share_log

協鑫新能源:截至二零二四年六月三十日止六個月之中期業績公告

GCL NEWENERGY: ANNOUNCEMENT OF INTERIM RESULTSFOR THE SIX MONTHS ENDED 30 JUNE 2024

HKEX ·  Aug 23 21:29

Summary by Futu AI

協鑫新能源控股有限公司公佈截至2024年6月30日止六個月的中期業績。期內,集團收入為人民幣496百萬元,較去年同期的人民幣423百萬元有所增加。然而,公司擁有人應佔虧損為人民幣174百萬元,每股虧損為人民幣14.14分。毛利為人民幣70百萬元,其他收入為人民幣45百萬元。期內虧損為人民幣74百萬元,而上年同期為人民幣115百萬元。本集團的非流動資產為人民幣4,022百萬元,流動資產為人民幣2,421百萬元。流動負債為人民幣710百萬元,非流動負債為人民幣756百萬元。淨資產為人民幣4,975百萬元。本公司為投資控股公司,主要從事電力銷售、光伏電站之開發、建設、經營及管理以及銷售液化天然氣及相關產品。本中期財務資料未經審核。
協鑫新能源控股有限公司公佈截至2024年6月30日止六個月的中期業績。期內,集團收入為人民幣496百萬元,較去年同期的人民幣423百萬元有所增加。然而,公司擁有人應佔虧損為人民幣174百萬元,每股虧損為人民幣14.14分。毛利為人民幣70百萬元,其他收入為人民幣45百萬元。期內虧損為人民幣74百萬元,而上年同期為人民幣115百萬元。本集團的非流動資產為人民幣4,022百萬元,流動資產為人民幣2,421百萬元。流動負債為人民幣710百萬元,非流動負債為人民幣756百萬元。淨資產為人民幣4,975百萬元。本公司為投資控股公司,主要從事電力銷售、光伏電站之開發、建設、經營及管理以及銷售液化天然氣及相關產品。本中期財務資料未經審核。
GCL Newenergy Holdings Limited announced its interim results for the six months ended June 30, 2024. During the period, the group's revenue was RMB496 million, an increase from RMB423 million in the same period last year. However, the company's attributable loss was RMB174 million, with a loss per share of RMB0.1414. Gross profit was RMB70 million, with other income of RMB45 million. The loss for the period was RMB74 million, compared to RMB115 million in the same period last year. The group's non-current assets were RMB4,022 million, and current assets were RMB2,421 million. Current liabilities were RMB710 million, and non-current liabilities were RMB756 million. Net assets were RMB4,975 million. The company is an investment holding company mainly engaged in the sale of electrical utilities, development, construction, operation and management of photovoltaic power stations, as well as the sale of liquefied natural gas and related products. This interim financial information has not been audited.
GCL Newenergy Holdings Limited announced its interim results for the six months ended June 30, 2024. During the period, the group's revenue was RMB496 million, an increase from RMB423 million in the same period last year. However, the company's attributable loss was RMB174 million, with a loss per share of RMB0.1414. Gross profit was RMB70 million, with other income of RMB45 million. The loss for the period was RMB74 million, compared to RMB115 million in the same period last year. The group's non-current assets were RMB4,022 million, and current assets were RMB2,421 million. Current liabilities were RMB710 million, and non-current liabilities were RMB756 million. Net assets were RMB4,975 million. The company is an investment holding company mainly engaged in the sale of electrical utilities, development, construction, operation and management of photovoltaic power stations, as well as the sale of liquefied natural gas and related products. This interim financial information has not been audited.

The translation is provided by third-party software.


The information provided by Futu AI is automatically generated by third-party artificial intelligence (AI) software based on news content. It is only available to users located outside of China mainland.


The above content is for informational or educational purposes only and does not constitute any investment advice related to Futu. Although we strive to ensure the truthfulness, accuracy, and originality of all such content, we cannot guarantee it.