Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
快手-W
01024
5
阿里巴巴-W
09988
| (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 | -51.15%1.17亿 | 118.59%4.6亿 | -15.91%1.79亿 | 9.86%4.19亿 | -31.18%2.4亿 | -56.42%2.11亿 | -71.62%2.13亿 | 142.06%3.81亿 | 84.00%3.49亿 | 7.46%4.83亿 |
| 应收票据及应收账款 | 9.54%9.24亿 | 12.50%9.36亿 | 4.80%8.93亿 | 11.71%8.14亿 | 6.37%8.43亿 | 28.51%8.32亿 | 17.79%8.53亿 | 6.89%7.28亿 | 42.25%7.93亿 | 16.16%6.47亿 |
| -应收票据 | -14.90%6,897.47万 | 73.67%8,615.72万 | 5.28%7,286.72万 | -16.56%5,192.31万 | 59.28%8,105.3万 | 76.06%4,960.87万 | 40.40%6,921.22万 | 38.26%6,222.61万 | 623.32%5,088.7万 | -11.10%2,817.65万 |
| -应收账款 | 12.13%8.55亿 | 8.62%8.5亿 | 4.76%8.21亿 | 14.35%7.62亿 | 2.74%7.62亿 | 26.34%7.82亿 | 16.13%7.83亿 | 4.67%6.66亿 | 34.82%7.42亿 | 17.80%6.19亿 |
| 其他应收款(含利息和股利) | 125.26%908.4万 | 27.18%920.38万 | -44.20%406.19万 | -30.68%339.53万 | -28.03%403.27万 | 22.44%723.69万 | 35.65%727.98万 | 93.35%489.79万 | 24.99%560.32万 | 13.11%591.05万 |
| -其他应收款 | ---- | 27.18%920.38万 | ---- | ---- | ---- | 22.44%723.69万 | ---- | 93.35%489.79万 | ---- | 13.11%591.05万 |
| 合同资产 | 15.74%1,305.19万 | -28.01%918.89万 | -23.41%981.05万 | -42.36%722.3万 | --1,127.69万 | --1,276.36万 | --1,280.98万 | --1,253.01万 | ---- | ---- |
| 预付款项 | 146.47%6,397.01万 | -14.96%2,010.4万 | -7.61%3,394.08万 | -49.16%612.44万 | 47.30%2,595.45万 | 56.58%2,364.1万 | -60.44%3,673.56万 | -38.01%1,204.75万 | -15.23%1,762.04万 | 111.31%1,509.84万 |
| 存货 | 0.76%8.34亿 | 9.13%7.65亿 | 31.31%7.53亿 | 54.17%6.98亿 | 73.63%8.28亿 | 69.52%7.01亿 | 55.91%5.73亿 | 43.21%4.53亿 | 66.83%4.77亿 | 84.69%4.14亿 |
| 应收款项融资 | --13.18万 | --302.55万 | --1,163.24万 | --607.29万 | ---- | ---- | ---- | ---- | ---- | ---- |
| 其他流动资产 | 17.34%9,190.84万 | 100.97%1.35亿 | 55.06%1.06亿 | 62.31%1.02亿 | 17.32%7,832.54万 | 1.28%6,711.35万 | 27.04%6,862.05万 | 48.53%6,294.44万 | 20.79%6,676.07万 | 53.33%6,626.77万 |
| 流动资产合计 | 1.10%20.53亿 | 26.07%23.38亿 | 12.86%19.92亿 | 24.21%20.55亿 | 18.86%20.31亿 | 13.66%18.54亿 | -11.58%17.65亿 | 35.71%16.55亿 | 53.28%17.09亿 | 26.63%16.31亿 |
| 非流动资产 | ||||||||||
| 其他非流动金融资产 | 58,302.29%3,446.76万 | 58,302.29%3,446.76万 | 58,302.29%3,446.76万 | 0.00%5.9万 | 0.00%5.9万 | 0.00%5.9万 | 0.00%5.9万 | 0.00%5.9万 | 0.00%5.9万 | 0.00%5.9万 |
| 长期股权投资 | 55.23%2,196.07万 | 40.23%2,244.26万 | -63.60%664.24万 | -15.87%1,611.61万 | 62.87%1,414.72万 | 80.00%1,600.42万 | 106.66%1,824.6万 | 106.48%1,915.52万 | -8.35%868.61万 | -8.82%889.13万 |
