Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
快手-W
01024
5
京东健康
06618
| (FY)2025/08/31 | (Q4)2025/08/31 | (Q2)2025/02/28 | (FY)2024/08/31 | (Q4)2024/08/31 | (Q3)2024/05/31 | (Q2)2024/02/29 | (Q1)2023/11/30 | (FY)2023/08/31 | (Q4)2023/08/31 | |
|---|---|---|---|---|---|---|---|---|---|---|
| 资产 | ||||||||||
| 流动资产 | ||||||||||
| 现金及现金等价物与短期投资 | 12.28%34.16亿 | 12.28%34.16亿 | 36.41%32.21亿 | 53.97%30.42亿 | 53.97%30.42亿 | 54.63%26.6亿 | 56.18%23.61亿 | 59.59%19.53亿 | 102.52%19.76亿 | 102.52%19.76亿 |
| -现金及现金等价物 | 12.28%34.16亿 | 12.28%34.16亿 | 36.41%32.21亿 | 53.97%30.42亿 | 53.97%30.42亿 | 54.63%26.6亿 | 56.18%23.61亿 | 59.59%19.53亿 | 102.52%19.76亿 | 102.52%19.76亿 |
| 应收款项 | 32.03%1.31亿 | 32.03%1.31亿 | 23.38%1.02亿 | 69.58%9,923.9万 | 69.58%9,923.9万 | 31.56%6,681.6万 | 70.15%8,232.3万 | 52.11%8,395.6万 | 53.48%5,852万 | 53.48%5,852万 |
| -应收账款净额 | 32.03%1.31亿 | 32.03%1.31亿 | 23.38%1.02亿 | 69.58%9,923.9万 | 69.58%9,923.9万 | 31.56%6,681.6万 | 70.15%8,232.3万 | 52.11%8,395.6万 | 53.48%5,852万 | 53.48%5,852万 |
| -其中:应收账款 | 32.03%1.31亿 | 32.03%1.31亿 | 23.38%1.02亿 | 69.58%9,923.9万 | 69.58%9,923.9万 | 31.56%6,681.6万 | 70.15%8,232.3万 | 52.11%8,395.6万 | 53.48%5,852万 | 53.48%5,852万 |
| 存货 | -5.34%1,961.7万 | -5.34%1,961.7万 | -14.98%1,564.4万 | 39.50%2,072.4万 | 39.50%2,072.4万 | -0.18%1,620.6万 | -13.66%1,840万 | -36.99%1,422.9万 | -32.84%1,485.6万 | -32.84%1,485.6万 |
| 预付费用 | 29.85%8,669.3万 | 29.85%8,669.3万 | 1.26%7,108.8万 | -4.56%6,676.5万 | -4.56%6,676.5万 | 8.94%5,889.6万 | 70.00%7,020万 | 36.41%6,068.9万 | 23.82%6,995.7万 | 23.82%6,995.7万 |
| 其他流动资产 | -26.90%4,731.5万 | -26.90%4,731.5万 | 80.84%4,515.1万 | 392.37%6,472.7万 | 392.37%6,472.7万 | 271.62%6,286.3万 | 2,354.97%2,496.7万 | 1,870.38%1,523.1万 | 1,416.26%1,314.6万 | 1,416.26%1,314.6万 |
| 流动资产合计 | 12.35%37亿 | 12.35%37亿 | 35.09%34.54亿 | 54.46%32.93亿 | 54.46%32.93亿 | 54.17%28.65亿 | 57.47%25.57亿 | 57.94%21.27亿 | 95.04%21.32亿 | 95.04%21.32亿 |
| 非流动资产 | ||||||||||
| 物业厂房及设备净额 | 35.01%5.47亿 | 35.01%5.47亿 | 30.93%5亿 | 11.46%4.05亿 | 11.46%4.05亿 | 22.51%4.12亿 | 11.93%3.82亿 | 3.87%3.59亿 | 3.95%3.63亿 | 3.95%3.63亿 |
