Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
快手-W
01024
5
阿里巴巴-W
09988
| (FY)2025/06/30 | (Q4)2025/06/30 | (FY)2024/06/30 | (Q4)2024/06/30 | (FY)2023/06/30 | (Q4)2023/06/30 | (FY)2022/06/30 | (Q4)2022/06/30 | (FY)2021/06/30 | (Q4)2021/06/30 | |
|---|---|---|---|---|---|---|---|---|---|---|
| 资产 | ||||||||||
| 流动资产 | ||||||||||
| 现金及现金等价物和短期投资 | 7.28%1,047.43万 | 7.28%1,047.43万 | -19.69%976.39万 | -19.69%976.39万 | -49.97%1,215.79万 | -49.97%1,215.79万 | -55.22%2,430.27万 | -55.22%2,430.27万 | 75.08%5,427.56万 | --5,427.56万 |
| -现金和现金等价物 | -8.28%252.02万 | -8.28%252.02万 | -11.81%274.77万 | -11.81%274.77万 | -62.12%311.58万 | -62.12%311.58万 | -62.96%822.47万 | -62.96%822.47万 | -28.36%2,220.71万 | --2,220.71万 |
| -短期投资 | 13.37%795.41万 | 13.37%795.41万 | -22.41%701.62万 | -22.41%701.62万 | -43.76%904.21万 | -43.76%904.21万 | -49.86%1,607.8万 | -49.86%1,607.8万 | --3,206.85万 | --3,206.85万 |
| 应收款项 | 19.55%435.76万 | 19.55%435.76万 | 6.62%364.51万 | 6.62%364.51万 | 38.61%341.87万 | 38.61%341.87万 | 0.98%246.65万 | 0.98%246.65万 | -72.24%244.26万 | --244.26万 |
| -应收账款 | 26.31%352.4万 | 26.31%352.4万 | 27.56%279万 | 27.56%279万 | 46.58%218.71万 | 46.58%218.71万 | -9.75%149.21万 | -9.75%149.21万 | -81.21%165.33万 | --165.33万 |
| -其他应收款 | -2.69%83.36万 | -2.69%83.36万 | -31.28%85.66万 | -31.28%85.66万 | 26.31%124.65万 | 26.31%124.65万 | 18.84%98.68万 | 18.84%98.68万 | --83.04万 | --83.04万 |
| -应收账款调整额 | ---- | ---- | 89.61%-1,557 | 89.61%-1,557 | -19.82%-1.5万 | -19.82%-1.5万 | 69.58%-1.25万 | 69.58%-1.25万 | ---4.11万 | ---4.11万 |
| 存货 | -21.33%225.42万 | -21.33%225.42万 | -4.17%286.55万 | -4.17%286.55万 | -20.13%299.03万 | -20.13%299.03万 | -2.97%374.42万 | -2.97%374.42万 | 114.37%385.86万 | --385.86万 |
| 预付费用 | -7.09%38.41万 | -7.09%38.41万 | -24.46%41.34万 | -24.46%41.34万 | -17.46%54.73万 | -17.46%54.73万 | 39.08%66.3万 | 39.08%66.3万 | --47.67万 | --47.67万 |
| 递延资产 | -4.01%91.1万 | -4.01%91.1万 | -17.00%94.9万 | -17.00%94.9万 | -59.43%114.34万 | -59.43%114.34万 | --281.86万 | --281.86万 | ---- | ---- |
| 流动资产合计 | 4.22%1,838.12万 | 4.22%1,838.12万 | -12.94%1,763.68万 | -12.94%1,763.68万 | -40.41%2,025.75万 | -40.41%2,025.75万 | -44.32%3,399.49万 | -44.32%3,399.49万 | 34.48%6,105.35万 | --6,105.35万 |
| 非流动资产 | ||||||||||
| 固定资产净额 | 73.66%256.96万 | 73.66%256.96万 | -38.52%147.97万 | -38.52%147.97万 | -30.55%240.66万 | -30.55%240.66万 | -10.94%346.54万 | -10.94%346.54万 | 17.91%389.1万 | --389.1万 |
| -固定资产 | 33.67%779.56万 | 33.67%779.56万 | 19.20%583.22万 | 19.20%583.22万 | -12.58%489.28万 | -12.58%489.28万 | -2.31%559.67万 | -2.31%559.67万 | 73.60%572.9万 | --572.9万 |
