Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
阿里巴巴-W
09988
5
快手-W
01024
| (FY)2025/09/30 | (Q4)2025/09/30 | (Q3)2025/06/30 | (Q2)2025/03/31 | (Q1)2024/12/31 | (FY)2024/09/30 | (Q4)2024/09/30 | (Q3)2024/06/30 | (Q2)2024/03/31 | (Q1)2023/12/31 | |
|---|---|---|---|---|---|---|---|---|---|---|
| 资产 | ||||||||||
| 流动资产 | ||||||||||
| 现金及现金等价物和短期投资 | 93.44%1,686.2万 | 93.44%1,686.2万 | 243.02%1,906.5万 | 340.94%1,521.7万 | 223.48%1,248.3万 | 4.66%871.7万 | 4.66%871.7万 | -1.87%555.8万 | -1.82%345.1万 | -8.42%385.9万 |
| -现金和现金等价物 | 93.44%1,686.2万 | 93.44%1,686.2万 | 243.02%1,906.5万 | 340.94%1,521.7万 | 223.48%1,248.3万 | 4.66%871.7万 | 4.66%871.7万 | -1.87%555.8万 | -1.82%345.1万 | -8.42%385.9万 |
| 应收款项 | -8.39%519.8万 | -8.39%519.8万 | -3.41%544.6万 | 27.04%626.7万 | -34.97%307.2万 | 12.25%567.4万 | 12.25%567.4万 | 3.64%563.8万 | -14.54%493.3万 | -26.03%472.4万 |
| -应收账款 | 32.73%204.8万 | 32.73%204.8万 | 88.45%246.3万 | 57.95%231.4万 | -57.28%45.8万 | 51.57%154.3万 | 51.57%154.3万 | 99.54%130.7万 | 50.88%146.5万 | -49.22%107.2万 |
| -应收税费 | -32.35%247.2万 | -32.35%247.2万 | -52.30%201.2万 | -47.09%172.1万 | -40.88%172.4万 | 0.19%365.4万 | 0.19%365.4万 | -0.87%421.8万 | -19.16%325.3万 | -9.22%291.6万 |
| -其他应收款 | 42.14%67.8万 | 42.14%67.8万 | 759.29%97.1万 | 938.14%223.2万 | 20.92%89万 | 22.31%47.7万 | 22.31%47.7万 | -78.68%11.3万 | -72.33%21.5万 | -30.76%73.6万 |
| 存货 | 22.52%1,705.3万 | 22.52%1,705.3万 | 16.58%1,506.3万 | -4.11%1,256.3万 | 28.01%1,386.7万 | 9.78%1,391.8万 | 9.78%1,391.8万 | -20.55%1,292.1万 | -19.73%1,310.2万 | -21.08%1,083.3万 |
| 受限制现金 | -44.15%1,394.2万 | -44.15%1,394.2万 | 5,311.25%432.9万 | 16,117.71%1,556.9万 | 15,013.70%2,206.6万 | 25,904.17%2,496.4万 | 25,904.17%2,496.4万 | -16.67%8万 | 0.00%9.6万 | 52.08%14.6万 |
| 流动资产合计 | -0.41%5,305.5万 | -0.41%5,305.5万 | 81.44%4,390.3万 | 129.90%4,961.6万 | 163.20%5,148.8万 | 103.66%5,327.3万 | 103.66%5,327.3万 | -11.89%2,419.7万 | -16.04%2,158.2万 | -19.90%1,956.2万 |
| 非流动资产 | ||||||||||
| 固定资产净额 | 42.95%8,212.8万 | 42.95%8,212.8万 | 31.31%7,337.2万 | 8.60%6,269.8万 | -2.64%5,669.3万 | -2.76%5,745.4万 | -2.76%5,745.4万 | -13.54%5,587.9万 | -12.56%5,773.4万 | -12.27%5,823.3万 |
| -固定资产 | 10.15%3.74亿 | 10.15%3.74亿 | 8.44%3.63亿 | 5.05%3.5亿 | 2.98%3.41亿 | 3.45%3.39亿 | 3.45%3.39亿 | 1.79%3.34亿 | 2.34%3.33亿 | 3.25%3.31亿 |
| -累计折旧 | -3.46%-2.92亿 | -3.46%-2.92亿 | -3.86%-2.89亿 | -4.31%-2.87亿 | -4.18%-2.84亿 | -4.81%-2.82亿 | -4.81%-2.82亿 | -5.54%-2.79亿 | -6.14%-2.75亿 | -7.31%-2.73亿 |
| 长期应收款 | 35.50%953万 | 35.50%953万 | -39.16%669.8万 | -39.11%662.7万 | -33.09%722.8万 | -35.39%703.3万 | -35.39%703.3万 | 2.48%1,100.9万 | 2.39%1,088.4万 | 2.74%1,080.2万 |