| 固定资产 | ---- | 25.56%20.81亿 | ---- | ---- | ---- | 41.23%16.57亿 | ---- | 50.10%16.41亿 | ---- | 40.53%11.73亿 |
| 在建工程 | ---- | -59.54%1.73亿 | ---- | ---- | ---- | -3.52%4.29亿 | ---- | 134.31%4.24亿 | ---- | 265.36%4.44亿 |
| 无形资产 | 16.50%9,951.46万 | 7.75%9,091.53万 | -1.93%8,336.66万 | -0.33%8,478.07万 | 4.57%8,542万 | 2.74%8,437.52万 | 93.46%8,500.68万 | 98.30%8,505.95万 | 92.09%8,168.5万 | 104.29%8,212.76万 |
| 商誉 | 0.00%2.96亿 | 0.00%2.96亿 | 0.00%2.96亿 | 0.00%2.96亿 | 0.05%2.96亿 | 11.11%2.96亿 | 11.11%2.96亿 | 11.11%2.96亿 | 11.06%2.95亿 | 0.00%2.66亿 |
| 长期待摊费用 | 69.42%4,064.43万 | 33.36%3,369.46万 | 26.90%2,990.07万 | 15.18%2,846.01万 | -36.22%2,398.96万 | -19.28%2,526.59万 | -14.54%2,356.15万 | -4.89%2,470.96万 | 62.99%3,761.13万 | 35.84%3,130.08万 |
| 递延所得税资产 | 12.68%4,072.7万 | 5.92%3,748.15万 | 73.94%5,858.21万 | 3.13%3,447.92万 | 108.15%3,614.49万 | 160.23%3,538.76万 | 148.44%3,367.97万 | 65.10%3,343.4万 | 121.77%1,736.46万 | 51.31%1,359.87万 |
| 使用权资产 | 60.54%7,644.49万 | 65.90%7,245.29万 | 47.95%6,604.48万 | 67.64%7,187.99万 | -11.23%4,761.85万 | -11.94%4,367.35万 | -11.95%4,464.12万 | -19.24%4,287.82万 | -2.98%5,364.06万 | -13.19%4,959.63万 |
| 其他非流动资产 | -23.05%1.68亿 | -46.99%1.28亿 | -52.44%9,326.55万 | -43.45%7,689.82万 | -5.77%2.18亿 | 50.43%2.42亿 | 3.63%1.96亿 | -36.76%1.36亿 | 5.88%2.31亿 | -25.11%1.61亿 |
| 非流动资产合计 | 4.01%29.99亿 | 5.00%29.69亿 | 7.13%29.48亿 | 8.27%29.26亿 | 13.89%28.83亿 | 26.81%28.28亿 | 41.77%27.52亿 | 41.70%27.02亿 | 42.82%25.31亿 | 41.46%22.3亿 |
| 资产总计 | 2.81%50.52亿 | 13.34%53.07亿 | 9.37%49.4亿 | 14.32%49.81亿 | 15.89%49.14亿 | 21.26%46.82亿 | 14.73%45.17亿 | 39.37%43.57亿 | 46.86%42.4亿 | 34.79%38.62亿 |
| 负债 | ||||||||||
| 流动负债 | ||||||||||
| 短期借款 | -28.92%2.08亿 | 20.13%2.53亿 | 124.52%2.78亿 | 168.28%2.29亿 | 239.38%2.92亿 | 21.20%2.11亿 | -32.60%1.24亿 | -39.21%8,518.61万 | -24.57%8,617.5万 | 54.03%1.74亿 |
| 应付票据及应付账款 | 15.15%4.44亿 | 16.63%4.04亿 | 22.29%4亿 | 52.25%4.87亿 | 19.33%3.85亿 | 52.22%3.46亿 | 30.51%3.27亿 | 46.51%3.2亿 | 161.75%3.23亿 | 125.40%2.27亿 |
| -应付票据 | 668.86%3,697.09万 | 478.97%3,519.78万 | 23.34%3,699.7万 | -55.70%2,472.49万 | -87.71%480.85万 | -80.51%607.94万 | -52.16%2,999.53万 | 17.18%5,580.68万 | 1,096.19%3,911.1万 | 2,565.55%3,118.69万 |
| -应付账款 | 6.89%4.07亿 | 8.37%3.69亿 | 22.19%3.63亿 | 75.08%4.62亿 | 34.09%3.8亿 | 73.32%3.4亿 | 58.08%2.97亿 | 54.70%2.64亿 | 136.30%2.84亿 | 96.77%1.96亿 |