| -累计折旧 | -20.07%-522.6万 | -20.07%-522.6万 | -75.07%-435.25万 | -75.07%-435.25万 | -16.65%-248.62万 | -16.65%-248.62万 | -15.96%-213.13万 | -15.96%-213.13万 | ---183.79万 | ---183.79万 |
| 非流动递延资产 | -4.51%662.23万 | -4.51%662.23万 | 9.89%693.52万 | 9.89%693.52万 | 604.65%631.12万 | 604.65%631.12万 | -15.12%89.56万 | -15.12%89.56万 | -4.07%105.52万 | --105.52万 |
| 非流动资产合计 | 9.23%919.19万 | 9.23%919.19万 | -3.47%841.49万 | -3.47%841.49万 | 99.90%871.78万 | 99.90%871.78万 | -11.83%436.1万 | -11.83%436.1万 | 12.42%494.63万 | --494.63万 |
| 总资产 | 5.84%2,757.31万 | 5.84%2,757.31万 | -10.09%2,605.17万 | -10.09%2,605.17万 | -24.46%2,897.53万 | -24.46%2,897.53万 | -41.88%3,835.6万 | -41.88%3,835.6万 | 32.53%6,599.98万 | --6,599.98万 |
| 负债 | ||||||||||
| 流动负债 | ||||||||||
| 短期借款与资本租赁负债 | -52.35%25.46万 | -52.35%25.46万 | -16.15%53.42万 | -16.15%53.42万 | -78.53%63.71万 | -78.53%63.71万 | 6.72%296.79万 | 6.72%296.79万 | 456.22%278.11万 | --278.11万 |
| -短期借款 | ---- | ---- | ---- | ---- | -93.92%15.4万 | -93.92%15.4万 | 6.71%253.21万 | 6.71%253.21万 | --237.29万 | --237.29万 |
| -短期资本租赁负债 | -52.35%25.46万 | -52.35%25.46万 | 10.58%53.42万 | 10.58%53.42万 | 10.85%48.31万 | 10.85%48.31万 | 6.76%43.58万 | 6.76%43.58万 | -18.36%40.82万 | --40.82万 |
| 应付款项 | 9.32%223.15万 | 9.32%223.15万 | 71.88%204.12万 | 71.88%204.12万 | -53.06%118.76万 | -53.06%118.76万 | 4.06%252.98万 | 4.06%252.98万 | -43.46%243.11万 | --243.11万 |
| -应付账款 | 15.13%71.21万 | 15.13%71.21万 | 134.36%61.85万 | 134.36%61.85万 | -58.81%26.39万 | -58.81%26.39万 | -20.00%64.08万 | -20.00%64.08万 | -81.37%80.1万 | --80.1万 |
| -其他应付款 | 6.79%151.93万 | 6.79%151.93万 | 54.03%142.27万 | 54.03%142.27万 | -51.10%92.37万 | -51.10%92.37万 | 15.89%188.9万 | 15.89%188.9万 | --163万 | --163万 |
| 现行拨备 | -58.38%16.18万 | -58.38%16.18万 | -15.13%38.88万 | -15.13%38.88万 | 35.24%45.81万 | 35.24%45.81万 | -32.08%33.88万 | -32.08%33.88万 | 66.25%49.88万 | --49.88万 |
| 养老金及其他退休福利计划 | 17.00%85.7万 | 17.00%85.7万 | -13.84%73.25万 | -13.84%73.25万 | -24.37%85.01万 | -24.37%85.01万 | 79.29%112.4万 | 79.29%112.4万 | 108.97%62.69万 | --62.69万 |
| 递延负债 | 66.64%11.22万 | 66.64%11.22万 | -15.39%6.73万 | -15.39%6.73万 | 39.88%7.95万 | 39.88%7.95万 | -96.39%5.69万 | -96.39%5.69万 | -17.01%157.68万 | --157.68万 |
| 其他流动负债 | ---- | ---- | ---- | ---- | --8.64万 | --8.64万 | ---- | ---- | -99.71%2,921 | --2,921 |
| 流动负债总额 | -3.91%361.7万 | -3.91%361.7万 | 14.10%376.4万 | 14.10%376.4万 | -52.99%329.89万 | -52.99%329.89万 | -11.37%701.73万 | -11.37%701.73万 | -4.61%791.75万 | --791.75万 |
