Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
Amazon
AMZN
5
Clean Energy Fuels
CLNE
| (Q3)2025/09/30 | (Q2)2025/06/30 | (Q1)2025/03/31 | (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 | |
|---|---|---|---|---|---|---|---|---|---|---|
| 资产 | ||||||||||
| 流动资产 | ||||||||||
| 现金及现金等价物和短期投资 | -15.28%3,278.7万 | 0.82%3,682.3万 | 214.61%1.46亿 | -30.94%3,783.2万 | -30.94%3,783.2万 | -18.67%3,870万 | -23.30%3,652.3万 | 12.91%4,655.7万 | 20.34%5,477.9万 | 20.34%5,477.9万 |
| -现金和现金等价物 | -15.28%3,278.7万 | 0.82%3,682.3万 | 214.61%1.46亿 | -30.94%3,783.2万 | -30.94%3,783.2万 | -18.67%3,870万 | -23.30%3,652.3万 | 12.91%4,655.7万 | 20.34%5,477.9万 | 20.34%5,477.9万 |
| 应收款项 | 59.80%2.69亿 | 38.61%2.53亿 | 34.56%2.36亿 | 27.97%2.29亿 | 27.97%2.29亿 | -4.89%1.69亿 | -3.30%1.82亿 | -7.65%1.75亿 | 16.36%1.79亿 | 16.36%1.79亿 |
| -应收账款 | 59.44%1.6亿 | 27.19%1.61亿 | 30.65%1.52亿 | 33.49%1.55亿 | 33.49%1.55亿 | -10.96%1亿 | 0.25%1.27亿 | 2.28%1.17亿 | 35.34%1.16亿 | 35.34%1.16亿 |
| -其他应收款 | 60.33%1.1亿 | 64.80%9,126.2万 | 42.35%8,333.5万 | 19.66%8,348.9万 | 19.66%8,348.9万 | 5.62%6,850万 | -10.54%5,537.8万 | -26.66%5,854.1万 | -3.91%6,977.4万 | -3.91%6,977.4万 |
| -应收账款调整额 | ---- | ---- | ---- | -37.20%-886.3万 | -37.20%-886.3万 | ---- | ---- | ---- | -53.08%-646万 | -53.08%-646万 |
| 存货 | 52.84%5,771.2万 | 55.40%5,979.2万 | 39.14%5,291.9万 | 25.04%4,262.4万 | 25.04%4,262.4万 | -0.40%3,776万 | 20.88%3,847.5万 | 25.53%3,803.2万 | 28.51%3,408.9万 | 28.51%3,408.9万 |
| 预付费用 | 65.81%634.4万 | 19.94%385.6万 | 420.38%385.6万 | 364.32%382.6万 | 364.32%382.6万 | -41.88%382.6万 | -50.20%321.5万 | -40.67%74.1万 | -35.17%82.4万 | -35.17%82.4万 |
| 受限制现金 | -61.95%8.6万 | -78.01%8.6万 | -56.48%20.5万 | -44.84%36.9万 | -44.84%36.9万 | -69.99%22.6万 | -58.18%39.1万 | -51.49%47.1万 | -37.06%66.9万 | -37.06%66.9万 |
| 其他流动资产 | 7.25%2,911万 | 45.40%2,968.2万 | 247.55%3,691万 | 43.25%1,685.9万 | 43.25%1,685.9万 | 77.80%2,714.3万 | 30.57%2,041.4万 | -11.46%1,062万 | -3.33%1,176.9万 | -3.33%1,176.9万 |
| 流动资产合计 | 43.15%3.95亿 | 36.12%3.83亿 | 75.29%4.76亿 | 17.60%3.31亿 | 17.60%3.31亿 | -3.20%2.76亿 | -3.32%2.81亿 | -1.40%2.72亿 | 16.94%2.81亿 | 16.94%2.81亿 |
| 非流动资产 | ||||||||||
| 固定资产净额 | 32.84%7,571.6万 | 60.99%7,152.1万 | 64.53%7,048.2万 | 38.64%5,891.2万 | 38.64%5,891.2万 | 46.67%5,699.6万 | 24.36%4,442.7万 | 20.34%4,283.8万 | 31.96%4,249.3万 | 31.96%4,249.3万 |
| -固定资产 | 32.84%7,571.6万 | 60.99%7,152.1万 | 64.53%7,048.2万 | 61.68%1亿 | 61.68%1亿 | 46.67%5,699.6万 | 24.36%4,442.7万 | 20.34%4,283.8万 | 8.83%6,190.4万 | 8.83%6,190.4万 |
| -累计折旧 | ---- | ---- | ---- | -112.12%-4,117.5万 | -112.12%-4,117.5万 | ---- | ---- | ---- | 21.35%-1,941.1万 | 21.35%-1,941.1万 |
