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浙江世寶:2024年中期報告

HKEX ·  Sep 26 17:54

Summary by Futu AI

2024年1-6月,浙江世寶實現營業收入人民幣1,126,360,975.88元,同比增加54.73%。主營業務毛利為人民幣198,377,735.30元,同比增加人民幣88,513,370.70元。公司研發費用為人民幣64,477,581.03元,同比增加28.21%。財務費用為人民幣612,671.39元,同比減少79.96%。所得稅費用為人民幣-3,086,485.99元,同比減少。歸屬於上市公司股東的淨利潤為人民幣66,887,755.99元,同比增加237.18%。經營活動產生的現金流量淨額為人民幣15,607,460.23元,同比增加125.21%。現金及現金等價物淨增加額為人民幣92,079,739.64元,同比增加855.21%。
2024年1-6月,浙江世寶實現營業收入人民幣1,126,360,975.88元,同比增加54.73%。主營業務毛利為人民幣198,377,735.30元,同比增加人民幣88,513,370.70元。公司研發費用為人民幣64,477,581.03元,同比增加28.21%。財務費用為人民幣612,671.39元,同比減少79.96%。所得稅費用為人民幣-3,086,485.99元,同比減少。歸屬於上市公司股東的淨利潤為人民幣66,887,755.99元,同比增加237.18%。經營活動產生的現金流量淨額為人民幣15,607,460.23元,同比增加125.21%。現金及現金等價物淨增加額為人民幣92,079,739.64元,同比增加855.21%。
In the first half of 2024, zhejiang shibao achieved revenue of RMB 1,126,360,975.88, an increase of 54.73% year-on-year. The gross profit from the main business was RMB 198,377,735.30, an increase of RMB 88,513,370.70 year-on-year. The company's research and development expenses were RMB 64,477,581.03, an increase of 28.21%. Financial expenses were RMB 612,671.39, a decrease of 79.96% year-on-year. Income tax expenses were RMB -3,086,485.99, a decrease year-on-year. Net profit attributable to shareholders of the listed company was RMB 66,887,755.99, an increase of 237.18% year-on-year. The net cash flow from operating activities was RMB 15,607,460.23, an increase of 125.21% year-on-year. The net increase in cash and cash equivalents was RMB 92,079,739.64, an increase of 855.21% year-on-year.
In the first half of 2024, zhejiang shibao achieved revenue of RMB 1,126,360,975.88, an increase of 54.73% year-on-year. The gross profit from the main business was RMB 198,377,735.30, an increase of RMB 88,513,370.70 year-on-year. The company's research and development expenses were RMB 64,477,581.03, an increase of 28.21%. Financial expenses were RMB 612,671.39, a decrease of 79.96% year-on-year. Income tax expenses were RMB -3,086,485.99, a decrease year-on-year. Net profit attributable to shareholders of the listed company was RMB 66,887,755.99, an increase of 237.18% year-on-year. The net cash flow from operating activities was RMB 15,607,460.23, an increase of 125.21% year-on-year. The net increase in cash and cash equivalents was RMB 92,079,739.64, an increase of 855.21% year-on-year.

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