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新天綠色能源:2024年第三季度報告

CHINA SUNTIEN: 2024 THIRD QUARTERLY REPORT

HKEX ·  Oct 30 19:52

Summary by Futu AI

新天綠色能源(CHINA SUNTIEN GREEN ENERGY CORPORATION LIMITED)於2024年10月30日發布了2024年第三季度報告。報告顯示,公司營業收入達到3,652,157,444.59元人民幣,同比增長18.72%,而歸屬於上市公司股東的淨利潤為65,767,953.23元人民幣,同比下降3.14%。基本每股收益為0.02元,較上年同期增長100%。報告期內,公司總資產增長至81,747,416,907.74元人民幣,同比增加3.46%。本季度報告未經審計,並由執行董事及總裁譚建鑫先生代表公司董事會發布。報告期內,公司經營活動產生的現金流量淨額為789,725,737.33元人民幣,同比增長35.75%。公司董事會對報告內容的真實性、準確性、完整性承擔法律責任。
新天綠色能源(CHINA SUNTIEN GREEN ENERGY CORPORATION LIMITED)於2024年10月30日發布了2024年第三季度報告。報告顯示,公司營業收入達到3,652,157,444.59元人民幣,同比增長18.72%,而歸屬於上市公司股東的淨利潤為65,767,953.23元人民幣,同比下降3.14%。基本每股收益為0.02元,較上年同期增長100%。報告期內,公司總資產增長至81,747,416,907.74元人民幣,同比增加3.46%。本季度報告未經審計,並由執行董事及總裁譚建鑫先生代表公司董事會發布。報告期內,公司經營活動產生的現金流量淨額為789,725,737.33元人民幣,同比增長35.75%。公司董事會對報告內容的真實性、準確性、完整性承擔法律責任。
China Suntien Green Energy Corporation Limited released its third-quarter report for 2024 on October 30, 2024. The report indicates that the company's revenue reached 3,652,157,444.59 RMB, an 18.72% year-on-year increase, while the net profit attributable to shareholders of the listed company was 65,767,953.23 RMB, a 3.14% year-on-year decrease. The basic earnings per share were 0.02 RMB, a 100% increase from the same period last year. During the reporting period, the company's total assets increased to 81,747,416,907.74 RMB, a 3.46% year-on-year increase. The quarterly report is unaudited and was released by Mr. Tan Jianxin, the executive director and CEO, on behalf of the Board of Directors. The net cash flow from operating activities for the reporting period was 789,725,737.33 RMB, a 35.75% year-on-year increase. The Board of Directors takes legal responsibility for the truthfulness, accuracy, and completeness of the report.
China Suntien Green Energy Corporation Limited released its third-quarter report for 2024 on October 30, 2024. The report indicates that the company's revenue reached 3,652,157,444.59 RMB, an 18.72% year-on-year increase, while the net profit attributable to shareholders of the listed company was 65,767,953.23 RMB, a 3.14% year-on-year decrease. The basic earnings per share were 0.02 RMB, a 100% increase from the same period last year. During the reporting period, the company's total assets increased to 81,747,416,907.74 RMB, a 3.46% year-on-year increase. The quarterly report is unaudited and was released by Mr. Tan Jianxin, the executive director and CEO, on behalf of the Board of Directors. The net cash flow from operating activities for the reporting period was 789,725,737.33 RMB, a 35.75% year-on-year increase. The Board of Directors takes legal responsibility for the truthfulness, accuracy, and completeness of the report.

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