share_log

中聯重科:截至2024年6月30日止六個月未經審核中期業績公告

ZOOMLION: ANNOUNCEMENT OF UNAUDITED INTERIM RESULTS FOR THE SIXMONTHS ENDED 30 JUNE 2024

HKEX ·  Aug 29 19:36

Summary by Futu AI

中聯重科於2024年6月30日公佈未經審核的中期業績,營業收入達人民幣245.35億元,同比增長1.91%;股東應佔利潤為人民幣22.81億元,同比增長10.94%。公司總資產輕微減少至人民幣1,306.54億元。公司繼續推進數字化、智能化、綠色化轉型,並加快新興業務板塊發展,海外業務實現顯著增長。報告期內,公司經營活動產生現金淨額為人民幣6.76億元,並通過銀行及借款等方式為經營提供資金。董事會已遵守相關企業管治守則,並無發現任何董事或監事違反標準守則。公司未在報告期內購買、出售或贖回任何上市證券。
中聯重科於2024年6月30日公佈未經審核的中期業績,營業收入達人民幣245.35億元,同比增長1.91%;股東應佔利潤為人民幣22.81億元,同比增長10.94%。公司總資產輕微減少至人民幣1,306.54億元。公司繼續推進數字化、智能化、綠色化轉型,並加快新興業務板塊發展,海外業務實現顯著增長。報告期內,公司經營活動產生現金淨額為人民幣6.76億元,並通過銀行及借款等方式為經營提供資金。董事會已遵守相關企業管治守則,並無發現任何董事或監事違反標準守則。公司未在報告期內購買、出售或贖回任何上市證券。
Zoomlion announced unaudited interim performance on June 30, 2024, with revenue of CNY 24.535 billion, a year-on-year increase of 1.91%; shareholders' net profit was CNY 2.281 billion, a year-on-year increase of 10.94%. The total assets of the company decreased slightly to CNY 130.654 billion. The company continues to promote digitization, intelligence, and green transformation, and accelerates the development of emerging business sectors with significant growth in overseas business. During the reporting period, the company generated net cash from operating activities of CNY 0.676 billion and provided funds for operations through banks and borrowings. The board of directors has complied with relevant corporate governance guidelines and found no violations of standards by any directors or supervisors. The company did not purchase, sell, or redeem any listed securities during the reporting period.
Zoomlion announced unaudited interim performance on June 30, 2024, with revenue of CNY 24.535 billion, a year-on-year increase of 1.91%; shareholders' net profit was CNY 2.281 billion, a year-on-year increase of 10.94%. The total assets of the company decreased slightly to CNY 130.654 billion. The company continues to promote digitization, intelligence, and green transformation, and accelerates the development of emerging business sectors with significant growth in overseas business. During the reporting period, the company generated net cash from operating activities of CNY 0.676 billion and provided funds for operations through banks and borrowings. The board of directors has complied with relevant corporate governance guidelines and found no violations of standards by any directors or supervisors. The company did not purchase, sell, or redeem any listed securities during the reporting period.

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.