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多想雲:截至二零二四年六月三十日止六個月的中期業績公告

MANY IDEA CLOUD: ANNOUNCEMENT OF INTERIM RESULTS FOR THE SIX MONTHS ENDED 30 JUNE 2024

HKEX ·  Aug 30 17:28

Summary by Futu AI

多想雲控股有限公司(「本公司」)公布截至2024年6月30日止六個月的中期業績。期內,公司總收入達人民幣839,263千元,同比增長191.8%。整合營銷服務收入為主要收入來源,佔總收入的100%,同比增長191.8%至人民幣839,263千元。毛利潤輕微上升1.8%至人民幣55,643千元。所得稅前利潤為人民幣8,226千元,同比下降64.6%。淨利潤為人民幣7,167千元,同比下降65.0%,淨利潤率為0.9%。期內,公司未派發中期股息。截至報告期末,公司總權益為人民幣6.40億元,流動資產總額為人民幣719,108千元,流動負債總額為人民幣276,475千元。公司於報告期內完成公開發售,募集資金淨額約為53百萬港元,並於2024年7月15日完成認購,募集資金淨額約為39.9百萬港元。公司董事會及審計委員會已審閱財務報告並確認遵守相關會計準則。
多想雲控股有限公司(「本公司」)公布截至2024年6月30日止六個月的中期業績。期內,公司總收入達人民幣839,263千元,同比增長191.8%。整合營銷服務收入為主要收入來源,佔總收入的100%,同比增長191.8%至人民幣839,263千元。毛利潤輕微上升1.8%至人民幣55,643千元。所得稅前利潤為人民幣8,226千元,同比下降64.6%。淨利潤為人民幣7,167千元,同比下降65.0%,淨利潤率為0.9%。期內,公司未派發中期股息。截至報告期末,公司總權益為人民幣6.40億元,流動資產總額為人民幣719,108千元,流動負債總額為人民幣276,475千元。公司於報告期內完成公開發售,募集資金淨額約為53百萬港元,並於2024年7月15日完成認購,募集資金淨額約為39.9百萬港元。公司董事會及審計委員會已審閱財務報告並確認遵守相關會計準則。
Duo Xiang Cloud Holdings Limited (the "Company") announced its interim performance as of June 30, 2024. During the period, the company's total revenue reached RMB 839,263,000, a year-on-year increase of 191.8%. Integrated marketing services accounted for the main source of revenue, representing 100% of total revenue and a year-on-year increase of 191.8% to RMB 839,263,000. Gross profit slightly increased by 1.8% to RMB 55,643,000. Pre-tax profit was RMB 8,226,000, a year-on-year decrease of 64.6%. Net profit was RMB 7,167,000, a year-on-year decrease of 65.0%, with a net profit margin of 0.9%. The company did not distribute interim dividends during the period. As of the end of the reporting period, the company's total equity was RMB 0.64 billion yuan, total current assets were RMB 719,108,000, and...Show More
Duo Xiang Cloud Holdings Limited (the "Company") announced its interim performance as of June 30, 2024. During the period, the company's total revenue reached RMB 839,263,000, a year-on-year increase of 191.8%. Integrated marketing services accounted for the main source of revenue, representing 100% of total revenue and a year-on-year increase of 191.8% to RMB 839,263,000. Gross profit slightly increased by 1.8% to RMB 55,643,000. Pre-tax profit was RMB 8,226,000, a year-on-year decrease of 64.6%. Net profit was RMB 7,167,000, a year-on-year decrease of 65.0%, with a net profit margin of 0.9%. The company did not distribute interim dividends during the period. As of the end of the reporting period, the company's total equity was RMB 0.64 billion yuan, total current assets were RMB 719,108,000, and total current liabilities were RMB 276,475,000. The company completed a public offering during the reporting period, raising net funds of approximately HKD 53 million, and completed the subscription on July 15, 2024, raising net funds of approximately HKD 39.9 million. The board of directors and the audit committee have reviewed the financial statements and confirmed compliance with relevant accounting standards.

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