| -物业、厂房及设备 | 30.70%6.31亿 | 30.70%6.31亿 | 32.55%5.97亿 | 13.73%4.83亿 | 13.73%4.83亿 | 23.01%4.85亿 | 13.97%4.5亿 | 6.96%4.23亿 | 6.98%4.25亿 | 6.98%4.25亿 |
| -累计折旧 | -8.23%-8,413.6万 | -8.23%-8,413.6万 | -41.54%-9,696.9万 | -27.23%-7,773.5万 | -27.23%-7,773.5万 | -25.91%-7,235.5万 | -26.82%-6,851.2万 | -27.99%-6,476.5万 | -29.42%-6,110万 | -29.42%-6,110万 |
| 长期预付费用 | 106.21%73万 | 106.21%73万 | 192.80%150.5万 | -78.51%35.4万 | -78.51%35.4万 | -51.96%52.6万 | -69.68%51.4万 | -12.33%88.9万 | 13.90%164.7万 | 13.90%164.7万 |
| 投资总额 | 210.55%3,499万 | 210.55%3,499万 | 310.95%3,099万 | 43.82%1,126.7万 | 43.82%1,126.7万 | 188.53%1,154.1万 | --754.1万 | --783.4万 | --783.4万 | --783.4万 |
| -金融资产投资 | 210.55%3,499万 | 210.55%3,499万 | 310.95%3,099万 | 43.82%1,126.7万 | 43.82%1,126.7万 | 188.53%1,154.1万 | --754.1万 | --783.4万 | --783.4万 | --783.4万 |
| -其中:可供出售证券 | 210.55%3,499万 | 210.55%3,499万 | 310.95%3,099万 | 43.82%1,126.7万 | 43.82%1,126.7万 | 188.53%1,154.1万 | --754.1万 | --783.4万 | --783.4万 | --783.4万 |
| 非流动递延所得税资产 | 15.24%2.02亿 | 15.24%2.02亿 | 43.45%1.75亿 | 43.45%1.75亿 | 43.45%1.75亿 | 89.42%1.22亿 | 89.42%1.22亿 | 89.42%1.22亿 | 89.42%1.22亿 | 89.42%1.22亿 |
| 其他非流动资产 | 0.12%82.1万 | 0.12%82.1万 | 0.24%82.2万 | -0.24%82万 | -0.24%82万 | -0.49%82万 | -0.24%82万 | -0.12%82.1万 | -0.12%82.2万 | -0.12%82.2万 |
| 非流动资产合计 | 32.49%7.86亿 | 32.49%7.86亿 | 38.15%7.08亿 | 19.54%5.93亿 | 19.54%5.93亿 | 34.51%5.47亿 | 25.67%5.13亿 | 19.14%4.9亿 | 19.09%4.96亿 | 19.09%4.96亿 |
| 总资产 | 15.43%44.86亿 | 15.43%44.86亿 | 35.60%41.63亿 | 47.87%38.86亿 | 47.87%38.86亿 | 50.64%34.13亿 | 51.08%30.7亿 | 48.85%26.18亿 | 74.09%26.28亿 | 74.09%26.28亿 |
| 负债 | ||||||||||
| 流动负债 | ||||||||||
| 金融负债 | 29.26%7,582.8万 | 29.26%7,582.8万 | 19.66%6,692.8万 | -18.32%5,866.5万 | -18.32%5,866.5万 | -16.02%6,266万 | -33.26%5,593.3万 | -38.67%6,303.6万 | -36.19%7,182.6万 | -36.19%7,182.6万 |
| -短期借款及资本租赁负债 | 29.26%7,582.8万 | 29.26%7,582.8万 | 19.66%6,692.8万 | -18.32%5,866.5万 | -18.32%5,866.5万 | -16.02%6,266万 | -33.26%5,593.3万 | -38.67%6,303.6万 | -36.19%7,182.6万 | -36.19%7,182.6万 |
