JD

Cash

Short Term Investment

Account Receivable

Liquid Assets

Inventory

Current

Assets

Total Assets

Account Payable

Current Liabilities

Equity

Total Liabilities

Operating Cash Flow

2018

209,165

67,828

132,337

20,881

2019

259,724

140,017

100,625

159,099

24,781

2020

86,085

60,577

7111

153,773

58,932

139,094

422,288

106,818

174,016

879,651

200,669

42,544

2021

70,766

114,564

11,899

197,229

75,601

234,801

496,507

140,484

221,635

221,619

249,723

42,301

2022

78,861

141,095

20,576

240,532

77,949

596,250

1,695,553

160,607

266,561

274,123

321,127

57,819