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京城機電股份:2023年年度業績公告

JINGCHENG MAC: ANNOUNCEMENT ON 2023 ANNUAL RESULTS

香港交易所 ·  Mar 28 10:31
Summary by Moomoo AI
京城機電公佈2023年年度業績,報告期內營業收入達到1,405,495,692.08元人民幣,較上年同期增長2.42%;營業成本為1,190,271,087.25元人民幣,略增0.32%。經營活動產生的現金流量淨額為66,359,922.32元人民幣,較上年大幅增長1,170.35%。投資活動現金流量淨額為負157,070,258.23元人民幣,籌資活動現金流量淨額為正256,190,368.87元人民幣。期末資產總額為2,812,343,564.88元人民幣,負債總額為1,433,936,790.80元人民幣,所有者權益合計為1,378,406,774.08元人民幣。報告期內,公司未分配利潤為-717,353,627.48元人民幣,基本每股收益為-0.10元。
京城機電公佈2023年年度業績,報告期內營業收入達到1,405,495,692.08元人民幣,較上年同期增長2.42%;營業成本為1,190,271,087.25元人民幣,略增0.32%。經營活動產生的現金流量淨額為66,359,922.32元人民幣,較上年大幅增長1,170.35%。投資活動現金流量淨額為負157,070,258.23元人民幣,籌資活動現金流量淨額為正256,190,368.87元人民幣。期末資產總額為2,812,343,564.88元人民幣,負債總額為1,433,936,790.80元人民幣,所有者權益合計為1,378,406,774.08元人民幣。報告期內,公司未分配利潤為-717,353,627.48元人民幣,基本每股收益為-0.10元。
KJING ELECTRIC ANNOUNCED 2023 ANNUAL RESULTS, WITH AN OPERATING INCOME OF RMB 1,405,495,692.08 FOR THE REPORTING PERIOD, AN INCREASE OF 2.42% OVER THE SAME PERIOD LAST YEAR; OPERATING COSTS WERE RMB 1,190,271,087.25, A SLIGHT INCREASE OF 0.32%. Net cash flow generated by operating activities was RMB66,359,922.32, a significant increase of 1,170.35% year-on-year. The net cash flow of investing activities was negative RMB 157,070,258.23 and the net cash flow of financing activities was RMB 256,190,368.87. The total assets at the end of the period are RMB 2,812,343,564.88, the total liabilities are RMB 1,433,936,790.80, and the total shareholders' equity is RMB 1,378,406,774.08. During the reporting period, the company had an undistributed profit of RMB -717,353,627.48 and basic earnings per share of RMB -0.10.
KJING ELECTRIC ANNOUNCED 2023 ANNUAL RESULTS, WITH AN OPERATING INCOME OF RMB 1,405,495,692.08 FOR THE REPORTING PERIOD, AN INCREASE OF 2.42% OVER THE SAME PERIOD LAST YEAR; OPERATING COSTS WERE RMB 1,190,271,087.25, A SLIGHT INCREASE OF 0.32%. Net cash flow generated by operating activities was RMB66,359,922.32, a significant increase of 1,170.35% year-on-year. The net cash flow of investing activities was negative RMB 157,070,258.23 and the net cash flow of financing activities was RMB 256,190,368.87. The total assets at the end of the period are RMB 2,812,343,564.88, the total liabilities are RMB 1,433,936,790.80, and the total shareholders' equity is RMB 1,378,406,774.08. During the reporting period, the company had an undistributed profit of RMB -717,353,627.48 and basic earnings per share of RMB -0.10.
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