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J-Long Group Limited Announces H1 2024 EPS $0.05 Vs $0.11 YoY; Revenue $14.6M Vs $22.4M YoY

J-Long Group Limited Announces H1 2024 EPS $0.05 Vs $0.11 YoY; Revenue $14.6M Vs $22.4M YoY

J-Long Group Limited公佈2024年上半年每股收益0.05美元,同比增長0.11美元;收入爲1460萬美元,同比增長2,240萬美元
Benzinga ·  03/25 11:14

Overview:

概述:

  • Revenue was approximately US$14.6 million for the six months ended September 30, 2023, representing a decrease of approximately 34.9% from the same period in 2022.
  • Net income was approximately US$1.4 million for the six months ended September 30, 2023 (2022: approximately US$3.4 million).
  • 截至2023年9月30日的六個月中,收入約爲1,460萬美元,比2022年同期下降了約34.9%。
  • 截至2023年9月30日的六個月中,淨收入約爲140萬美元(2022年:約340萬美元)。

Six Month Financial Results Ended September 30, 2023

截至2023年9月30日的六個月財務業績

Revenue. Revenue decreased by approximately 34.9% from approximately US$22.4 million for the six months ended September 30, 2022, to approximately US$14.6 million for the six months ended September 30, 2023. During the six months ended September 30, 2023, revenue decreased mainly due to a decrease in the sales of heat transfers of approximately US$11.8 million from the same period in 2022 that was set off by an increase in the sales of the other products of approximately US$4 million.

收入。收入從截至2022年9月30日的六個月的約2,240萬美元下降到截至2023年9月30日的六個月的約1,460萬美元,下降了約34.9%。在截至2023年9月30日的六個月中,收入下降的主要原因是傳熱產品的銷售額比2022年同期減少了約1180萬美元,這是由於其他產品的銷售額增長了約400萬美元。

Selling, general and administrative expenses. Selling, general and administrative expenses increased by approximately 22% from approximately US$2.0 million for the six months ended September 30, 2022 to approximately US$2.4 million for the six months ended September 30, 2023, which was mainly due to (i) an increase in payroll to our staff and fees to our directors; (ii) increase in depreciation of right-of-use due to an increase of rental fee for the warehouses and offices.

銷售、一般和管理費用。銷售、一般和管理費用從截至2022年9月30日的六個月的約200萬美元增加到截至2023年9月30日的六個月的約240萬美元,增長了約22%,這主要是由於(i)員工工資和袍金用增加;(ii)倉庫和辦公室租金增加導致使用權折舊增加。

Other income, net. Other net income decreased by approximately US$0.1 million from approximately US$0.3 million for the six months ended September 30, 2022 to approximately US$0.2 million for the six months ended September 30, 2023, which was mainly due to the subsidy from the Employment Support Scheme launched by the Hong Kong government received during 30 September 2022.

其他收入,淨額。其他淨收入減少了約10萬美元,從截至2022年9月30日的六個月的約30萬美元降至截至2023年9月30日的六個月的約20萬美元,這主要是由於香港政府在2022年9月30日啓動的就業支持計劃中獲得了補貼。

Income tax expense. Income tax expense decreased to US$0.3 million for the for the six months ended September 30, 2023 (six months ended September 30, 2022: approximately US$0.7 million) which was mainly due to the decrease in net income.

所得稅支出。截至2023年9月30日的六個月(截至2022年9月30日的六個月:約70萬美元)的所得稅支出降至30萬美元,這主要是由於淨收入的減少。

Net income. Net income decreased by approximately US$2.0 million to approximately US$1.4 million, which was mainly due to the decrease in revenue.

淨收入。淨收入減少了約200萬美元,至約140萬美元,這主要是由於收入減少。

Basic and diluted EPS. Basic and diluted EPS were approximately US$0.05 per ordinary share for the six months ended September 30, 2023, as compared to US$0.11 per ordinary share for the six months ended September 30, 2022, respectively.

基本每股收益和攤薄後每股收益。截至2023年9月30日的六個月中,基本每股普通股和攤薄後每股收益約爲0.05美元,而截至2022年9月30日的六個月中,每股普通股收益分別爲0.11美元。

Liquidity and Capital Resources

流動性和資本資源

As of September 30, 2023, the Company had cash of US$768,159, total current assets of $17,018,359, and total current liabilities of US$6,259,310. Net current assets were US$10,759,049 and working capital ratio was 0.36. As of September 30, 2023, the Company's total assets and total liabilities amounted to US$20,753,700 and US$7,986,428, respectively. As of September 30, 2023, the Company's total stockholder's equity amounted to US$12,767,272 and its gearing ratio (bank loan divided by stockholder's equity) was 18.3%.

截至2023年9月30日,該公司的現金爲768,159美元,流動資產總額爲17,018,359美元,流動負債總額爲6,259,310美元。淨流動資產爲10,759,049美元,營運資本比率爲0.36。截至2023年9月30日,該公司的總資產和總負債分別爲20,753,700美元和7,986,428美元。截至2023年9月30日,該公司的股東權益總額爲12,767,272美元,其資產負債比率(銀行貸款除以股東權益)爲18.3%。

Off-Balance Sheet Arrangements
The Company does not have any off-balance sheet arrangements, including arrangements that would affect its liquidity, capital resources, market risk support, credit risk support, or other benefits.

資產負債表外安排
公司沒有任何資產負債表外安排,包括會影響其流動性、資本資源、市場風險支持、信用風險支持或其他收益的安排。

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