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金蝶國際:截至二零二三年十二月三十一日止年度之全年業績公佈及建議採納經修訂和重述的公司章程大綱細則

KINGDEE INT'L: ANNUAL RESULTS ANNOUNCEMENT FOR THE YEAR ENDED 31 DECEMBER 2023 AND PROPOSED ADOPTION OF AMENDED AND RESTATED MEMORANDUM AND ARTICLES OF ASSOCIATION OF THE COMPANY

香港交易所 ·  Mar 18 07:41
Summary by Moomoo AI
金蝶國際軟件集團有限公司公佈截至2023年12月31日止年度全年業績,總營業額達人民幣5,679,073,000元,同比增長16.7%。雲服務業務收入增長21.3%,至人民幣4,504,983,000元,占集團收入約79.3%。公司權益持有人應占當期虧損約人民幣209,890,000元,較去年減少約46.1%。營運活動產生的淨現金流入約人民幣653,319,000元,同比增長約74.5%。每股基本虧損約人民幣6.07分。公司亦建議採納經修訂和重述的公司章程大綱細則,以遵守聯交所的電子通訊規定。董事會不建議派發股息。
金蝶國際軟件集團有限公司公佈截至2023年12月31日止年度全年業績,總營業額達人民幣5,679,073,000元,同比增長16.7%。雲服務業務收入增長21.3%,至人民幣4,504,983,000元,占集團收入約79.3%。公司權益持有人應占當期虧損約人民幣209,890,000元,較去年減少約46.1%。營運活動產生的淨現金流入約人民幣653,319,000元,同比增長約74.5%。每股基本虧損約人民幣6.07分。公司亦建議採納經修訂和重述的公司章程大綱細則,以遵守聯交所的電子通訊規定。董事會不建議派發股息。
Goldbutterfly International Software Group Limited announced its annual results for the year ended 31 December 2023 with total revenue of RMB5,679,073,000, an increase of 16.7% year-on-year. Revenue from the cloud services business grew 21.3% to RMB4,504,983,000, accounting for approximately 79.3% of Group revenue. The Company's equity holders should account for a current loss of approximately RMB209,890,000, down approximately 46.1% from last year. Net cash flow generated by operating activities was approximately RMB653,319,000, an increase of approximately 74.5% year-on-year. Basic loss per share of approximately RMB6.07 cents. The Company also proposes to adopt revised and revised articles of association to comply with the exchange's electronic communications regulations. The Board of Directors does not recommend the distribution of dividends.
Goldbutterfly International Software Group Limited announced its annual results for the year ended 31 December 2023 with total revenue of RMB5,679,073,000, an increase of 16.7% year-on-year. Revenue from the cloud services business grew 21.3% to RMB4,504,983,000, accounting for approximately 79.3% of Group revenue. The Company's equity holders should account for a current loss of approximately RMB209,890,000, down approximately 46.1% from last year. Net cash flow generated by operating activities was approximately RMB653,319,000, an increase of approximately 74.5% year-on-year. Basic loss per share of approximately RMB6.07 cents. The Company also proposes to adopt revised and revised articles of association to comply with the exchange's electronic communications regulations. The Board of Directors does not recommend the distribution of dividends.
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