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 | -4.42%8,764.9万 | 114.58%1.9亿 | -53.32%7,367.73万 | -44.68%9,058.1万 | -2.86%9,170.35万 | -22.27%8,853.78万 | 23.94%1.58亿 | 1.02%1.64亿 | -51.56%9,440.63万 | -58.80%1.14亿 |
| 交易性金融资产 | -16.86%1.5亿 | -71.54%6,006.13万 | 58.08%1.91亿 | 81.76%2.01亿 | 63.06%1.81亿 | 91.27%2.11亿 | 0.28%1.21亿 | -8.07%1.1亿 | -26.24%1.11亿 | 10.10%1.1亿 |
| 应收票据及应收账款 | -21.55%2.59亿 | -16.24%2.77亿 | -6.33%3.15亿 | -8.90%3亿 | -25.28%3.31亿 | -25.49%3.3亿 | -30.24%3.36亿 | -25.06%3.3亿 | -13.59%4.43亿 | -13.68%4.43亿 |
| -应收票据 | --1,035.92万 | --1,136.1万 | --1,941.46万 | --1,753.37万 | ---- | ---- | ---- | ---- | --25.23万 | ---- |
| -应收账款 | -24.68%2.49亿 | -19.68%2.65亿 | -12.11%2.95亿 | -14.22%2.83亿 | -25.24%3.31亿 | -25.49%3.3亿 | -30.24%3.36亿 | -24.92%3.3亿 | -13.64%4.42亿 | -13.68%4.43亿 |
| 其他应收款(含利息和股利) | 6.53%3,954.56万 | 0.97%3,766.14万 | -10.56%3,747.99万 | -11.55%3,666.08万 | -18.09%3,712.13万 | -16.73%3,730.12万 | -21.70%4,190.62万 | -24.81%4,144.99万 | -18.30%4,531.78万 | -23.32%4,479.37万 |
| -其他应收款 | ---- | 0.97%3,766.14万 | ---- | ---- | ---- | -16.73%3,730.12万 | ---- | -24.81%4,144.99万 | ---- | -23.32%4,479.37万 |
| 预付款项 | -37.96%2,592.12万 | -66.15%1,509.95万 | -70.44%1,312.17万 | -68.76%1,286.61万 | -18.18%4,178.06万 | -14.27%4,461.21万 | -15.21%4,439.63万 | -24.81%4,118.12万 | -11.15%5,106.45万 | -9.83%5,203.73万 |
| 存货 | -33.75%2.16亿 | -29.58%2.31亿 | -24.40%2.46亿 | -27.86%2.43亿 | -10.67%3.25亿 | -9.69%3.28亿 | -7.40%3.26亿 | -5.47%3.37亿 | -2.96%3.64亿 | -4.65%3.63亿 |
| 应收款项融资 | -60.82%481.94万 | -42.41%674.16万 | -51.91%427.31万 | -42.64%1,269.74万 | -50.66%1,230万 | -59.93%1,170.67万 | -84.28%888.63万 | -58.12%2,213.77万 | -38.37%2,492.93万 | -24.91%2,921.67万 |
| 一年内到期的非流动资产 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --5,557.18万 | --5,507.99万 |
| 其他流动资产 | -27.04%4,306.44万 | -26.79%4,355.78万 | -31.79%4,064.43万 | -28.32%4,350.71万 | 543.51%5,902.7万 | 309.30%5,949.98万 | 244.14%5,958.99万 | 266.12%6,069.55万 | -50.65%917.27万 | -12.45%1,453.69万 |
| 流动资产合计 | -23.41%8.26亿 | -22.52%8.6亿 | -15.90%9.21亿 | -14.99%9.41亿 | -9.96%10.79亿 | -9.41%11.1亿 | -16.75%10.95亿 | -15.68%11.06亿 | -14.70%11.98亿 | -15.00%12.26亿 |
| 非流动资产 | ||||||||||
| 投资性房地产 | -3.72%5,574.85万 | -3.73%5,630.61万 | -3.74%5,686.37万 | -3.76%5,742.12万 | 401.40%5,790.19万 | 395.55%5,848.85万 | 389.95%5,907.51万 | 385.62%5,966.17万 | -7.99%1,154.81万 | -7.91%1,180.28万 |
