万 | -12.78%8,246.5万 | -17.18%7,640.98万 | -52.62%4,776.89万 | -66.08%6,548.66万 | -55.75%9,455.05万 | -58.76%9,225.78万 | -53.03%1.01亿 | -5.08%1.93亿 | -20.50%2.14亿 |
| -应付账款 | -2.18%3.69亿 | 22.61%3.85亿 | 15.16%3.69亿 | 23.89%4.23亿 | 41.49%3.77亿 | 13.21%3.14亿 | 32.10%3.2亿 | 28.95%3.41亿 | -13.79%2.67亿 | 18.70%2.78亿 |
| 合同负债 | -20.25%1,587.17万 | 2.16%1,842.94万 | -15.46%1,130.83万 | 0.11%841.25万 | -36.79%1,990.26万 | -20.86%1,804.04万 | 11.19%1,337.61万 | 0.17%840.32万 | 138.52%3,148.44万 | 23.91%2,279.42万 |
| 应付职工薪酬 | 32.28%966.36万 | 17.47%828.89万 | 84.09%888.37万 | 23.55%1,587.79万 | -25.62%730.52万 | -24.24%705.6万 | -34.48%482.57万 | 8.05%1,285.11万 | -3.14%982.12万 | 7.39%931.35万 |
| 应交税费 | 8.63%714.42万 | -40.83%697.75万 | 121.00%1,086.23万 | -16.64%1,247.2万 | -37.10%657.66万 | -57.03%1,179.16万 | -81.52%491.51万 | -39.76%1,496.2万 | -58.36%1,045.51万 | 57.92%2,744.22万 |
| 其他应付款(含利息和股利) | 14.48%3,799.44万 | 8.75%3,188万 | -31.46%3,219.62万 | -35.95%2,415.37万 | -5.61%3,318.8万 | -31.31%2,931.53万 | -14.12%4,697.63万 | 168.76%3,770.84万 | 9.26%3,516.1万 | 29.60%4,267.78万 |
| -其他应付款 | ---- | 8.75%3,188万 | ---- | ---- | ---- | -31.31%2,931.53万 | ---- | 225.62%3,770.84万 | ---- | 37.88%4,267.78万 |
| 一年内到期的非流动负债 | -43.03%8,835.85万 | -61.16%9,514.14万 | -78.05%5,539.18万 | -80.34%5,529.42万 | 8.14%1.55亿 | 135.24%2.45亿 | 125.77%2.52亿 | 145.85%2.81亿 | 196.48%1.43亿 | -35.81%1.04亿 |
| 其他流动负债 | -18.76%3,224.71万 | -8.79%4,738.91万 | 53.51%4,729.14万 | 8.75%3,220.01万 | 101.22%3,969.32万 | 265.26%5,195.48万 | 167.20%3,080.62万 | 94.85%2,960.95万 | -2.32%1,972.61万 | -25.88%1,422.4万 |
| 流动负债合计 | 23.35%17.75亿 | 15.70%17.03亿 | 1.06%15.33亿 | 4.94%15.59亿 | 13.45%14.39亿 | 18.84%14.72亿 | 25.46%15.17亿 | 25.04%14.85亿 | 4.54%12.68亿 | -6.05%12.39亿 |
| 非流动负债 | ||||||||||
| 长期借款 | -29.65%1.29亿 | -24.04%1.42亿 | 15.59%1.81亿 | 78.59%2.1亿 | -31.07%1.83亿 | -27.67%1.86亿 | -40.53%1.57亿 | -47.05%1.18亿 | -24.41%2.66亿 | 2.47%2.58亿 |
| 预计负债 | ---- | ---- | ---- | ---- | -79.09%55.08万 | -73.39%70.09万 | 199.10%757万 | 236.00%850.39万 | --263.37万 | --263.37万 |
| 递延所得税负债 | 29.68%6,070.07万 | 19.11%6,143.58万 | 20.41%5,466.47万 | 6.98%5,633.44万 | 7.16%4,680.78万 | 17.86%5,157.85万 | 7.34%4,539.89万 | 12.43%5,265.81万 | 8.30%4,367.86万 | 8.21%4,376.13万 |
| 长期递延收益 | -9.05%2,268.69万 | -8.93%2,326.97万 | -8.82%2,385.24万 | -8.71%2,443.51万 | -8.87%2,494.43万 | -8.68%2,555.15万 | -8.50%2,615.88万 | -8.32%2,676.6万 | -10.41%2,737.33万 | -10.92%2,798.05万 |
| 租赁负债 | -14.54%2,459.72万 | -14.92%2,481.18万 | 8.78%2,631.29万 | -2.21%2,605.73万 | 63.76%2,878.12万 | 56.00%2,916.38万 | 31.99%2,418.98万 | 72.91%2,664.61万 | 10.60%1,757.51万 | 42.69%1,869.46万 |
