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Greenland Reports 64% YoY Increase in 1Q 2024 Net Income Per Share

Greenland Reports 64% YoY Increase in 1Q 2024 Net Income Per Share

格陵兰岛报告称,2024年第一季度每股净收益同比增长64%
格陵兰科技 ·  05/16 00:00
  • Drives Year-over-Year Revenue Growth and Gross Margin Expansion
  • Achieves Major Milestone with Sales to Maryland'sPort of Baltimore
  • Accelerates Expansion of the HEVI Authorized Service Provider (ASP) National Network
  • 推动收入同比增长和毛利率增长
  • 通过销售马里兰州巴尔的摩港实现重大里程碑
  • 加速 HEVI 授权服务提供商 (ASP) 全国网络的扩展

EAST WINDSOR, N.J., May 16, 2024 /PRNewswire/ -- Greenland Technologies Holding Corporation (Nasdaq: GTEC) ("Greenland" or the "Company"), a technology developer and manufacturer of electric industrial vehicles and drivetrain systems for material handling machineries and vehicles, today announced its unaudited financial results for the first quarter ended March 31, 2024.

新泽西州东温莎,2024年5月16日 /PRNewswire/ — 电动工业车辆和物料搬运机械和车辆传动系统技术开发和制造商格陵兰科技控股公司(纳斯达克股票代码:GTEC)(“格陵兰” 或 “公司”)今天公布了截至2024年3月31日的第一季度未经审计的财务业绩。

Raymond Wang, Chief Executive Officer of Greenland, said, "In the first quarter of 2024, we achieved a remarkable 64% year-over-year increase in our net income per share, driven by our focused execution of both short-term and long-term business strategies. Our electric vehicle (EV) sales are gaining significant traction, thanks to our strategic investments in developing a highly competitive lineup of electric industrial vehicles. These vehicles not only provide customers with the power and features necessary for their operations but also offer a renewable footprint and compelling return on investment. Furthermore, the expansion of our HEVI Authorized Service Provider ("ASP") national network is proving to be immensely beneficial. This network enhances confidence among HEVI owners, ensuring they have access to a robust and reliable service and support infrastructure wherever they operate. Our success in expanding our ASP national network is a key reason we have been building business momentum and have been able to secure numerous purchase agreements for our GEL-5000 and GEL-1800 all-electric loaders."

绿地首席执行官雷蒙德·王表示:“在2024年第一季度,在我们集中执行短期和长期业务战略的推动下,我们的每股净收益同比增长了64%。由于我们对开发极具竞争力的电动工业车辆阵容进行了战略投资,我们的电动汽车(EV)销售获得了巨大的吸引力。这些车辆不仅为客户提供运营所需的动力和功能,而且还提供可再生的占地面积和可观的投资回报率。此外,事实证明,我们的HEVI授权服务提供商(“ASP”)全国网络的扩张是非常有益的。该网络增强了HEVI所有者的信心,确保他们在任何地方运营都能获得强大而可靠的服务和支持基础设施。我们成功扩大 ASP 全国网络是我们保持业务势头并能够为 GEL-5000 和 GEL-1800 全电动装载机获得大量购买协议的关键原因。”

"In light of our significant progress and accelerating growth, the response from our customers and partners has been overwhelmingly positive, as they share in our dedication to excellence. We are thrilled about all of our pivotal strategic developments and eagerly anticipate providing further updates as we progress forward, as we strive to unlock value for all shareholders."

“鉴于我们取得的重大进展和加速的增长,我们的客户和合作伙伴的反应非常积极,因为他们与我们一样致力于追求卓越。我们对所有关键战略发展感到兴奋,并热切期待在我们努力为所有股东释放价值的同时,随着我们的前进,我们将提供进一步的最新情况。”

Jing Jin, Chief Financial Officer of Greenland, commented, "We started 2024 on a high note, with positive advancements in key financial metrics, strides in our long-term growth strategy, and a robust balance sheet to bolster our expansion initiatives. While we acknowledge challenges such as heightened shipping costs, credit losses, and staffing expenses associated with our expansion, we are optimistic that these headwinds will gradually ease as we progress through the year. This, in turn, we believe, will fuel additional profitable growth and enhance shareholder value."

绿地首席财务官金静评论说:“我们在2024年开始时表现良好,关键财务指标取得了积极进展,长期增长战略取得了长足的进步,资产负债表也强劲地支持了我们的扩张计划。尽管我们承认诸如运输成本上涨、信贷损失和与扩张相关的人员开支等挑战,但我们乐观地认为,随着我们今年的进展,这些不利因素将逐渐缓解。我们认为,这反过来将推动额外的盈利增长并提高股东价值。”

Financial Highlights

Fi财务亮点

Greenland's revenue was $22.72 million for the three months ended March 31, 2024, representing an increase of $0.57 million, or 2.6%, as compared to $22.15 million for the three months ended March 31, 2023. The increase in revenue was primarily a result of the increase in the Company's sales volume, driven by increasing market demand for transmission products for the three months ended March 31, 2024. On an RMB basis, revenue for the three months ended March 31, 2024 increased by approximately 7.8% as compared to the three months ended March 31, 2023.

截至2024年3月31日的三个月,格陵兰岛的收入为2272万美元,与截至2023年3月31日的三个月的2215万美元相比,增长了57万美元,增长了2.6%。收入的增长主要是由于截至2024年3月31日的三个月中变速箱产品的市场需求增加所推动的,公司的销量增加。按人民币计算,截至2024年3月31日的三个月收入与截至2023年3月31日的三个月相比增长了约7.8%。

Greenland's gross profit was $5.65 million for the three months ended March 31, 2024, representing an increase of $0.13 million, or 2.2%, as compared to $5.52 million for the three months ended March 31, 2023. For the three months ended March 31, 2024 and 2023, Greenland's gross margins were 24.9%. The increase in gross profit in the three months ended March 31, 2024 compared to the three months ended March 31, 2023 was primarily due to the increase in sales volume.

截至2024年3月31日的三个月,格陵兰岛的毛利为565万美元,与截至2023年3月31日的三个月的552万美元相比,增长了13万美元,增长了2.2%。在截至2024年3月31日和2023年3月31日的三个月中,格陵兰岛的毛利率为24.9%。与截至2023年3月31日的三个月相比,截至2024年3月31日的三个月的毛利增长主要是由于销量的增加。

Greenland's cost of goods sold consists primarily of material costs, freight charges, purchasing and receiving costs, inspection costs, internal transfer costs, wages, employee compensation, amortization, depreciation and related costs, which are directly attributable to the Company's manufacturing activities. The write down of inventory using the net realizable value impairment test is also recorded in cost of goods sold. The total cost of goods sold was $17.08 million for the three months ended March 31, 2024, representing an increase of $0.45 million, or 2.7%, as compared to $16.63 million for the three months ended March 31, 2023. Cost of goods sold increased due to the increase in sales volume.

格陵兰岛的商品销售成本主要包括材料成本、运费、购买和接收成本、检验成本、内部转移成本、工资、员工薪酬、摊销、折旧和相关成本,这些成本直接归因于公司的制造活动。使用净可变现价值减值测试减记的库存也记录在销售成本中。截至2024年3月31日的三个月,商品总销售成本为1708万美元,与截至2023年3月31日的三个月的1,663万美元相比,增加了45万美元,增长了2.7%。由于销量的增加,商品销售成本增加。

Total operating expenses were $3.72 million, an increase of 18.1% from $3.15 million in the first quarter of 2023. The increase was primarily due to higher shipping fees, staffing costs and general and administrative expenses.

总运营支出为372万美元,较2023年第一季度的315万美元增长了18.1%。增加的主要原因是运费、人事费用以及一般和管理费用增加。

Income from operations for the three months ended March 31, 2024 was $1.93 million, representing a decrease of $0.44 million, as compared to that of $2.37 million for the three months ended March 31, 2023.

截至2024年3月31日的三个月,运营收入为193万美元,与截至2023年3月31日的三个月的237万美元相比,减少了44万美元。

Net income was $3.57 million for the three months ended March 31, 2024, representing an increase of $1.11 million, as compared to that of $2.46 million for the three months ended March 31, 2023. Net income was $0.18 per basic and diluted share for the three months ended March 31, 2024, representing an increase of 64%, as compared to $0.11 for the three months ended March 31, 2023.

截至2024年3月31日的三个月,净收入为357万美元,与截至2023年3月31日的三个月的246万美元相比,增加了111万美元。截至2024年3月31日的三个月,基本和摊薄后每股净收益为0.18美元,与截至2023年3月31日的三个月0.11美元相比,增长了64%。

Cash equivalents refers to all highly liquid investments purchased with original maturity of three months or less. As of March 31, 2024, Greenland had $15.99 million of cash and cash equivalents, a decrease of approximately $7.00 million, or 30.44%, as compared to $22.98 million as of December 31, 2023. The decrease of cash and cash equivalents was mainly due to an increase in notes receivables and fixed deposit, as compared to that as of December 31, 2023.

现金等价物是指购买的初始到期日为三个月或更短的所有高流动性投资。截至2024年3月31日,格陵兰岛拥有1,599万美元的现金及现金等价物,与截至2023年12月31日的2298万美元相比,减少了约70万美元,下降了30.44%。与2023年12月31日相比,现金和现金等价物的减少主要是由于应收票据和定期存款的增加。

As of March 31, 2024, Greenland had approximately $22.58 million of accounts receivables, an increase of $5.23 million, or 30.14%, as compared to $17.35 million as of December 31, 2023. The increase in accounts receivables was due to the increase in the Company's sales volume and slowed down efforts in receivables collections. Greenland recorded $1.42 million and $0.87 million of allowance for expected credit losses as of March 31, 2024 and December 31, 2023, respectively.

截至2024年3月31日,格陵兰岛的应收账款约为2258万美元,与截至2023年12月31日的1,735万美元相比,增加了523万美元,增长了30.14%。应收账款的增加是由于公司销售量的增加以及应收账款收款方面的工作放缓。截至2024年3月31日和2023年12月31日,格陵兰岛分别记录了142万美元和87万美元的预期信贷损失备抵金。

As of March 31, 2024, Greenland had $32.13 million of notes receivables, which it expects to collect within twelve months. The increase was $4.99 million, or 18.39%, as compared to $27.14 million as of December 31, 2023.

截至2024年3月31日,格陵兰岛有3,213万美元的应收票据,预计将在十二个月内收回。与截至2023年12月31日的2714万美元相比,增长了499万美元,增长了18.39%。

About Greenland Technologies Holding Corporation

关于绿地科技控股公司

Greenland Technologies Holding Corporation (Nasdaq: GTEC) is a developer and a manufacturer of drivetrain systems for material handling machineries and electric vehicles, as well as electric industrial vehicles. Information on the Company's clean industrial heavy equipment division can be found at HEVI Corp. Greenland Technologies Holding Corporation (NASDAQ: GTEC) is a developer and a manufacturer of drivetrain systems for material handling machineries and electric vehicles, as well as electric industrial vehicles. Information on the Company's clean industrial heavy equipment division can be found at HEVI Corp.

格陵兰科技控股公司(纳斯达克股票代码:GTEC)是物料搬运机械和电动汽车以及电动工业车辆的传动系统开发和制造商。有关该公司清洁工业重型设备部门的信息可在HEVI Corp. 找到。格陵兰科技控股公司(纳斯达克股票代码:GTEC)是物料搬运机械和电动汽车以及电动工业车辆传动系统的开发商和制造商。有关该公司清洁工业重型设备部门的信息,请访问 HEVI 公司

Safe Harbor Statement

安全港声明

This press release contains statements that may constitute "forward-looking statements." Such statements reflect Greenland's current views with respect to future events and are subject to such risks and uncertainties, many of which are beyond the control of Greenland, including those set forth in the Risk Factors section of Greenland's Annual Report on Form 10-K filed with the U.S. Securities and Exchange Commission ("SEC"). Copies are available on the SEC's website, www.sec.gov. Words such as "expect," "estimate," "project," "budget," "forecast," "anticipate," "intend," "plan," "may," "will," "could," "should," "believes," "predicts," "potential," "continue," and similar expressions are intended to identify such forward-looking statements. These forward-looking statements include, without limitation, Greenland's expectations with respect to future performance. Should one or more of these risks or uncertainties materialize, or should assumptions underlying the forward-looking statements prove incorrect, actual results may vary materially from those described herein as intended, planned, anticipated or expected. Statements contained in this news release regarding past trends or activities should not be taken as a representation that such trends or activities will continue in the future. Greenland does not intend and does not assume any obligation to update these forward-looking statements, other than as required by law.

本新闻稿包含可能构成 “前瞻性陈述” 的陈述。此类声明反映了格陵兰目前对未来事件的看法,并受到此类风险和不确定性的影响,其中许多风险和不确定性是格陵兰岛无法控制的,包括格陵兰向美国证券交易委员会(“SEC”)提交的10-K表年度报告的风险因素部分中列出的那些风险和不确定性。副本可在美国证券交易委员会的网站上获得, www.sec.gov。诸如 “期望”、“估计”、“项目”、“预算”、“预测”、“打算”、“计划”、“可能”、“将”、“可能”、“应该”、“相信”、“预测”、“潜力”、“继续” 等词语以及类似的表述旨在识别此类前瞻性陈述。这些前瞻性陈述包括但不限于格陵兰对未来业绩的预期。如果其中一项或多项风险或不确定性成为现实,或者前瞻性陈述所依据的假设被证明不正确,则实际结果可能与本文所述的预期、计划、预期或预期结果存在重大差异。本新闻稿中有关过去趋势或活动的声明不应被视为此类趋势或活动在未来将继续存在的陈述。除法律要求外,格陵兰岛不打算也不承担任何义务更新这些前瞻性陈述。

Statement Regarding Preliminary Unaudited Financial Information

关于未经审计的初步财务信息的声明

The unaudited financial information set out in this earnings release is preliminary and subject to potential adjustments. Adjustments to the consolidated financial statements may be identified when audit work has been performed for the Company's year-end audit, which could result in significant differences from this preliminary unaudited financial information.

本财报中列出的未经审计的财务信息是初步的,可能会进行调整。在对公司年终审计进行审计工作时,可能会确定对合并财务报表的调整,这可能会导致与未经审计的初步财务信息存在重大差异。

GREENLAND TECHNOLOGIES HOLDING CORPORATION AND SUBSIDIARIES

CONSOLIDATED BALANCE SHEETS

(UNAUDITED, IN U.S. DOLLARS)






March 31,



December 31,




2024



2023


ASSETS







Current assets







Cash and cash equivalents


$

15,985,073



$

22,981,324


Restricted cash



3,850,217




5,208,063


Short Term Investment



2,794,690




2,818,068


Notes receivable



32,125,580




27,135,249


Accounts receivable, net



21,159,628




16,483,533


Inventories, net



24,746,244




24,596,795


Due from related parties-current, net



228,311




225,927


Advance to suppliers



606,469




288,578


Prepayments and other current assets



1,878,130




53,204


Total Current Assets


$

103,374,342



$

99,790,741











Non-current asset









Property, plant, equipment and construction in progress, net



14,110,492




13,698,997


Land use rights, net



3,369,694




3,448,505


Other intangible assets



162,579




189,620


Deferred tax assets



437,459




256,556


Right-of-use assets



1,996,392




2,125,542


Fixed deposit



15,395,169




9,916,308


Other non-current assets



335,304




1,050,698


Total non-current assets


$

35,807,089



$

30,686,226


TOTAL ASSETS


$

139,181,431



$

130,476,967


格陵兰科技控股公司及子公司

合并资产负债表

(未经审计,以美元计)






三月 31,



十二月三十一日




2024



2023


资产







流动资产







现金和现金等价物


$

15,985,073



$

22,981,324


限制性现金



3,850,217




5,208,063


短期投资



2,794,690




2,818,068


应收票据



32,125,580




27,135,249


应收账款,净额



21,159,628




16,483,533


库存,净额



24,746,244




24,596,795


关联方应付款-当前,净额



228,311




225,927


预付给供应商



606,469




288,578


预付款和其他流动资产



1,878,130




53,204


流动资产总额


$

103,374,342



$

99,790,741











非流动资产









不动产、厂房、设备和在建工程,净额



14,110,492




13,698,997


土地使用权,净额



3,369,694




3,448,505


其他无形资产



162,579




189,620


递延所得税资产



437,459




256,556


使用权资产



1,996,392




2,125,542


定期存款



15,395,169




9,916,308


其他非流动资产



335,304




1,050,698


非流动资产总额


$

35,807,089



$

30,686,226


总资产


$

139,181,431



$

130,476,967


Current Liabilities







Short-term bank loans


$

8,254,505



$

3,042,296


Notes payable-bank acceptance notes



33,167,150




36,712,562


Accounts payable



30,845,465




25,272,528


Taxes payables



745,662




758,307


Customer deposits



339,838




137,985


Due to related parties



4,021,592




4,021,636


Other current liabilities



1,947,696




2,091,507


Lease liabilities



488,568




487,695


Total current liabilities


$

79,810,476



$

72,524,516











Long-term liabilities









Lease liabilities



1,560,279




1,684,614


Other long-term liabilities



1,447,490




1,529,831


Warrant liability



3,049,299




4,084,605


Total long-term liabilities


$

6,057,068



$

7,299,050


TOTAL LIABILITIES


$

85,867,544



$

79,823,566











COMMITMENTS AND CONTINGENCIES



-




-


Shareholders' equity









Ordinary shares, no par value, unlimited shares authorized;

13,594,530 and 13,594,530 shares issued and outstanding as of

March 31, 2024 and December 31, 2023.



-




-


Additional paid-in capital



30,286,560




30,286,560


Statutory reserves



3,842,331




3,842,331


Retained earnings



21,037,336




18,535,133


Accumulated other comprehensive loss



(3,237,602)




(2,583,794)


Total shareholders' equity


$

51,928,625



$

50,080,230


Non-controlling interest



1,385,262




573,171


TOTAL EQUITY


$

53,313,887



$

50,653,401











TOTAL LIABILITIES AND SHAREHOLDERS' EQUITY


$

139,181,431



$

130,476,967


流动负债







短期银行贷款


$

8,254,505



$

3,042,296


应付票据-银行承兑汇票



33,167,150




36,712,562


应付账款



30,845,465




25,272,528


应付税款



745,662




758,307


客户存款



339,838




137,985


应归因于关联方



4,021,592




4,021,636


其他流动负债



1,947,696




2,091,507


租赁负债



488,568




487,695


流动负债总额


$

79,810,476



$

72,524,516











长期负债









租赁负债



1,560,279




1,684,614


其他长期负债



1,447,490




1,529,831


认股权证责任



3,049,299




4,084,605


长期负债总额


$

6,057,068



$

7,299,050


负债总额


$

85,867,544



$

79,823,566











承付款和意外开支



-




-


股东权益









普通股,无面值,无限量授权;

截至已发行和流通的13,594,530股和13,594,530股股票

2024 年 3 月 31 日和 2023 年 12 月 31 日。



-




-


额外的实收资本



30,286,560




30,286,560


法定储备金



3,842,331




3,842,331


留存收益



21,037,336




18,535,133


累计其他综合亏损



(3,237,602)




(2,583,794)


股东权益总额


$

51,928,625



$

50,080,230


非控股权益



1,385,262




573,171


权益总额


$

53,313,887



$

50,653,401











总负债和股东权益


$

139,181,431



$

130,476,967


GREENLAND TECHNOLOGIES HOLDING CORPORATION AND SUBSIDIARIES

CONSOLIDATED STATEMENTS OF OPERATIONS AND COMPREHENSIVE INCOME (LOSS)

(UNAUDITED, IN U.S. DOLLARS)




For the

three months ended

March 31,




2024



2023


Revenues


$

22,723,591



$

22,149,360


Cost of goods sold



17,076,522




16,625,930


Gross profit



5,647,069




5,523,430


Selling expenses



549,496




387,485


General and administrative expenses



2,183,429




1,641,904


Research and development expenses



987,724




1,119,891


Total operating expenses


$

3,720,649



$

3,149,280


INCOME FROM OPERATIONS


$

1,926,420



$

2,374,150


Interest income



169,213




30,393


Interest expense



(43,840)




(66,493)


Change in fair value of the warrant liability



1,035,306




-


Other income



296,148




417,382


INCOME BEFORE INCOME TAX


$

3,383,247



$

2,755,432


INCOME TAX BENEFIT (EXPENSE)



(186,001)




296,858


NET INCOME


$

3,569,248



$

2,458,574


LESS: NET INCOME ATTRIBUTABLE TO NONCONTROLLING INTEREST



1,067,045




1,011,599


NET INCOME ATTRIBUTABLE TO GREENLAND TECHNOLOGIES

HOLDING CORPORATION AND SUBSIDIARIES


$

2,502,203



$

1,446,975


OTHER COMPREHENSIVE INCOME (LOSS):



(908,762)




317,332


Unrealized foreign currency translation income (loss) attribute to Greenland

Technologies Holding Corporation and subsidiaries



(653,808)




212,352


Unrealized foreign currency translation income (loss) attribute to non-controlling

interest



(254,954)




104,980


Total comprehensive income attributable to Greenland Technologies Holding

Corporation and subsidiaries



1,848,395




1,659,327


Total comprehensive income attributable to noncontrolling interest



812,091




1,116,579


WEIGHTED AVERAGE ORDINARY SHARES OUTSTANDING:



13,594,530




12,978,504


Basic and diluted



0.18




0.11


格陵兰科技控股公司及子公司

合并运营报表和综合收益(亏损)

(未经审计,以美元计)




对于

三个月已结束

3月31日




2024



2023


收入


$

22,723,591



$

22,149,360


销售商品的成本



17,076,522




16,625,930


毛利



5,647,069




5,523,430


销售费用



549,496




387,485


一般和管理费用



2,183,429




1,641,904


研究和开发费用



987,724




1,119,891


运营费用总额


$

3,720,649



$

3,149,280


运营收入


$

1,926,420



$

2,374,150


利息收入



169,213




30,393


利息支出



(43,840)




(66,493)


认股权证负债公允价值的变化



1,035,306




-


其他收入



296,148




417,382


所得税前收入


$

3,383,247



$

2,755,432


所得税 福利(支出)



(186,001)




296,858


净收入


$

3,569,248



$

2,458,574


减去:归因于非控股权益的净收益



1,067,045




1,011,599


归因于格陵兰科技的净收入

控股公司和子公司


$

2,502,203



$

1,446,975


其他综合收益(亏损):



(908,762)




317,332


未实现的外币折算收入(亏损)归因于格陵兰岛

科技控股公司及其子公司



(653,808)




212,352


未实现的外币折算收入(亏损)归因于非控制性

利息



(254,954)




104,980


全部全面 收入 归属于绿地科技控股公司

公司和子公司



1,848,395




1,659,327


归属于非控股权益的综合收益总额



812,091




1,116,579


已发行普通股的加权平均值:



13,594,530




12,978,504


基本款和稀释版



0.18




0.11


SOURCE Greenland Technologies Holding Corporation

来源:格陵兰科技控股公司

For more information, please contact: Greenland Technologies, Josh Centanni, Phone: +1 888-827-4832, Email: jcentanni@gtec-tech.com; Global IR Partners, David Pasquale, Phone: +1 914-337-8801, Email: GTEC@globalirpartners.com

欲了解更多信息,请联系:格陵兰科技,乔什·森塔尼,电话:+1 888-827-4832,电子邮件:jcentanni@gtec-tech.com;全球投资者关系合作伙伴,大卫·帕斯夸莱,电话:+1 914-337-8801,电子邮件:GTEC@globalirpartners.com

声明:本内容仅用作提供资讯及教育之目的,不构成对任何特定投资或投资策略的推荐或认可。 更多信息
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