| 长期股权投资 | -31.59%113.24万 | -26.81%119.08万 | -19.21%130.14万 | -6.77%147.54万 | -4.36%165.53万 | -4.30%162.7万 | 9.29%161.08万 | 4.47%158.25万 | 5.04%173.07万 | -4.28%170.02万 |
| 固定资产 | ---- | -7.68%9,921.72万 | ---- | ---- | ---- | -8.32%1.07亿 | ---- | -7.36%1.12亿 | ---- | -7.34%1.17亿 |
| 无形资产 | -56.40%846.66万 | -58.23%861.27万 | -65.02%853.73万 | -63.76%874.29万 | -23.35%1,941.9万 | -25.62%2,061.88万 | -13.48%2,440.91万 | -18.33%2,412.54万 | -27.01%2,533.51万 | -10.98%2,772.17万 |
| 开发支出 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 6.08%1,126.87万 | -6.72%897.19万 |
| 长期待摊费用 | -37.18%8.87万 | -34.21%10.2万 | 1,148.66%11.53万 | 457.09%12.86万 | 249.15%14.12万 | 173.49%15.51万 | -85.71%9,236.3 | -70.59%2.31万 | -56.21%4.04万 | -46.62%5.67万 |
| 递延所得税资产 | -56.38%150.96万 | -61.81%154.38万 | -56.51%164.8万 | -40.56%233.17万 | -63.83%346.04万 | -57.95%404.26万 | -60.95%378.95万 | -58.67%392.31万 | -43.95%956.64万 | -43.46%961.33万 |
| 使用权资产 | -51.05%135.54万 | -44.82%174.08万 | -29.77%225.44万 | -26.83%251.14万 | 19.45%276.9万 | 23.11%315.49万 | 67.17%321.01万 | 74.03%343.26万 | 8.42%231.81万 | 8.54%256.27万 |
| 其他非流动资产 | ---- | ---- | ---- | ---- | ---- | ---- | -98.89%54.08万 | ---- | 0.00%4,892.14万 | -0.02%4,892.14万 |
| 非流动资产合计 | -15.10%1.63亿 | -13.73%1.69亿 | -14.56%1.7亿 | -14.72%1.74亿 | -14.86%1.92亿 | -14.45%1.96亿 | -13.56%1.99亿 | -11.92%2.04亿 | -26.11%2.25亿 | -24.67%2.29亿 |
| 资产总计 | -22.15%9.89亿 | -21.20%10.29亿 | -15.70%10.91亿 | -14.94%11.15亿 | -10.74%12.71亿 | -10.20%13.06亿 | -16.28%12.94亿 | -15.12%13.11亿 | -16.74%14.23亿 | -16.68%14.54亿 |
| 负债 | ||||||||||
| 流动负债 | ||||||||||
| 短期借款 | 27.55%3,702.06万 | -42.01%2,901.49万 | -1.33%2,962.98万 | 229.55%2,902.65万 | 229.24%2,902.51万 | 399.53%5,003.07万 | -24.62%3,002.77万 | -81.59%880.8万 | -93.22%881.59万 | -94.44%1,001.55万 |
| 应付票据及应付账款 | -31.17%1.65亿 | -16.60%1.87亿 | 3.35%2.25亿 | 2.15%2.32亿 | 7.94%2.4亿 | -3.82%2.25亿 | -7.21%2.17亿 | 9.96%2.27亿 | 5.22%2.22亿 | 11.06%2.34亿 |
| -应付票据 | -45.27%1,080.64万 | -26.31%1,114.86万 | 123.18%1,983.15万 | 76.58%2,196.05万 | -16.64%1,974.5万 | -58.37%1,513万 | -80.67%888.58万 | -63.71%1,243.65万 | -25.16%2,368.75万 | 0.89%3,634.02万 |
| -应付账款 | -29.91%1.54亿 | -15.90%1.76亿 | -1.75%2.05亿 | -2.17%2.1亿 | 10.87%2.2亿 | 6.22%2.1亿 | 10.72%2.09亿 | 24.64%2.14亿 | 10.57%1.99亿 | 13.16%1.97亿 |
| 合同负债 | -54.00%2,485.97万 | -70.69%1,587.55万 | -70.03%1,614.24万 | -68.03%1,702.37万 | -4.06%5,404.27万 | -1.70%5,416.55万 | -4.36%5,386.65万 | -6.77%5,324.61万 | -9.12%5,632.9万 | -8.73%5,509.98万 |