| 合同负债 | -0.53%1,753.23万 | 91.68%1,532.69万 | 43.26%838.27万 | -13.39%773.57万 | 118.41%1,762.66万 | 39.33%799.62万 | 9.67%585.13万 | -42.93%893.18万 | -66.61%807.03万 | -58.19%573.9万 |
| 应付职工薪酬 | 0.32%1,772.37万 | 0.50%1,911.15万 | 6.87%1,822.32万 | 21.62%2,557.13万 | 2.90%1,766.65万 | 19.32%1,901.68万 | 16.10%1,705.1万 | 9.44%2,102.62万 | 11.83%1,716.81万 | 41.37%1,593.73万 |
| 应交税费 | 43.88%1,519.57万 | 28.03%1,422.46万 | 11.42%2,140.1万 | 104.84%2,708.13万 | 41.67%1,056.15万 | -7.67%1,111.03万 | 22.03%1,920.75万 | -27.66%1,322.08万 | -57.55%745.52万 | -14.10%1,203.37万 |
| 其他应付款(含利息和股利) | -99.36%107.44万 | -68.84%5,228.81万 | 95.34%3.45亿 | -5.37%1.66亿 | -2.34%1.69亿 | 0.62%1.68亿 | 599.36%1.76亿 | 624.73%1.75亿 | 4,569.10%1.73亿 | 70.78%1.67亿 |
| -应付利息 | ---- | ---- | ---- | ---- | 66.66%174.99万 | 66.66%87.5万 | ---- | ---- | --105万 | --52.5万 |
| -其他应付款 | ---- | -68.67%5,228.81万 | ---- | ---- | ---- | 0.42%1.67亿 | ---- | 624.73%1.75亿 | ---- | 70.25%1.66亿 |
| 一年内到期的非流动负债 | 54.98%7.37亿 | 107.11%8.05亿 | 113.09%6.42亿 | 65.49%4.87亿 | 81.96%4.75亿 | 84.57%3.89亿 | 123.89%3.01亿 | 195.28%2.94亿 | 466.79%2.61亿 | 335.20%2.11亿 |
| 其他流动负债 | 329.30%5,073.79万 | 355.90%5,604万 | 297.39%4,725万 | 77.99%2,572.84万 | 71.36%1,181.88万 | 927.71%1,229.21万 | 64.30%1,189万 | -11.43%1,445.47万 | 188.40%689.72万 | -14.45%119.61万 |
| 流动负债合计 | 8.04%14.9亿 | 39.12%16.19亿 | 79.11%17.6亿 | 56.04%14.54亿 | 56.29%13.79亿 | 43.06%11.64亿 | 54.19%9.83亿 | 68.93%9.32亿 | 154.48%8.83亿 | 103.29%8.14亿 |
| 非流动负债 | ||||||||||
| 长期借款 | 0.63%10.01亿 | 12.29%11.13亿 | -15.43%8.98亿 | 9.50%10.74亿 | 7.96%9.95亿 | 44.16%9.91亿 | 71.21%10.62亿 | 63.94%9.8亿 | 51.80%9.21亿 | 20.55%6.87亿 |
| 应付债券 | 3.49%6.52亿 | 3.63%6.47亿 | 3.77%6.42亿 | 3.80%6.36亿 | 7.56%6.3亿 | 7.79%6.24亿 | 8.04%6.18亿 | --6.12亿 | --5.86亿 | --5.79亿 |
| 长期应付款 | ---- | 149.05%1.69亿 | ---- | ---- | ---- | 93.78%6,790.46万 | ---- | -65.85%1,773.07万 | ---- | -48.04%3,504.23万 |
| 递延所得税负债 | -79.16%951.98万 | -76.12%1,073.75万 | -24.71%3,291.17万 | -76.23%1,060.17万 | 104.67%4,568.5万 | 130.43%4,496.47万 | 80.16%4,371.12万 | 58.79%4,459.6万 | -40.83%2,232.13万 | -36.25%1,951.37万 |
| 长期递延收益 | 143.32%8,637.68万 | 138.98%8,724.47万 | 193.97%8,973.11万 | 160.44%7,551.3万 | 28.13%3,549.91万 | 38.26%3,650.75万 | 28.18%3,052.41万 | 87.46%2,899.42万 | 124.09%2,770.49万 | 107.59%2,640.54万 |
| 租赁负债 | 62.79%5,920.59万 | 65.04%5,443.05万 | 43.84%4,980.78万 | 65.93%5,698.82万 | -2.89%3,637.02万 | 23.55%3,297.95万 | 6.87%3,462.75万 | -2.81%3,434.57万 | -0.77%3,745.14万 | -27.10%2,669.3万 |