| -其中:短期借款 | 29.26%7,582.8万 | 29.26%7,582.8万 | 19.66%6,692.8万 | -18.32%5,866.5万 | -18.32%5,866.5万 | -16.02%6,266万 | -33.26%5,593.3万 | -38.67%6,303.6万 | -36.19%7,182.6万 | -36.19%7,182.6万 |
| 应付款项 | 11.61%5.92亿 | 11.61%5.92亿 | 43.51%4.36亿 | 41.17%5.31亿 | 41.17%5.31亿 | 76.46%3.41亿 | 81.47%3.04亿 | 62.44%2.21亿 | 59.93%3.76亿 | 59.93%3.76亿 |
| -应付账款 | 57.81%4,342.5万 | 57.81%4,342.5万 | 42.91%3,169.1万 | 48.58%2,751.7万 | 48.58%2,751.7万 | 37.02%2,315.8万 | 60.84%2,217.5万 | 62.45%2,025.7万 | 62.37%1,852万 | 62.37%1,852万 |
| -应交税费 | 30.01%2.37亿 | 30.01%2.37亿 | 56.50%2.37亿 | 22.74%1.82亿 | 22.74%1.82亿 | 28.28%1.16亿 | 51.91%1.52亿 | 106.62%1.1亿 | 16.19%1.48亿 | 16.19%1.48亿 |
| -其他应付款 | -2.80%3.12亿 | -2.80%3.12亿 | 28.48%1.67亿 | 53.60%3.21亿 | 53.60%3.21亿 | 134.52%2.02亿 | 141.48%1.3亿 | 28.86%9,061.7万 | 117.94%2.09亿 | 117.94%2.09亿 |
| 养老金及其他退休福利计划 | -52.66%9,350.2万 | -52.66%9,350.2万 | 22.00%8,125.8万 | 65.89%1.98亿 | 65.89%1.98亿 | 131.06%6,798.7万 | 9.03%6,660.4万 | 37.67%3,470.3万 | 160.41%1.19亿 | 160.41%1.19亿 |
| 应计及递延所得 | 3.40%11.23亿 | 3.40%11.23亿 | 14.48%10.53亿 | 39.11%10.86亿 | 39.11%10.86亿 | 27.38%9.89亿 | 31.59%9.2亿 | 46.75%7.78亿 | 54.47%7.81亿 | 54.47%7.81亿 |
| 其他流动负债 | 19.90%1.4亿 | 19.90%1.4亿 | 34.14%1.19亿 | 34.85%1.17亿 | 34.85%1.17亿 | 40.76%1.24亿 | 61.90%8,835.1万 | 61.10%1.07亿 | 48.06%8,659.4万 | 48.06%8,659.4万 |
| 流动负债合计 | 1.76%20.25亿 | 1.76%20.25亿 | 22.39%17.56亿 | 38.74%19.9亿 | 38.74%19.9亿 | 36.40%15.85亿 | 34.58%14.35亿 | 39.87%12.04亿 | 49.82%14.34亿 | 49.82%14.34亿 |
| 非流动负债 | ||||||||||
| 非流动金融负债 | 86.03%1.74亿 | 86.03%1.74亿 | 118.17%1.48亿 | -1.13%9,338万 | -1.13%9,338万 | 27.76%1.05亿 | -29.92%6,778万 | -29.86%8,111.5万 | -30.69%9,445万 | -30.69%9,445万 |
| -长期借款及资本租赁 | 86.03%1.74亿 | 86.03%1.74亿 | 118.17%1.48亿 | -1.13%9,338万 | -1.13%9,338万 | 27.76%1.05亿 | -29.92%6,778万 | -29.86%8,111.5万 | -30.69%9,445万 | -30.69%9,445万 |
| -其中:长期借款 | 86.03%1.74亿 | 86.03%1.74亿 | 118.17%1.48亿 | -1.13%9,338万 | -1.13%9,338万 | 27.76%1.05亿 | -29.92%6,778万 | -29.86%8,111.5万 | -30.69%9,445万 | -30.69%9,445万 |