| 预收款项 | 99.03%71.72万 | -37.07%83.87万 | -6.44%52.1万 | -32.76%68.57万 | -48.08%36.03万 | 2,034.85%133.29万 | 66.33%55.69万 | 60.73%101.97万 | 86.88%69.41万 | 27.60%6.24万 |
| 应付职工薪酬 | -8.16%2,214.75万 | -10.78%1,861.9万 | -32.12%1,399.52万 | -20.30%2,095.97万 | -18.75%2,411.52万 | -21.08%2,086.95万 | -2.19%2,061.77万 | -7.53%2,629.75万 | 3.66%2,968.04万 | 0.55%2,644.26万 |
| 应交税费 | 20.46%1,822.24万 | 29.40%2,046.43万 | -6.38%1,864.76万 | -23.37%1,891.61万 | -5.64%1,512.68万 | 0.11%1,581.46万 | 13.59%1,991.78万 | 26.54%2,468.41万 | -3.16%1,603.18万 | 3.16%1,579.7万 |
| 其他应付款(含利息和股利) | -24.92%5,616.51万 | -29.22%5,651万 | -24.51%6,132.93万 | -23.18%6,361.2万 | -9.92%7,480.75万 | 1.40%7,983.61万 | 5.62%8,124.48万 | 4.91%8,280.58万 | -0.76%8,304.37万 | 10.02%7,873.36万 |
| -应付股利 | ---- | ---- | ---- | ---- | -69.68%215.58万 | 79.79%711.1万 | --711.1万 | 79.79%711.1万 | --711.1万 | 96.80%395.52万 |
| -其他应付款 | ---- | -22.30%5,651万 | ---- | ---- | ---- | -2.75%7,272.52万 | ---- | 0.96%7,569.48万 | ---- | 7.52%7,477.84万 |
| 一年内到期的非流动负债 | -9.01%237.4万 | -7.34%240.48万 | 11.51%270.75万 | 9.15%267.35万 | 51.38%260.9万 | 47.20%259.53万 | 90.98%242.81万 | 58.85%244.94万 | 14.04%172.35万 | 8.03%176.31万 |
| 其他流动负债 | 34.17%849.2万 | 1.33%638.38万 | 153.37%1,599.45万 | 95.54%1,240.12万 | -3.44%632.91万 | -1.71%629.98万 | -1.13%631.26万 | -1.72%634.2万 | 0.85%655.48万 | 1.71%640.91万 |
| 流动负债调整项目 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---0.01 | ---0.01 |
| 流动负债合计 | -24.92%3.35亿 | -25.93%3.38亿 | -11.27%3.84亿 | -8.20%3.97亿 | 4.99%4.46亿 | 6.47%4.56亿 | -4.76%4.32亿 | -3.19%4.33亿 | -21.33%4.25亿 | -25.16%4.28亿 |
| 非流动负债 | ||||||||||
| 长期借款 | -2.16%1,298.6万 | 0.99%1,337.99万 | -6.26%1,268.12万 | -11.44%1,249.55万 | -4.45%1,327.24万 | -9.79%1,324.84万 | -4.83%1,352.86万 | -1.44%1,410.98万 | 1.19%1,389.08万 | 5.00%1,468.6万 |
| 预计负债 | 7.20%1,207.19万 | 2.03%1,192.2万 | -3.05%1,122.49万 | -4.29%1,091.5万 | 45.96%1,126.14万 | 45.83%1,168.47万 | 51.87%1,157.78万 | 51.04%1,140.44万 | --771.52万 | --801.24万 |
| 递延所得税负债 | -39.65%27.08万 | -39.79%32.01万 | -27.65%38.65万 | -25.33%41.88万 | 102.76%44.87万 | 123.08%53.17万 | 96.12%53.42万 | 105.88%56.08万 | --22.13万 | --23.83万 |
| 长期递延收益 | -40.70%37.72万 | -41.50%44.23万 | -46.12%47.21万 | -46.14%53.72万 | -77.35%63.61万 | -74.44%75.6万 | -71.80%87.63万 | -67.27%99.73万 | -12.56%280.87万 | -12.49%295.8万 |
| 租赁负债 | -28.55%118.14万 | -34.38%121.5万 | -13.27%141.43万 | -30.25%153.16万 | -22.54%165.34万 | -15.25%185.15万 | 4.64%163.07万 | 46.30%219.59万 | 10.92%213.44万 | 13.72%218.45万 |
