Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
快手-W
01024
5
京东健康
06618
| (Q1)2025/09/30 | (FY)2025/06/30 | (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 | (Q3)2023/09/30 | |
|---|---|---|---|---|---|---|---|---|---|---|
| 经营活动现金流量(间接法) | ||||||||||
| 经营活动产生的现金 | -110.31%-272.5万 | -674.12%-946.15万 | 110.42%164.8万 | 82.52%-25.6万 | 34.49%-580.7万 | -246.80%-1,871.7万 | 27,629.17%2,642.8万 | 13.72%-1,582.15万 | 71.39%-146.45万 | -20.06%-886.4万 |
| 扣除非现金调整前净利润 | 4,466.67%1,274.1万 | 74.30%3,480.8万 | 1,978.93%1,997万 | 759.11%1,125万 | 840.19%292.4万 | 2,352.00%551.7万 | 158.33%27.9万 | -109.41%-106.28万 | -258.46%-170.68万 | -95.97%31.1万 |
| 非现金项目调整总额 | 97.59%98.4万 | 251.92%802.01万 | -189.66%-527.9万 | -244.18%-734万 | 122.44%102.1万 | 43.77%54.2万 | 1,376.92%49.8万 | 354.32%588.78万 | 99.42%509.08万 | 108.15%45.9万 |
| -折旧与摊销 | -21.49%38万 | 42.55%258.87万 | -6.43%181.6万 | -19.50%41.6万 | -7.38%43.9万 | 0.63%47.7万 | 1.68%48.4万 | 2.78%194.08万 | 8.52%51.68万 | 1.28%47.4万 |
| -在损益中确认的减值损失回拨 | -1,560.87%-38.2万 | 50.80%-9.5万 | -25.34%-19.3万 | -128.67%-12.5万 | 24.44%-6.8万 | -62.90%2.3万 | 95.91%-2.3万 | -112.00%-15.4万 | -72.12%43.6万 | 69.70%-9万 |
| -资产准备金与勾销 | ---- | 15.81%137.7万 | 985.38%118.9万 | ---- | ---- | ---- | ---- | -24.43%10.95万 | ---- | ---- |
| -处置利润 | -81.08%-6.7万 | -8.16%-987.37万 | -6,222.53%-912.9万 | -6,250.03%-917万 | --11.6万 | ---3.8万 | ---3.7万 | 102.55%14.91万 | 32,028.27%14.91万 | --0 |
| -汇兑损益净额 | 0.00%-1,000 | -91.52%933 | -67.13%1.1万 | -221.07%-11.8万 | 540.00%11万 | 180.00%2万 | 92.86%-1,000 | -80.53%3.35万 | -69.14%9.75万 | 84.94%-2.5万 |
| -其他非现金项目 | 1,305.33%105.4万 | 1,265.35%1,402.22万 | -73.04%102.7万 | -87.63%46.8万 | 1,392.00%37.3万 | 288.14%11.1万 | 22.95%7.5万 | 7,753.35%380.89万 | 7,103.58%378.19万 | 350.00%2.5万 |
| 营运资本变动 | -164.13%-1,645万 | -300.90%-5,228.96万 | 36.83%-1,304.3万 | 14.08%-416.6万 | -1.22%-975.2万 | -313.00%-2,477.6万 | 15,646.06%2,565.1万 | 24.41%-2,064.65万 | 44.58%-484.85万 | -1.79%-963.4万 |
| -应收款(增)减 | -220.65%-2,722.8万 | 251.54%4,588.59万 | 54.91%-3,027.9万 | 64.75%-1,248.1万 | -68.97%-2,052.6万 | -29.39%-1,983.9万 | 630.12%2,256.7万 | -85.05%-6,714.78万 | -123.83%-3,540.98万 | -147.97%-1,214.8万 |
| -存货(增)减 | 68.37%-139.7万 | 99.52%-8.23万 | 12.23%-1,725.7万 | 39.52%-534.7万 | 33.13%-402.8万 | 20.05%-346.5万 | -854.00%-441.7万 | -2,640.45%-1,966.14万 | -788.42%-884.04万 | -680.35%-602.4万 |
| -应付款(减)增 | 173.83%662.4万 | 43.58%3,937.38万 | -56.17%2,742.2万 | -64.59%1,260.9万 | 59.88%1,342.7万 | -108.23%-103.3万 | -59.70%241.9万 | 333.87%6,256.61万 | 278.51%3,561.21万 | 1,256.75%839.8万 |
| -其他流动资产变动 | 9.23%555.1万 | -2,044.10%-1.37亿 | 96.60%707.1万 | -72.21%105.3万 | 882.14%137.5万 | -139.37%-43.9万 | 450.97%508.2万 | 157.82%359.66万 | 382.20%378.96万 | 102.87%14万 |
| 已付股息(经营活动产生的现金流) | ||||||||||
| 已收到的股息(经营活动产生的现金流) | ||||||||||
| 已付利息(经营活动产生的现金流) | -631.18%-124.3万 | -57.44%-236.94万 | -46,379.31%-150.5万 | -525.91%-59.1万 | -1,166.67%-49.4万 | -6,150.00%-25万 | -71.72%-17万 | 96.85%-3,238 | 340.75%13.88万 | -56.00%-3.9万 |