| 商誉及其他无形资产 | 43.32%4.03亿 | 51.67%4.05亿 | 46.12%3.94亿 | 30.18%3.53亿 | 30.18%3.53亿 | 3.49%2.81亿 | 5.77%2.67亿 | 6.58%2.69亿 | 19.04%2.71亿 | 19.04%2.71亿 |
| -商誉 | 32.83%2.92亿 | 36.42%2.88亿 | 29.93%2.75亿 | 27.64%2.7亿 | 27.64%2.7亿 | 4.86%2.2亿 | 5.71%2.11亿 | 1.78%2.11亿 | 15.35%2.11亿 | 15.35%2.11亿 |
| -其他无形资产 | 81.05%1.11亿 | 109.57%1.17亿 | 105.26%1.19亿 | 39.12%8,351.6万 | 39.12%8,351.6万 | -1.15%6,114.5万 | 6.00%5,560.8万 | 28.77%5,788.2万 | 34.12%6,003.1万 | 34.12%6,003.1万 |
| 非流动递延资产 | 304.88%116.2万 | 11.41%29.3万 | -27.84%21万 | 217.76%96.6万 | 217.76%96.6万 | -64.17%28.7万 | -67.77%26.3万 | -64.56%29.1万 | -63.33%30.4万 | -63.33%30.4万 |
| 其他非流动资产 | 143.86%1,656.3万 | 223.04%1,718.9万 | 239.85%1,672.4万 | 231.64%1,558.7万 | 231.64%1,558.7万 | 103.78%679.2万 | 86.96%532.1万 | 66.31%492.1万 | 52.75%470万 | 52.75%470万 |
| 非流动资产合计 | 43.78%4.96亿 | 55.82%4.94亿 | 51.54%4.81亿 | 34.46%4.29亿 | 34.46%4.29亿 | 9.72%3.45亿 | 8.64%3.17亿 | 8.66%3.17亿 | 20.75%3.19亿 | 20.75%3.19亿 |
| 总资产 | 43.50%8.92亿 | 46.55%8.77亿 | 62.49%9.57亿 | 26.56%7.6亿 | 26.56%7.6亿 | 3.58%6.22亿 | 2.66%5.98亿 | 3.78%5.89亿 | 18.94%6亿 | 18.94%6亿 |
| 负债 | ||||||||||
| 流动负债 | ||||||||||
| 应付款项 | 39.05%1.28亿 | 45.93%1.34亿 | 61.92%1.29亿 | 26.28%1.12亿 | 26.28%1.12亿 | -5.52%9,231.6万 | 9.35%9,215.6万 | -1.64%7,987.7万 | 16.06%8,891.8万 | 16.06%8,891.8万 |
| -应付账款 | 38.19%1.28亿 | 38.51%1.26亿 | 38.51%1.1亿 | 25.07%1.1亿 | 25.07%1.1亿 | -2.04%9,231.6万 | 12.99%9,094.4万 | 1.34%7,906.1万 | 19.46%8,769.1万 | 19.46%8,769.1万 |
| -应付税费 | --79.3万 | 602.31%851.2万 | 2,330.27%1,983.1万 | 112.88%261.2万 | 112.88%261.2万 | --0 | -68.00%121.2万 | -74.42%81.6万 | -61.74%122.7万 | -61.74%122.7万 |
| 应计费用 | 32.31%2,675.1万 | -8.76%2,074.3万 | 26.11%3,183.2万 | 1.80%2,124.6万 | 1.80%2,124.6万 | -8.17%2,021.8万 | 18.66%2,273.5万 | 42.94%2,524.2万 | 26.72%2,087万 | 26.72%2,087万 |
| 短期借款与租赁负债 | -65.89%569.1万 | -44.30%809.3万 | -60.60%634.9万 | -55.91%761.2万 | -55.91%761.2万 | 46.17%1,668.2万 | 40.62%1,453万 | 92.68%1,611.4万 | 153.65%1,726.6万 | 153.65%1,726.6万 |
| -短期借款 | -84.30%192.8万 | -66.38%355.7万 | -80.36%237.3万 | -74.21%335万 | -74.21%335万 | 69.94%1,228万 | 55.29%1,058万 | 148.87%1,208万 | 262.89%1,298.8万 | 262.89%1,298.8万 |
| -短期租赁负债 | -14.52%376.3万 | 14.84%453.6万 | -1.44%397.6万 | -0.37%426.2万 | -0.37%426.2万 | 5.13%440.2万 | 12.22%395万 | 14.96%403.4万 | 32.53%427.8万 | 32.53%427.8万 |
| 递延负债 | 67.07%1.22亿 | 57.89%1.09亿 | 48.26%9,938.8万 | 40.87%9,124.7万 | 40.87%9,124.7万 | 15.33%7,311.4万 | 1.40%6,904.8万 | 19.42%6,703.8万 | 73.97%6,477.4万 | 73.97%6,477.4万 |
| 流动负债总额 | 39.94%2.98亿 | 37.48%2.85亿 | 42.00%2.79亿 | 20.46%2.45亿 | 20.46%2.45亿 | 4.85%2.13亿 | 10.15%2.07亿 | 14.43%1.96亿 | 38.45%2.03亿 | 38.45%2.03亿 |
| 非流动负债 | ||||||||||