| 非流动负债合计 | -16.68%2.37亿 | -14.41%2.51亿 | 9.98%2.86亿 | 36.47%3.17亿 | -20.38%2.84亿 | -16.36%2.93亿 | -26.81%2.6亿 | -26.54%2.32亿 | -18.55%3.57亿 | 4.26%3.51亿 |
| 负债合计 | 16.75%20.12亿 | 10.69%19.54亿 | 2.36%18.19亿 | 9.20%18.75亿 | 6.02%17.23亿 | 11.07%17.65亿 | 13.59%17.77亿 | 14.20%17.17亿 | -1.59%16.25亿 | -3.95%15.89亿 |
| 所有者权益(或股东权益) | ||||||||||
| 实收资本(或股本) | 0.00%9.63亿 | 0.00%9.63亿 | 0.00%9.63亿 | 0.00%9.63亿 | 0.00%9.63亿 | 0.00%9.63亿 | 0.00%9.63亿 | 0.00%9.63亿 | 0.00%9.63亿 | 0.00%9.63亿 |
| 资本公积 | 0.24%6.93亿 | 0.97%6.96亿 | -4.34%6.91亿 | 1.17%6.89亿 | 1.46%6.92亿 | 1.08%6.89亿 | 5.89%7.22亿 | -0.06%6.81亿 | 0.06%6.82亿 | 0.06%6.82亿 |
| 盈余公积 | 1.45%5,567.61万 | 1.45%5,567.61万 | 1.45%5,567.61万 | 1.45%5,567.61万 | 3.51%5,488.26万 | 3.51%5,488.26万 | 7.99%5,488.26万 | 7.99%5,488.26万 | 4.29%5,302.34万 | 4.29%5,302.34万 |
| 未分配利润 | -48.04%2.78亿 | -48.82%2.76亿 | -50.17%2.72亿 | -51.85%2.85亿 | -28.92%5.35亿 | -30.16%5.39亿 | -29.91%5.46亿 | -18.48%5.91亿 | 6.84%7.52亿 | 18.21%7.72亿 |
| 减:库存股 | ---- | ---- | ---- | ---- | ---- | ---- | 0.00%3,498.28万 | 0.00%3,498.28万 | 0.00%3,498.28万 | 0.00%3,498.28万 |
| 其他综合收益 | -398.78%-295.57万 | -286.29%-123.76万 | -4.82%-1,170.94万 | -451.16%-594.47万 | 147.59%98.93万 | -117.74%-32.04万 | -410.98%-1,117.14万 | 122.12%169.28万 | 81.32%-207.89万 | 116.47%180.58万 |
| 专项储备 | 54.33%1,897.83万 | 6.84%1,991.82万 | 15.98%2,159.56万 | 15.30%1,983.82万 | 0.76%1,229.69万 | 67.39%1,864.24万 | 110.69%1,862.04万 | 94.69%1,720.6万 | 63.27%1,220.47万 | 73.69%1,113.69万 |
| 归属母公司所有者权益合计 | -11.15%20.06亿 | -11.28%20.1亿 | -11.82%19.91亿 | -11.78%20.07亿 | -6.91%22.58亿 | -7.49%22.65亿 | -7.68%22.58亿 | -4.72%22.75亿 | 2.73%24.25亿 | 6.02%24.48亿 |
| 少数股东权益 | -11.56%1.28亿 | -11.21%1.28亿 | -13.47%1.35亿 | -10.53%1.37亿 | -8.54%1.44亿 | -8.19%1.45亿 | 11.04%1.56亿 | 25.17%1.53亿 | 33.13%1.58亿 | 38.09%1.58亿 |
| 所有者权益(或股东权益)合计 | -11.17%21.34亿 | -11.28%21.38亿 | -11.93%21.27亿 | -11.70%21.44亿 | -7.01%24.02亿 | -7.53%24.1亿 | -6.66%24.15亿 | -3.27%24.28亿 | 4.18%25.83亿 | 7.53%26.06亿 |
| 负债和所有者权益(或股东权益)总计 | 0.49%41.45亿 | -1.99%40.92亿 | -5.87%39.46亿 | -3.04%40.19亿 | -1.98%41.25亿 | -0.48%41.75亿 | 0.97%41.92亿 | 3.28%41.45亿 | 1.88%42.08亿 | 2.87%41.95亿 |
| 货币单位 | 人民币 | 人民币 | 人民币 | 人民币 | 人民币 | 人民币 | 人民币 | 人民币 | 人民币 | 人民币 |
| 会计准则 | 新会计准则(2007) | 新会计准则(2007) | 新会计准则(2007) | 新会计准则(2007) | 新会计准则(2007) | 新会计准则(2007) | 新会计准则(2007) | 新会计准则(2007) | 新会计准则(2007) | 新会计准则(2007) |
| 审计意见 | -- | -- | -- | 无保留意见 | -- | -- | -- | 无保留意见 | -- | -- |
| 会计师事务所 | -- | -- | -- | 众华会计师事务所(特殊普通合伙) | -- | -- | -- | 大华会计师事务所(特殊普通合伙) | -- | -- |
FY:Financial Year 年度报告,相当于上市公司向SEC披露的10-K文件。
Q:Quarter 季度报告,相当于上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4为单季报,跨度为3个月;Q6、Q9为累计季报,Q6为6个月,Q9为9个月。