| 已收到的利息(经营活动产生的现金流) | 76.97万 | 15.77万 | ||||||||
| 已支付退税 | -235.13%-93.5万 | -179.75%-443.68万 | -63.92%-158.6万 | -88.55%-92.3万 | -18.18%-20.8万 | -64.49%-17.6万 | -43.08%-27.9万 | -21.12%-96.75万 | -30.61%-48.95万 | 62.95%-17.6万 |
| 其他经营现金流入(流出) | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
| 经营活动现金净额 | -118.87%-490.3万 | -974.01%-1,549.8万 | 91.33%-144.3万 | -6.78%-177万 | 28.31%-650.9万 | -247.55%-1,914.3万 | 6,761.28%2,597.9万 | 13.54%-1,663.46万 | 70.14%-165.76万 | -15.17%-907.9万 |
| 投资活动现金流量 | ||||||||||
| 物业、厂房及设备交易净额 | 545.45%4.9万 | 0.28%1,260.41万 | 27,556.42%1,256.9万 | 116,262.55%1,252万 | 500.00%6万 | --0 | 21.43%-1.1万 | -100.62%-4.58万 | 98.42%-1.08万 | -100.18%-1.5万 |
| 向其他方提供的预付现金及贷款 | ---- | --0 | ---- | ---- | ---- | ---- | ---- | --0 | ---- | ---- |
| 偿还对其他方提供的预付款及贷款产生的现金收入 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --1,750 | ---- | ---- |
| 已收到的利息(投资活动产生的现金流) | 14.81%6.2万 | -57.02%20.2万 | 197.47%47万 | 523.91%28.7万 | 272.73%4.1万 | 39.68%8.8万 | 42.11%5.4万 | 191.85%15.8万 | 795.46%4.6万 | -68.57%1.1万 |
| 投资活动现金净额 | 158.14%11.1万 | -3.34%1,260.41万 | 29,715.24%1,303.9万 | 10,681.85%1,280.7万 | 2,625.00%10.1万 | 54.39%8.8万 | 79.17%4.3万 | -100.59%-4.4万 | 82.07%-12.1万 | -100.05%-4,000 |
| 融资活动现金流量 | ||||||||||
| 债务发行/偿还的净额 | 85.04%1,067.1万 | 63.74%4,580.08万 | 8,596.45%2,797.2万 | -4.47%264.3万 | -108.77%-42.4万 | 1,123.87%1,998.6万 | 196.49%576.7万 | -108.84%-32.92万 | -51.41%276.68万 | 605.54%483.3万 |
| 租赁融资增减 | -22.86%-4.3万 | -57.35%-22.97万 | 5.90%-14.6万 | 2.89%-3.9万 | 7.69%-3.6万 | 7.69%-3.6万 | 5.41%-3.5万 | -5.55%-15.52万 | -8.53%-4.02万 | -5.41%-3.9万 |
| 其他筹资费用净额 | 72.77%-454.5万 | -80.72%-3,029.31万 | -249.21%-1,676.2万 | 97.04%-16.4万 | 1,233.33%4万 | --5.1万 | -199.52%-1,668.9万 | 42,224.94%1,123.39万 | ---553.91万 | --3,000 |
| 融资活动现金净额 | 155.52%608.3万 | 38.09%1,527.8万 | 2.93%1,106.4万 | 186.76%244万 | -108.76%-42万 | 1,104.57%2,000.1万 | -201.87%-1,095.7万 | 18.76%1,074.95万 | -149.95%-281.25万 | 583.08%479.7万 |
| 现金净流量 | ||||||||||
| 期初现金流 | 160.65%1,110.1万 | -130.10%-128.17万 | -9.05%425.8万 | 290.64%1,331.3万 | 164.06%2,025.1万 | 28.10%1,932.5万 | -9.03%425.9万 | -38.57%468.15万 | -39.08%340.8万 | 28.44%766.9万 |
| 现金变动 | -91.43%129.1万 | -45.35%1,238.41万 | 482.18%2,266万 | 393.55%1,347.7万 | -59.31%-682.8万 | 112.71%94.6万 | 45.00%1,506.5万 | -114.25%-592.91万 | -669.86%-459.11万 | -689.32%-428.6万 |
| 汇率变动影响 | -600.00%-5,000 | 91.52%-933 | 67.76%-1.1万 | 220.26%11.8万 | -540.00%-11万 | -180.00%-2万 | -92.86%1,000 | 80.15%-3.41万 | 68.94%-9.81万 | -84.94%2.5万 |
| 期末现金 | -35.90%1,238.7万 | -58.74%1,110.15万 | 2,199.33%2,690.7万 | 2,199.33%2,690.7万 | 290.64%1,331.3万 | 164.06%2,025.1万 | 28.10%1,932.5万 | -127.38%-128.17万 | -127.38%-128.17万 | -39.08%340.8万 |
| 自由现金流 | -118.88%-490.4万 | -882.00%-1,566.29万 | 90.44%-159.5万 | -7.29%-179万 | 27.09%-663万 | -247.17%-1,914.3万 | 6,527.72%2,596.8万 | 20.58%-1,668.04万 | 73.23%-166.84万 | -5.45%-909.4万 |
| 会计准则 | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP |
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。