| 非流动递延资产 | -11.28%605万 | -11.28%605万 | -54.21%491.7万 | -53.62%549.7万 | -39.51%656.3万 | -50.39%681.9万 | -50.39%681.9万 | -21.97%1,073.7万 | -14.64%1,185.1万 | -21.37%1,084.9万 |
| 其他非流动资产 | 3.09%1,442.8万 | 3.09%1,442.8万 | -0.39%1,382万 | -2.67%1,361.7万 | -3.63%1,367.4万 | 4.64%1,399.6万 | 4.64%1,399.6万 | 1.90%1,387.4万 | -0.46%1,399.1万 | 0.30%1,418.9万 |
| 非流动资产合计 | 31.46%1.12亿 | 31.46%1.12亿 | 7.99%9,880.7万 | -6.37%8,843.9万 | -10.54%8,415.8万 | -12.14%8,530.2万 | -12.14%8,530.2万 | -10.95%9,149.9万 | -9.69%9,446万 | -10.27%9,407.3万 |
| 总资产 | 19.21%1.65亿 | 19.21%1.65亿 | 23.35%1.43亿 | 18.97%1.38亿 | 19.37%1.36亿 | 12.43%1.39亿 | 12.43%1.39亿 | -11.15%1.16亿 | -10.94%1.16亿 | -12.09%1.14亿 |
| 负债 | ||||||||||
| 流动负债 | ||||||||||
| 短期借款与资本租赁负债 | 107.40%1,701.7万 | 107.40%1,701.7万 | 48.77%1,520.6万 | 12.83%1,346.1万 | 42.01%1,554.7万 | -14.89%820.5万 | -14.89%820.5万 | -17.34%1,022.1万 | 7.60%1,193万 | 4.31%1,094.8万 |
| -短期借款 | 120.70%1,677.3万 | 120.70%1,677.3万 | 58.89%1,498.3万 | 23.67%1,333万 | 53.03%1,523.6万 | -12.00%760万 | -12.00%760万 | -16.02%943万 | 7.18%1,077.9万 | -3.10%995.6万 |
| -短期资本租赁负债 | -59.67%24.4万 | -59.67%24.4万 | -71.81%22.3万 | -88.62%13.1万 | -68.65%31.1万 | -39.74%60.5万 | -39.74%60.5万 | -30.37%79.1万 | 11.75%115.1万 | 348.87%99.2万 |
| 应付款项 | 32.33%1,415.5万 | 32.33%1,415.5万 | 0.05%1,247.5万 | -2.83%1,210.8万 | -10.88%1,085万 | -18.80%1,069.7万 | -18.80%1,069.7万 | -51.70%1,246.9万 | -50.61%1,246.1万 | -48.52%1,217.5万 |
| -应付账款 | 14.73%1,167.4万 | 14.73%1,167.4万 | -10.45%1,069.8万 | -8.17%1,096.3万 | -11.37%1,032.8万 | -15.26%1,017.5万 | -15.26%1,017.5万 | -53.45%1,194.7万 | -52.68%1,193.9万 | -50.73%1,165.3万 |
| -应付税费 | 375.29%248.1万 | 375.29%248.1万 | 240.42%177.7万 | 119.35%114.5万 | 0.00%52.2万 | -55.23%52.2万 | -55.23%52.2万 | 248.00%52.2万 | --52.2万 | --52.2万 |
| 应计费用 | -27.95%1,074.9万 | -27.95%1,074.9万 | -19.26%1,037.4万 | -15.17%1,043.3万 | 8.66%1,214.3万 | 9.31%1,491.8万 | 9.31%1,491.8万 | 102.51%1,284.9万 | 110.76%1,229.8万 | 99.45%1,117.5万 |
| 养老金及其他退休福利计划 | -54.06%46.9万 | -54.06%46.9万 | -62.80%46.8万 | -57.48%78.2万 | -68.90%62.7万 | -48.15%102.1万 | -48.15%102.1万 | 1,345.98%125.8万 | 1,966.29%183.9万 | 933.85%201.6万 |
| 其他流动负债 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 640.48%31.1万 | --5万 |
| 流动负债总额 | 21.67%4,239万 | 21.67%4,239万 | 4.69%3,852.3万 | -5.29%3,678.4万 | 7.71%3,916.7万 | -9.34%3,484.1万 | -9.34%3,484.1万 | -17.52%3,679.7万 | -8.14%3,883.9万 | -8.97%3,636.4万 |
| 非流动负债 | ||||||||||
| 长期借款与租赁负债 | 78.36%5,170.4万 | 78.36%5,170.4万 | 938.18%2,441.8万 | 564.47%2,588.1万 | 494.49%2,483.8万 | 346.04%2,898.8万 | 346.04%2,898.8万 | -64.10%235.2万 | -56.80%389.5万 | -51.28%417.8万 |