| 长期借款与租赁负债 | 69.99%2.42亿 | 97.63%2.57亿 | 163.72%3.57亿 | 71.81%2.37亿 | 71.81%2.37亿 | -1.29%1.43亿 | -10.84%1.3亿 | -9.59%1.36亿 | 19.07%1.38亿 | 19.07%1.38亿 |
| -长期借款 | 78.30%2.19亿 | 96.99%2.37亿 | 170.28%3.38亿 | 71.32%2.17亿 | 71.32%2.17亿 | -9.21%1.23亿 | -12.44%1.2亿 | -11.56%1.25亿 | 17.81%1.27亿 | 17.81%1.27亿 |
| -长期租赁负债 | 18.21%2,328.2万 | 105.55%1,974.7万 | 85.49%1,945.8万 | 77.19%2,023万 | 77.19%2,023万 | 116.42%1,969.6万 | 15.39%960.7万 | 23.11%1,049万 | 35.06%1,141.7万 | 35.06%1,141.7万 |
| 递延负债 | 259.29%3,457.1万 | 187.13%2,856.7万 | 178.19%2,648.1万 | 28.11%1,132.2万 | 28.11%1,132.2万 | 26.76%962.2万 | 24.50%994.9万 | 9.28%951.9万 | 1.98%883.8万 | 1.98%883.8万 |
| 其他非流动负债 | -69.10%319.4万 | -71.98%313.7万 | -62.42%431.4万 | 13.59%1,436.2万 | 13.59%1,436.2万 | -29.46%1,033.6万 | -17.74%1,119.6万 | -24.41%1,147.9万 | -16.43%1,264.4万 | -16.43%1,264.4万 |
| 非流动负债总额 | 72.35%2.8亿 | 90.95%2.88亿 | 148.02%3.88亿 | 64.78%2.63亿 | 64.78%2.63亿 | -2.49%1.62亿 | -9.72%1.51亿 | -9.94%1.57亿 | 14.17%1.6亿 | 14.17%1.6亿 |
| 总负债 | 53.96%5.78亿 | 60.01%5.73亿 | 89.03%6.67亿 | 39.97%5.08亿 | 39.97%5.08亿 | 1.55%3.76亿 | 0.80%3.58亿 | 2.17%3.53亿 | 26.60%3.63亿 | 26.60%3.63亿 |
| 所有者权益 | ||||||||||
| 股本 | 1.72%35.5万 | 0.86%35.2万 | 0.86%35.2万 | 0.29%34.9万 | 0.29%34.9万 | 0.58%34.9万 | 0.58%34.9万 | 0.87%34.9万 | 1.16%34.8万 | 1.16%34.8万 |
| -普通股股本 | 1.72%35.5万 | 0.86%35.2万 | 0.86%35.2万 | 0.29%34.9万 | 0.29%34.9万 | 0.58%34.9万 | 0.58%34.9万 | 0.87%34.9万 | 1.16%34.8万 | 1.16%34.8万 |
| -优先股股本 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
| 留存收益 | 3,065.66%5,356.3万 | 13,314.21%5,206.4万 | 972.19%4,255.4万 | 202.87%657万 | 202.87%657万 | 116.48%169.2万 | 97.10%-39.4万 | 71.83%-487.9万 | 66.90%-638.7万 | 66.90%-638.7万 |
| 资本公积 | 4.81%2.66亿 | 2.75%2.58亿 | 1.64%2.56亿 | 0.10%2.55亿 | 0.10%2.55亿 | -0.01%2.54亿 | -0.34%2.52亿 | 0.28%2.52亿 | 1.91%2.55亿 | 1.91%2.55亿 |
| 不影响留存收益的损益 | 26.97%-1,049.8万 | 24.02%-1,251.8万 | 17.27%-1,292.2万 | 11.26%-1,444.1万 | 11.26%-1,444.1万 | 21.24%-1,437.4万 | 3.60%-1,647.6万 | 9.34%-1,562万 | 9.57%-1,627.4万 | 9.57%-1,627.4万 |
| 股东权益总额 | 28.16%3.09亿 | 26.94%2.98亿 | 23.44%2.86亿 | 6.47%2.48亿 | 6.47%2.48亿 | 7.01%2.41亿 | 5.84%2.35亿 | 6.81%2.32亿 | 9.11%2.33亿 | 9.11%2.33亿 |
| 非控制性权益 | -5.69%436.1万 | 1.72%485.5万 | -7.97%426万 | -13.28%420.4万 | -13.28%420.4万 | -1.60%462.4万 | -6.08%477.3万 | -14.52%462.9万 | -1.54%484.8万 | -1.54%484.8万 |
| 总权益 | 27.53%3.14亿 | 26.44%3.03亿 | 22.82%2.9亿 | 6.06%2.52亿 | 6.06%2.52亿 | 6.84%2.46亿 | 5.58%2.4亿 | 6.29%2.36亿 | 8.87%2.37亿 | 8.87%2.37亿 |
| 货币单位 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 |
| 会计准则 | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
| 审计意见 | -- | -- | -- | 无保留意见 | -- | -- | -- | -- | -- | -- |