| 非流动负债合计 | -1.41%2,688.73万 | -2.82%2,727.93万 | -6.99%2,617.9万 | -11.51%2,589.81万 | 1.87%2,727.2万 | -0.03%2,807.22万 | 5.12%2,814.76万 | 9.67%2,926.81万 | 41.91%2,677.03万 | 45.58%2,807.93万 |
| 负债合计 | -23.56%3.62亿 | -24.59%3.65亿 | -11.00%4.1亿 | -8.41%4.23亿 | 4.80%4.74亿 | 6.07%4.84亿 | -4.21%4.61亿 | -2.47%4.62亿 | -19.19%4.52亿 | -22.85%4.56亿 |
| 所有者权益(或股东权益) | ||||||||||
| 实收资本(或股本) | 0.00%3.46亿 | 0.00%3.46亿 | 0.00%3.46亿 | 0.00%3.46亿 | 0.00%3.46亿 | 0.00%3.46亿 | 0.00%3.46亿 | 0.00%3.46亿 | 0.00%3.46亿 | 0.00%3.46亿 |
| 资本公积 | -0.10%3.57亿 | -0.10%3.57亿 | -0.10%3.57亿 | -0.10%3.57亿 | 0.00%3.57亿 | 0.00%3.57亿 | 0.00%3.57亿 | 0.00%3.57亿 | 2.73%3.57亿 | 2.73%3.57亿 |
| 盈余公积 | 0.00%2.31亿 | 0.00%2.31亿 | 0.00%2.31亿 | 0.00%2.31亿 | 0.00%2.31亿 | 0.00%2.31亿 | 0.00%2.31亿 | 0.00%2.31亿 | 0.00%2.31亿 | 0.00%2.31亿 |
| 未分配利润 | -84.30%-3.32亿 | -84.34%-2.94亿 | -94.42%-2.9亿 | -115.99%-2.86亿 | -2,102.65%-1.8亿 | -1,087.02%-1.6亿 | -353.66%-1.49亿 | -307.09%-1.32亿 | -105.84%-816.81万 | -88.78%1,616.5万 |
| 其他综合收益 | -168.44%-1,542.69万 | -409.98%-1,656.42万 | -66.36%-513.52万 | 96.03%-22.88万 | -473.53%-574.68万 | -88.50%-324.8万 | -221.42%-308.67万 | -272.64%-576.74万 | -63.98%153.85万 | -143.04%-172.31万 |
| 专项储备 | 47.11%722.37万 | 58.07%655.9万 | 64.64%606.1万 | 84.23%544.56万 | 121.08%491.03万 | 167.55%414.95万 | 166.36%368.13万 | 398.12%295.58万 | --222.1万 | --155.09万 |
| 归属母公司所有者权益调整项目 | ---- | ---- | --0.01 | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| 归属母公司所有者权益合计 | -21.17%5.93亿 | -18.82%6.29亿 | -17.96%6.44亿 | -18.25%6.53亿 | -18.98%7.53亿 | -18.39%7.75亿 | -21.22%7.85亿 | -20.25%7.99亿 | -13.03%9.29亿 | -11.44%9.5亿 |
| 少数股东权益 | -23.73%3,367.28万 | -25.73%3,509.17万 | -23.50%3,739.63万 | -22.48%3,897.06万 | 4.27%4,414.68万 | -2.81%4,724.61万 | -28.98%4,888.59万 | -27.36%5,027.38万 | -48.35%4,233.75万 | -40.76%4,861.28万 |
| 所有者权益(或股东权益)合计 | -21.31%6.27亿 | -19.22%6.64亿 | -18.29%6.81亿 | -18.50%6.92亿 | -17.97%7.97亿 | -17.63%8.22亿 | -21.73%8.34亿 | -20.71%8.49亿 | -15.54%9.72亿 | -13.52%9.98亿 |
| 负债和所有者权益(或股东权益)总计 | -22.15%9.89亿 | -21.20%10.29亿 | -15.70%10.91亿 | -14.94%11.15亿 | -10.74%12.71亿 | -10.20%13.06亿 | -16.28%12.94亿 | -15.12%13.11亿 | -16.74%14.23亿 | -16.68%14.54亿 |
| 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 | -- | -- | -- | 带解释性说明的无保留意见 | -- | -- | -- | 带解释性说明的无保留意见 | -- | -- |
| 会计师事务所 | -- | -- | -- | 致同会计师事务所(特殊普通合伙) | -- | -- | -- | 希格玛会计师事务所(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。