| -长期借款 | 80.07%5,160.8万 | 80.07%5,160.8万 | 1,122.49%2,424.2万 | 608.56%2,556.5万 | 498.39%2,453.4万 | 360.40%2,866万 | 360.40%2,866万 | -67.56%198.3万 | -58.32%360.8万 | -52.08%410万 |
| -长期租赁负债 | -70.73%9.6万 | -70.73%9.6万 | -52.30%17.6万 | 10.10%31.6万 | 289.74%30.4万 | 19.71%32.8万 | 19.71%32.8万 | -16.14%36.9万 | -20.50%28.7万 | 290.00%7.8万 |
| 长期应付账款及其他应付款项 | ---- | ---- | ---- | ---- | ---- | --0 | --0 | --0 | --0 | 0.00%66.6万 |
| 长期拨备 | 7.37%2,012.6万 | 7.37%2,012.6万 | -7.00%1,887.2万 | -11.08%1,797.2万 | -12.38%1,778.4万 | -3.87%1,874.5万 | -3.87%1,874.5万 | -10.86%2,029.3万 | -10.51%2,021.1万 | -8.12%2,029.6万 |
| 员工福利 | 255.47%500.5万 | 255.47%500.5万 | 201.13%345.7万 | 111.21%196万 | 22.56%92.9万 | 65.65%140.8万 | 65.65%140.8万 | 60.11%114.8万 | 18.67%92.8万 | -61.25%75.8万 |
| 其他非流动负债 | -3.48%63.7万 | -3.48%63.7万 | -8.35%61.5万 | -7.17%62.1万 | -10.56%66.9万 | -11.53%66万 | -11.53%66万 | -9.81%67.1万 | 1.06%66.9万 | -14.42%74.8万 |
| 非流动负债总额 | 55.56%7,747.2万 | 55.56%7,747.2万 | 93.60%4,736.2万 | 80.66%4,643.4万 | 65.95%4,422万 | 76.22%4,980.1万 | 76.22%4,980.1万 | -22.20%2,446.4万 | -23.75%2,570.3万 | -22.00%2,664.6万 |
| 负债总额 | 41.61%1.2亿 | 41.61%1.2亿 | 40.20%8,588.5万 | 28.94%8,321.8万 | 32.34%8,338.7万 | 26.92%8,464.2万 | 26.92%8,464.2万 | -19.45%6,126.1万 | -15.07%6,454.2万 | -14.97%6,301万 |
| 所有者权益 | ||||||||||
| 股本 | 0.00%1.16亿 | 0.00%1.16亿 | 0.00%1.16亿 | 0.00%1.16亿 | 0.00%1.16亿 | 0.00%1.16亿 | 0.00%1.16亿 | 0.00%1.16亿 | 0.00%1.16亿 | 0.00%1.16亿 |
| -普通股股本 | 0.00%1.16亿 | 0.00%1.16亿 | 0.00%1.16亿 | 0.00%1.16亿 | 0.00%1.16亿 | 0.00%1.16亿 | 0.00%1.16亿 | 0.00%1.16亿 | 0.00%1.16亿 | 0.00%1.16亿 |
| 资本公积 | 12.55%435.7万 | 12.55%435.7万 | 0.00%387.1万 | 0.00%387.1万 | 0.00%387.1万 | 0.00%387.1万 | 0.00%387.1万 | 0.00%387.1万 | 0.00%387.1万 | 0.00%387.1万 |
| 留存收益 | -19.16%-7,650万 | -19.16%-7,650万 | -4.69%-6,445.7万 | 3.81%-6,227.6万 | 5.53%-6,277.5万 | -8.36%-6,420.1万 | -8.36%-6,420.1万 | 1.31%-6,156.8万 | -3.93%-6,474.4万 | -7.49%-6,645.1万 |
| 不影响留存收益的损益 | 165.16%126.6万 | 165.16%126.6万 | 129.58%120.5万 | 22.67%-296.4万 | -68.04%-504.3万 | 54.49%-194.3万 | 54.49%-194.3万 | -15.08%-407.4万 | -10.33%-383.3万 | 3.22%-300.1万 |
| 股东权益总额 | -15.95%4,532.9万 | -15.95%4,532.9万 | 4.39%5,682.5万 | 6.48%5,483.7万 | 3.23%5,225.9万 | -4.64%5,393.3万 | -4.64%5,393.3万 | 0.52%5,443.5万 | -5.17%5,150万 | -8.21%5,062.5万 |
| 总权益 | -15.95%4,532.9万 | -15.95%4,532.9万 | 4.39%5,682.5万 | 6.48%5,483.7万 | 3.23%5,225.9万 | -4.64%5,393.3万 | -4.64%5,393.3万 | 0.52%5,443.5万 | -5.17%5,150万 | -8.21%5,062.5万 |
| 会计准则 | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
| 审计意见 | 无保留意见 | -- | -- | -- | -- | 无保留意见 | -- | -- | -- | -- |
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。