| 非流动负债合计 | 8.29%19.51亿 | 15.78%20.81亿 | -2.37%17.56亿 | 10.81%19.04亿 | 11.16%18.02亿 | 30.81%17.97亿 | 36.57%17.98亿 | 135.77%17.18亿 | 114.70%16.21亿 | 91.49%13.74亿 |
| 负债合计 | 8.18%34.42亿 | 24.95%37亿 | 26.42%35.16亿 | 26.72%33.58亿 | 27.07%31.81亿 | 35.37%29.61亿 | 42.32%27.81亿 | 106.98%26.5亿 | 127.23%25.03亿 | 95.72%21.88亿 |
| 所有者权益(或股东权益) | ||||||||||
| 实收资本(或股本) | 0.17%2.97亿 | 0.17%2.97亿 | 40.08%2.97亿 | 40.09%2.97亿 | 40.08%2.97亿 | 40.08%2.97亿 | 0.14%2.12亿 | 0.14%2.12亿 | 0.14%2.12亿 | 0.14%2.12亿 |
| 其他权益工具 | -0.05%8,164.78万 | -0.05%8,165.18万 | -0.05%8,165.42万 | -0.07%8,165.49万 | -31.76%8,168.99万 | -31.76%8,169.08万 | -31.76%8,169.29万 | --8,170.99万 | --1.2亿 | --1.2亿 |
| 资本公积 | -5.40%6.81亿 | -5.73%6.78亿 | -13.87%6.51亿 | -3.72%7.26亿 | -5.87%7.2亿 | -3.77%7.19亿 | -23.30%7.56亿 | -23.30%7.54亿 | -21.92%7.65亿 | -23.37%7.47亿 |
| 盈余公积 | 23.90%5,955.27万 | 23.90%5,955.27万 | 23.90%5,955.27万 | 23.90%5,955.27万 | 43.13%4,806.68万 | 43.13%4,806.68万 | 43.13%4,806.68万 | 43.13%4,806.68万 | 23.22%3,358.26万 | 23.22%3,358.26万 |
| 未分配利润 | -22.37%3.28亿 | -11.05%3.66亿 | -23.34%3.57亿 | -28.53%3.11亿 | 2.51%4.22亿 | 8.30%4.12亿 | 17.73%4.65亿 | 12.39%4.35亿 | 29.16%4.12亿 | 32.37%3.8亿 |
| 减:库存股 | 207.14%7,549.82万 | 306.31%7,549.82万 | 465.77%8,398.03万 | 191.52%4,327.15万 | 65.60%2,458.08万 | 25.18%1,858.15万 | -30.00%1,484.36万 | -30.00%1,484.36万 | --1,484.36万 | --1,484.36万 |
| 专项储备 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --42.47万 | --12.92万 |
| 归属母公司所有者权益合计 | -11.16%13.72亿 | -8.56%14.07亿 | -12.03%13.62亿 | -5.55%14.31亿 | 1.09%15.44亿 | 4.12%15.39亿 | -10.24%15.48亿 | -4.91%15.15亿 | -0.63%15.28亿 | -1.55%14.78亿 |
| 少数股东权益 | 26.58%2.39亿 | 9.61%2亿 | -66.60%6,290.61万 | 0.06%1.91亿 | -9.89%1.88亿 | -6.99%1.82亿 | -27.25%1.88亿 | -24.11%1.91亿 | -15.78%2.09亿 | -20.26%1.96亿 |
| 所有者权益(或股东权益)合计 | -7.06%16.1亿 | -6.63%16.07亿 | -17.95%14.24亿 | -4.92%16.23亿 | -0.23%17.33亿 | 2.82%17.21亿 | -12.46%17.36亿 | -7.54%17.07亿 | -2.74%17.37亿 | -4.18%16.74亿 |
| 负债和所有者权益(或股东权益)总计 | 2.81%50.52亿 | 13.34%53.07亿 | 9.37%49.4亿 | 14.32%49.81亿 | 15.89%49.14亿 | 21.26%46.82亿 | 14.73%45.17亿 | 39.37%43.57亿 | 46.86%42.4亿 | 34.79%38.62亿 |
| 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 | -- | -- | -- | 中兴华会计师事务所(特殊普通合伙) | -- | -- | -- | 天职国际会计师事务所(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。