| 长期拨备 | 0.27%642.1万 | 0.27%642.1万 | 0.28%640.4万 | 0.28%640.4万 | 0.28%640.4万 | 0.27%638.6万 | 0.27%638.6万 | 0.27%638.6万 | 0.27%638.6万 | 0.27%638.6万 |
| 其他非流动负债 | 100.00%2,000 | 100.00%2,000 | --2,000 | -50.00%1,000 | -50.00%1,000 | ---- | ---- | 100.00%2,000 | 0.00%2,000 | 0.00%2,000 |
| 非流动负债合计 | 80.53%1.8亿 | 80.53%1.8亿 | 108.03%1.54亿 | -1.04%9,978.5万 | -1.04%9,978.5万 | 25.78%1.12亿 | -28.05%7,416.6万 | -28.29%8,750.3万 | -29.31%1.01亿 | -29.31%1.01亿 |
| 负债总额 | 5.52%22.05亿 | 5.52%22.05亿 | 26.60%19.1亿 | 36.13%20.9亿 | 36.13%20.9亿 | 35.65%16.97亿 | 29.06%15.09亿 | 31.41%12.92亿 | 39.56%15.35亿 | 39.56%15.35亿 |
| 所有者权益 | ||||||||||
| 股本 | 7.24%3.46亿 | 7.24%3.46亿 | 5.37%3.33亿 | 15.31%3.23亿 | 15.31%3.23亿 | 17.40%3.21亿 | 25.86%3.16亿 | 14.22%2.87亿 | 136.46%2.8亿 | 136.46%2.8亿 |
| -普通股 | 7.24%3.46亿 | 7.24%3.46亿 | 5.37%3.33亿 | 15.31%3.23亿 | 15.31%3.23亿 | 17.40%3.21亿 | 25.86%3.16亿 | 14.22%2.87亿 | 136.46%2.8亿 | 136.46%2.8亿 |
| 资本公积 | 7.31%3.43亿 | 7.31%3.43亿 | 7.32%3.36亿 | 15.48%3.2亿 | 15.48%3.2亿 | 17.59%3.18亿 | 26.17%3.13亿 | 14.39%2.84亿 | 140.01%2.77亿 | 140.01%2.77亿 |
| 留存收益 | 63.44%18.72亿 | 63.44%18.72亿 | 68.75%15.71亿 | 114.02%11.45亿 | 114.02%11.45亿 | 127.92%10.73亿 | 156.63%9.31亿 | 174.24%7.55亿 | 207.07%5.35亿 | 207.07%5.35亿 |
| 减:库存股 | 74,782.54%3亿 | 74,782.54%3亿 | 0.00%40.1万 | 14.90%40.1万 | 14.90%40.1万 | 239.83%40.1万 | 702.00%40.1万 | --34.9万 | --34.9万 | --34.9万 |
| 其他股本权益 | 125.02%1,946.2万 | 125.02%1,946.2万 | 520.39%1,412万 | 794.42%864.9万 | 794.42%864.9万 | 417.23%549.3万 | 56.64%227.6万 | -39.30%88.2万 | -33.45%96.7万 | -33.45%96.7万 |
| 股东权益 | 26.96%22.81亿 | 26.96%22.81亿 | 44.30%22.53亿 | 64.37%17.96亿 | 64.37%17.96亿 | 69.11%17.16亿 | 80.93%15.61亿 | 70.96%13.26亿 | 166.81%10.93亿 | 166.81%10.93亿 |
| 总权益 | 26.96%22.81亿 | 26.96%22.81亿 | 44.30%22.53亿 | 64.37%17.96亿 | 64.37%17.96亿 | 69.11%17.16亿 | 80.93%15.61亿 | 70.96%13.26亿 | 166.81%10.93亿 | 166.81%10.93亿 |
| 货币单位 | 日元 | 日元 | 日元 | 日元 | 日元 | 日元 | 日元 | 日元 | 日元 | 日元 |
| 会计准则 | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP |