Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
Liberty Live-C
LLYVK
5
American Express
AXP
(FY)Dec 31, 2024 | (Q4)Dec 31, 2024 | (Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | (Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q3)Sep 30, 2023 | (Q2)Jun 30, 2023 | (Q1)Mar 31, 2023 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -10.56%1.19B | -10.56%1.19B | -17.35%1.15B | -23.62%1.16B | -9.63%1.32B | -15.50%1.33B | -15.50%1.33B | -14.36%1.39B | -3.86%1.52B | -12.62%1.46B |
-Cash and cash equivalents | 37.93%587.75M | 37.93%587.75M | 6.57%467.41M | -39.78%456.93M | -45.08%448.04M | -38.64%426.12M | -38.64%426.12M | -38.54%438.6M | -48.45%758.71M | -47.85%815.85M |
-Short-term investments | -33.50%599.04M | -33.50%599.04M | -28.38%681.04M | -7.55%704.98M | 35.01%874.89M | 2.84%900.82M | 2.84%900.82M | 4.64%950.86M | 589.49%762.52M | 484.57%648.02M |
Receivables | 12.69%226.25M | 12.69%226.25M | 29.06%149.08M | 18.30%112.7M | 24.76%99.38M | 17.91%200.78M | 17.91%200.78M | 28.43%115.5M | 12.14%95.26M | -8.95%79.66M |
-Accounts receivable | 72.62%98.77M | 72.62%98.77M | 71.55%106.94M | 47.28%81.59M | 40.47%57.81M | 58.92%57.22M | 58.92%57.22M | 47.37%62.34M | 36.15%55.39M | -2.30%41.16M |
-Loans receivable | -9.25%72.35M | -9.25%72.35M | ---- | ---- | ---- | 20.92%79.73M | 20.92%79.73M | ---- | ---- | ---- |
-Accrued interest receivable | -21.37%16.46M | -21.37%16.46M | ---- | ---- | ---- | 41.34%20.94M | 41.34%20.94M | ---- | ---- | ---- |
-Taxes receivable | 25.35%13.19M | 25.35%13.19M | ---- | ---- | ---- | 96.27%10.52M | 96.27%10.52M | ---- | ---- | ---- |
-Related party accounts receivable | -86.78%1.22M | -86.78%1.22M | -50.40%10.47M | -51.96%10.29M | -40.31%10.19M | -72.40%9.21M | -72.40%9.21M | -26.63%21.1M | -24.83%21.43M | -39.36%17.06M |
-Other receivables | 4.74%24.26M | 4.74%24.26M | -1.25%31.67M | 12.89%20.82M | 46.38%31.39M | 56.61%23.16M | 56.61%23.16M | 69.86%32.07M | 17.02%18.44M | 24.48%21.44M |
Inventory | 27.61%151.75M | 27.61%151.75M | 26.42%145.6M | 16.55%143.37M | 5.90%126.53M | -1.29%118.92M | -1.29%118.92M | 9.49%115.18M | 30.02%123.02M | 34.16%119.49M |
Prepaid assets | 52.61%83.26M | 52.61%83.26M | ---- | ---- | ---- | 42.10%54.56M | 42.10%54.56M | ---- | ---- | ---- |
Restricted cash | 351.63%66.37M | 351.63%66.37M | 555.75%104.2M | 444.94%83.22M | 36.11%22.18M | -1.43%14.7M | -1.43%14.7M | -11.33%15.89M | -7.46%15.27M | -9.09%16.29M |
Other current assets | 64.87%9.94M | 64.87%9.94M | 21.38%221.23M | 55.45%237.27M | 39.15%177.62M | 153.02%6.03M | 153.02%6.03M | 23.25%182.26M | 20.11%152.64M | 52.34%127.65M |
Total current assets | 0.14%1.72B | 0.14%1.72B | -2.74%1.77B | -8.86%1.74B | -3.23%1.75B | -10.17%1.72B | -10.17%1.72B | -8.32%1.82B | 0.10%1.91B | -7.50%1.81B |
Non current assets | ||||||||||
Net PPE | 35.26%318.12M | 35.26%318.12M | 110.77%313.75M | 69.54%277.05M | 39.18%235.19M | 31.33%235.19M | 31.33%235.19M | -20.33%148.86M | -19.54%163.41M | -20.14%168.98M |
-Gross PPE | 33.85%411.6M | 33.85%411.6M | 110.77%313.75M | 69.54%277.05M | 39.18%235.19M | 32.32%307.51M | 32.32%307.51M | -20.33%148.86M | -19.54%163.41M | -20.14%168.98M |
-Accumulated depreciation | -29.27%-93.49M | -29.27%-93.49M | ---- | ---- | ---- | -35.64%-72.32M | -35.64%-72.32M | ---- | ---- | ---- |
Goodwill and other intangible assets | -81.44%127.3M | -81.44%127.3M | -2.82%672.33M | -3.40%673.8M | -3.41%679.84M | -3.38%685.95M | -3.38%685.95M | -3.41%691.85M | -3.47%697.51M | -3.39%703.8M |
-Goodwill | -99.87%684K | -99.87%684K | 0.00%540.69M | 0.00%540.69M | 0.00%540.69M | 0.00%540.69M | 0.00%540.69M | 0.00%540.69M | 0.00%540.69M | 0.00%540.69M |
-Other intangible assets | -12.83%126.62M | -12.83%126.62M | -12.91%131.64M | -15.12%133.1M | -14.69%139.14M | -14.19%145.25M | -14.19%145.25M | -13.92%151.16M | -13.78%156.82M | -13.16%163.11M |
Investments and advances | 7.38%280.28M | 7.38%280.28M | 13.92%287.51M | 10.66%278.55M | 4.92%256.02M | 14.50%261.02M | 14.50%261.02M | 7.82%252.37M | 0.29%251.71M | -2.94%244.02M |
Long-term notes receivables | 22.95%71.36M | 22.95%71.36M | ---- | ---- | ---- | -28.79%58.04M | -28.79%58.04M | ---- | ---- | ---- |
Related parties assets | -86.78%1.22M | -86.78%1.22M | -50.40%10.47M | -51.96%10.29M | -40.31%10.19M | -72.40%9.21M | -72.40%9.21M | -26.63%21.1M | -24.83%21.43M | -39.36%17.06M |
Non current deferred assets | 8.86%84.95M | 8.86%84.95M | 21.24%81.06M | 25.86%80.63M | 22.51%79.62M | 20.54%78.03M | 20.54%78.03M | 24.20%66.86M | 33.79%64.06M | 36.75%64.99M |
Non current prepaid assets | -23.48%124.34M | -23.48%124.34M | ---- | ---- | ---- | 1,030.67%162.48M | 1,030.67%162.48M | ---- | ---- | ---- |
Other non current assets | -62.64%4.46M | -62.64%4.46M | 17.16%180.63M | 129.60%183.55M | 79.32%189.44M | 248.60%11.94M | 248.60%11.94M | 7.99%154.17M | -24.46%79.94M | 83.11%105.65M |
Total non current assets | -32.28%1.01B | -32.28%1.01B | 16.83%1.54B | 18.85%1.49B | 11.86%1.44B | 16.52%1.49B | 16.52%1.49B | -1.48%1.31B | -5.54%1.26B | -0.72%1.29B |
Total assets | -14.91%2.74B | -14.91%2.74B | 5.47%3.3B | 2.15%3.23B | 3.05%3.19B | 0.52%3.21B | 0.52%3.21B | -5.57%3.13B | -2.22%3.16B | -4.79%3.09B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 15.30%258.52M | 15.30%258.52M | 0.46%138.71M | 3.04%137.42M | 24.73%152.53M | -7.23%224.21M | -7.23%224.21M | -8.70%138.07M | 4.87%133.37M | -1.18%122.29M |
-Total tax payable | 8.73%61.86M | 8.73%61.86M | -13.60%53.64M | -4.23%57.57M | -6.61%56.13M | -23.71%56.89M | -23.71%56.89M | -2.73%62.08M | 15.89%60.11M | 19.60%60.1M |
-Dividends payable | ---- | ---- | ---- | ---- | --43.57M | ---- | ---- | ---- | ---- | ---- |
-Due to related parties current | 22.94%477K | 22.94%477K | -80.92%146K | -66.59%138K | -5.75%164K | -93.42%388K | -93.42%388K | 313.51%765K | 778.72%413K | 205.26%174K |
-Other payable | 17.52%196.18M | 17.52%196.18M | 12.90%84.93M | 9.42%79.72M | -15.08%52.66M | 3.54%166.93M | 3.54%166.93M | -13.75%75.22M | -3.21%72.85M | -15.56%62.01M |
Current accrued expenses | -4.88%48.29M | -4.88%48.29M | -10.66%244.72M | -17.89%249.18M | 1.53%237.34M | -4.13%50.77M | -4.13%50.77M | -22.06%273.92M | -14.37%303.45M | -39.35%233.77M |
Current debt and capital lease obligation | 92.53%114.68M | 92.53%114.68M | 297.11%129.96M | 48.58%67.2M | 10.54%56.19M | 18.45%59.56M | 18.45%59.56M | -34.33%32.73M | -13.60%45.22M | 5.65%50.83M |
-Current debt | 133.93%69.77M | 133.93%69.77M | --89.56M | --39.71M | --29.93M | --29.83M | --29.83M | ---- | ---- | ---- |
-Current capital lease obligation | 51.00%44.91M | 51.00%44.91M | 23.44%40.4M | -39.23%27.48M | -48.34%26.26M | -40.86%29.74M | -40.86%29.74M | -34.33%32.73M | -13.60%45.22M | 5.65%50.83M |