| 非流动负债 | ||||||||||
| 长期借款与租赁负债 | 47.01%428.1万 | 47.01%428.1万 | -13.43%291.21万 | -13.43%291.21万 | 189.30%336.4万 | 189.30%336.4万 | -27.53%116.28万 | -27.53%116.28万 | -15.55%160.45万 | --160.45万 |
| -长期借款 | 2.36%283.18万 | 2.36%283.18万 | 3.06%276.65万 | 3.06%276.65万 | --268.43万 | --268.43万 | ---- | ---- | --2,932 | --2,932 |
| -长期租赁负债 | 895.26%144.92万 | 895.26%144.92万 | -78.58%14.56万 | -78.58%14.56万 | -41.54%67.98万 | -41.54%67.98万 | -27.39%116.28万 | -27.39%116.28万 | -15.71%160.15万 | --160.15万 |
| 长期拨备 | --30万 | --30万 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| 员工福利 | -0.94%7.7万 | -0.94%7.7万 | -1.80%7.77万 | -1.80%7.77万 | 33.02%7.92万 | 33.02%7.92万 | -81.74%5.95万 | -81.74%5.95万 | 62.89%32.58万 | --32.58万 |
| 递延负债 | -28.68%13.97万 | -28.68%13.97万 | -29.48%19.59万 | -29.48%19.59万 | -23.50%27.77万 | -23.50%27.77万 | 153.85%36.3万 | 153.85%36.3万 | --14.3万 | --14.3万 |
| 非流动负债总额 | 50.60%479.76万 | 50.60%479.76万 | -14.38%318.57万 | -14.38%318.57万 | 134.70%372.09万 | 134.70%372.09万 | -23.53%158.54万 | -23.53%158.54万 | -1.27%207.33万 | --207.33万 |
| 负债总额 | 21.08%841.46万 | 21.08%841.46万 | -1.00%694.97万 | -1.00%694.97万 | -18.40%701.98万 | -18.40%701.98万 | -13.89%860.27万 | -13.89%860.27万 | -3.93%999.08万 | --999.08万 |
| 所有者权益 | ||||||||||
| 股本 | 0.95%3,386.81万 | 0.95%3,386.81万 | 0.32%3,355.01万 | 0.32%3,355.01万 | 0.04%3,344.35万 | 0.04%3,344.35万 | 0.00%3,343.06万 | 0.00%3,343.06万 | -0.80%3,343.06万 | --3,343.06万 |
| -普通股股本 | 0.95%3,386.81万 | 0.95%3,386.81万 | 0.32%3,355.01万 | 0.32%3,355.01万 | 0.04%3,344.35万 | 0.04%3,344.35万 | 0.00%3,343.06万 | 0.00%3,343.06万 | -0.80%3,343.06万 | --3,343.06万 |
| 留存收益 | -2.10%-1,549.4万 | -2.10%-1,549.4万 | -24.05%-1,517.48万 | -24.05%-1,517.48万 | -194.28%-1,223.3万 | -194.28%-1,223.3万 | -161.45%-415.7万 | -161.45%-415.7万 | 27.63%676.44万 | --676.44万 |
| 不影响留存收益的损益 | 7.94%78.44万 | 7.94%78.44万 | -2.46%72.67万 | -2.46%72.67万 | 55.31%74.5万 | 55.31%74.5万 | -10.17%47.97万 | -10.17%47.97万 | 33.50%53.4万 | --53.4万 |
| 股东权益总额 | 0.30%1,915.85万 | 0.30%1,915.85万 | -13.00%1,910.2万 | -13.00%1,910.2万 | -26.21%2,195.55万 | -26.21%2,195.55万 | -26.95%2,975.33万 | -26.95%2,975.33万 | 3.37%4,072.9万 | --4,072.9万 |
| 总权益 | 0.30%1,915.85万 | 0.30%1,915.85万 | -13.00%1,910.2万 | -13.00%1,910.2万 | -26.21%2,195.55万 | -26.21%2,195.55万 | -26.95%2,975.33万 | -26.95%2,975.33万 | 3.37%4,072.9万 | --4,072.9万 |
| 会计准则 | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |