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京城機電股份:2024年第三季度報告

JINGCHENG MAC: 2024 THIRD QUARTERLY REPORT

HKEX ·  Oct 30 18:22

Summary by Moomoo AI

北京京城機電股份有限公司(「京城機電」)發布了2024年第三季度報告,未經審計的財務數據顯示,公司營業收入為366,072,306.34元,較上年同期減少6.08%,而累計至本報告期末的營業收入則達到1,114,845,789.14元,同比增長9.76%。報告期內,公司歸屬於上市公司股東的淨利潤為-12,691,762.38元,並且經營活動產生的現金流量淨額大幅下降85.12%,至6,092,625.63元。基本每股收益和稀釋每股收益均為-0.02元。公司總資產為2,938,842,586.59元,較上年度末增長4.50%,而歸屬於上市公司股東的所有者權益略有下降,減少0.84%至1,056,942,167.99元。公司董事會及全體董事保證報告內容真實、準確、完整,不存在虛假記載、誤導性陳述或重大遺漏。此外,公司於2023年實施了限制性股票激勵計劃,以增強長效激勵機制,吸引和留住人才。
北京京城機電股份有限公司(「京城機電」)發布了2024年第三季度報告,未經審計的財務數據顯示,公司營業收入為366,072,306.34元,較上年同期減少6.08%,而累計至本報告期末的營業收入則達到1,114,845,789.14元,同比增長9.76%。報告期內,公司歸屬於上市公司股東的淨利潤為-12,691,762.38元,並且經營活動產生的現金流量淨額大幅下降85.12%,至6,092,625.63元。基本每股收益和稀釋每股收益均為-0.02元。公司總資產為2,938,842,586.59元,較上年度末增長4.50%,而歸屬於上市公司股東的所有者權益略有下降,減少0.84%至1,056,942,167.99元。公司董事會及全體董事保證報告內容真實、準確、完整,不存在虛假記載、誤導性陳述或重大遺漏。此外,公司於2023年實施了限制性股票激勵計劃,以增強長效激勵機制,吸引和留住人才。
Peking jingcheng mac Co., Ltd. ('jingcheng mac') released the third quarter report for 2024, unaudited financial data shows that the company's revenue was 366,072,306.34 yuan, a decrease of 6.08% compared to the same period last year, and the accumulated revenue as of the end of this reporting period reached 1,114,845,789.14 yuan, an increase of 9.76% year-on-year. During the reporting period, the net profit attributable to shareholders of the listed company was -12,691,762.38 yuan, and the net cash flow from operating activities dropped significantly by 85.12% to 6,092,625.63 yuan. Both basic EPS and diluted EPS were -0.02 yuan. The total assets of the company were 2,938,842,586.59 yuan, an increase of 4.50% compared to the end of the previous year, while the owner's equity attributable to shareholders of the...Show More
Peking jingcheng mac Co., Ltd. ('jingcheng mac') released the third quarter report for 2024, unaudited financial data shows that the company's revenue was 366,072,306.34 yuan, a decrease of 6.08% compared to the same period last year, and the accumulated revenue as of the end of this reporting period reached 1,114,845,789.14 yuan, an increase of 9.76% year-on-year. During the reporting period, the net profit attributable to shareholders of the listed company was -12,691,762.38 yuan, and the net cash flow from operating activities dropped significantly by 85.12% to 6,092,625.63 yuan. Both basic EPS and diluted EPS were -0.02 yuan. The total assets of the company were 2,938,842,586.59 yuan, an increase of 4.50% compared to the end of the previous year, while the owner's equity attributable to shareholders of the listed company slightly decreased by 0.84% to 1,056,942,167.99 yuan. The board of directors and all directors of the company guarantee that the contents of the report are true, accurate, and complete, with no false records, misleading statements, or major omissions. In addition, the company implemented a restricted stock incentive plan in 2023 to enhance long-term incentive mechanisms, attracting and retaining talent.
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