Current deferred liabilities | -2.48%190.37M | -2.48%190.37M | -16.72%94.75M | -10.55%95.66M | -11.97%97.8M | 7.45%195.21M | 7.45%195.21M | -15.27%113.77M | -16.08%106.93M | -20.26%111.1M |
Other current liabilities | 72.06%18.36M | 72.06%18.36M | ---- | ---- | ---- | -6.68%10.67M | -6.68%10.67M | ---- | ---- | ---- |
Current liabilities | 16.61%630.21M | 16.61%630.21M | 8.89%608.14M | -6.71%549.45M | 4.99%543.85M | 0.44%540.42M | 0.44%540.42M | -18.68%558.49M | -10.94%588.98M | -25.64%517.98M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 45.23%125.2M | 45.23%125.2M | 2,051.48%124.92M | 1,615.28%114.48M | 957.90%95.56M | 311.07%86.21M | 311.07%86.21M | -82.24%5.81M | -84.38%6.67M | -82.79%9.03M |
-Long term capital lease obligation | 45.23%125.2M | 45.23%125.2M | 2,051.48%124.92M | 1,615.28%114.48M | 957.90%95.56M | 311.07%86.21M | 311.07%86.21M | -82.24%5.81M | -84.38%6.67M | -82.79%9.03M |
Non current deferred liabilities | -21.23%19.76M | -21.23%19.76M | -18.84%20.78M | -22.51%21.34M | -19.89%23.36M | -19.07%25.08M | -19.07%25.08M | -22.75%25.6M | -22.37%27.54M | -20.71%29.15M |
Other non current liabilities | -17.71%1.26M | -17.71%1.26M | 56.78%1.61M | 57.69%1.61M | -8.98%1.86M | --1.54M | --1.54M | --1.03M | --1.02M | --2.04M |
Total non current liabilities | 29.60%146.22M | 29.60%146.22M | 354.16%147.3M | 290.04%137.43M | 200.24%120.77M | 117.12%112.83M | 117.12%112.83M | -50.73%32.43M | -54.95%35.24M | -54.94%40.23M |
Total liabilities | 18.86%776.43M | 18.86%776.43M | 27.84%755.44M | 10.04%686.88M | 19.06%664.63M | 10.72%653.25M | 10.72%653.25M | -21.49%590.92M | -15.59%624.21M | -28.97%558.21M |
Shareholders'equity | ||||||||||
Share capital | 5.45%290K | 5.45%290K | 5.47%289K | 5.11%288K | 5.13%287K | 0.73%275K | 0.73%275K | 1.86%274K | 1.86%274K | 2.25%273K |
-common stock | 5.45%290K | 5.45%290K | 5.47%289K | 5.11%288K | 5.13%287K | 0.73%275K | 0.73%275K | 1.86%274K | 1.86%274K | 2.25%273K |
Retained earnings | -180.58%-926.39M | -180.58%-926.39M | 8.96%-312.12M | 7.94%-332.47M | 2.00%-351.41M | 4.75%-330.17M | 4.75%-330.17M | 7.20%-342.84M | 2.79%-361.14M | -5.71%-358.57M |
Paid-in capital | -0.35%3.07B | -0.35%3.07B | 0.16%3.07B | -0.19%3.07B | 0.30%3.06B | 1.20%3.08B | 1.20%3.08B | 0.88%3.06B | 1.43%3.07B | 1.16%3.05B |
Less: Treasury stock | 5.09%376.69M | 5.09%376.69M | 4.41%369.91M | 3.93%365.45M | 21.57%359.09M | 53.95%358.45M | 53.95%358.45M | 62.73%354.28M | 61.52%351.64M | 35.67%295.37M |
Gains losses not affecting retained earnings | 38.57%72.11M | 38.57%72.11M | -29.09%42.71M | -12.91%57.79M | 185.36%53.72M | 57.06%52.04M | 57.06%52.04M | 33.62%60.24M | 603.68%66.36M | 127.80%18.82M |
Total stockholders'equity | -24.75%1.84B | -24.75%1.84B | 0.10%2.43B | 0.02%2.43B | -0.52%2.41B | -2.15%2.44B | -2.15%2.44B | -2.73%2.43B | -0.03%2.43B | 1.03%2.42B |
Noncontrolling interests | 2.07%119.61M | 2.07%119.61M | 3.79%119.84M | 4.12%119.34M | 0.40%118.24M | 6.59%117.19M | 6.59%117.19M | 63.87%115.46M | 63.00%114.62M | 67.08%117.77M |
Total equity | -23.53%1.96B | -23.53%1.96B | 0.27%2.55B | 0.21%2.55B | -0.48%2.52B | -1.79%2.56B | -1.79%2.56B | -0.90%2.54B | 1.74%2.54B | 2.92%2.54B |
Currency Unit | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
Audit Opinions | Unqualified Opinion | -- | -- | -- | -- | Unqualified Opinion | -- | -- | -- | -- |