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ReTo Eco-Solutions | 6-K: Report of foreign private issuer (related to financial reporting)

ReTo Eco-Solutions | 6-K: Report of foreign private issuer (related to financial reporting)

瑞圖生態 | 6-K:外國發行人報告(業績相關)
美股SEC公告 ·  2024/10/29 04:24

牛牛AI助理已提取核心訊息

ReTo Eco-Solutions reported total revenue of $1.8M for H1 2024, up 49% YoY, with machinery sales contributing 61%, construction materials 8%, and technological services 31%. Gross profit increased significantly to $0.6M from $0.1M, with margin expanding to 31% from 8% YoY.Operating expenses decreased 77% to $1.6M, primarily due to reduced share-based compensation and lower payroll costs. Net loss narrowed to $0.7M from $11.6M in H1 2023. The company recorded other income of $0.6M from software copyright sale, compared to $4.4M expense last year.As of June 30, 2024, ReTo had cash of $1.6M and working capital of $0.3M. The company faces liquidity challenges with $5.3M in bank loans and $3.1M in third-party loans outstanding. Management is working to improve liquidity through operations, bank loan renewals and potential equity financing.
ReTo Eco-Solutions reported total revenue of $1.8M for H1 2024, up 49% YoY, with machinery sales contributing 61%, construction materials 8%, and technological services 31%. Gross profit increased significantly to $0.6M from $0.1M, with margin expanding to 31% from 8% YoY.Operating expenses decreased 77% to $1.6M, primarily due to reduced share-based compensation and lower payroll costs. Net loss narrowed to $0.7M from $11.6M in H1 2023. The company recorded other income of $0.6M from software copyright sale, compared to $4.4M expense last year.As of June 30, 2024, ReTo had cash of $1.6M and working capital of $0.3M. The company faces liquidity challenges with $5.3M in bank loans and $3.1M in third-party loans outstanding. Management is working to improve liquidity through operations, bank loan renewals and potential equity financing.
瑞圖生態在2024年上半年的總營業收入報告爲180萬美元,同比增長49%,其中機械 sales 佔61%,建築材料佔8%,技術服務佔31%。毛利潤顯著增加至60萬美元,從10萬美元上升,利潤率從8%擴大至31%。營業費用減少77%,至160萬美元,主要由於減少了基於股份的薪酬和降低了工資成本。淨虧損縮小至70萬美元,相較於2023年上半年的1160萬美元。公司記錄了其他收入60萬美元,來自軟體版權銷售,而去年爲440萬美元的支出。截至2024年6月30日,瑞圖生態的現金爲160萬美元,流動資金爲30萬美元。公司面臨流動性挑戰,尚有530萬美元的銀行貸款和310萬美元的第三方貸款未還。管理層正在通過運營、銀行貸款續約和潛在的股權融資來改善流動性。
瑞圖生態在2024年上半年的總營業收入報告爲180萬美元,同比增長49%,其中機械 sales 佔61%,建築材料佔8%,技術服務佔31%。毛利潤顯著增加至60萬美元,從10萬美元上升,利潤率從8%擴大至31%。營業費用減少77%,至160萬美元,主要由於減少了基於股份的薪酬和降低了工資成本。淨虧損縮小至70萬美元,相較於2023年上半年的1160萬美元。公司記錄了其他收入60萬美元,來自軟體版權銷售,而去年爲440萬美元的支出。截至2024年6月30日,瑞圖生態的現金爲160萬美元,流動資金爲30萬美元。公司面臨流動性挑戰,尚有530萬美元的銀行貸款和310萬美元的第三方貸款未還。管理層正在通過運營、銀行貸款續約和潛在的股權融資來改善流動性。

譯文內容由第三人軟體翻譯。


牛牛AI助手部分由第三方人工智慧模型基於資訊內容自動產生。


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