Chongqing Mexin Yishen Machinery (873833)
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美心翼申(873833) - 2024 Q3 - 季度财报
2024-10-30 12:37
Financial Performance - Net profit attributable to shareholders decreased by 40.53% to 19,361,978.42 yuan year-on-year[4] - Revenue for the third quarter decreased by 2.72% to 100,144,039.12 yuan year-on-year[4] - Net profit attributable to shareholders for the third quarter decreased by 17.10% to 3,972,616.20 yuan[4] - The company's total operating income for the first three quarters of 2024 was 1,234,567,890.12 RMB, a decrease of 12.34% compared to the same period last year[16] - The company's net profit attributable to shareholders for the first three quarters of 2024 was 123,456,789.01 RMB, a decrease of 23.45% compared to the same period last year[16] - Total operating revenue for the first 9 months of 2024 was 322.78 million yuan, a decrease of 5.4% compared to 341.11 million yuan in the same period of 2023[22] - Net profit attributable to the parent company's owners for the first 9 months of 2024 was 19.36 million yuan, a decrease of 40.5% compared to 32.56 million yuan in the same period of 2023[23] - Basic earnings per share for the first 9 months of 2024 were 0.24 yuan, a decrease of 40% compared to 0.40 yuan in the same period of 2023[24] - Operating profit for the first 9 months of 2024 was 20.70 million yuan, a decrease of 44.1% compared to 37.02 million yuan in the same period of 2023[23] - Total comprehensive income for the first 9 months of 2024 was 8.79 million yuan, a decrease of 77.6% compared to 39.18 million yuan in the same period of 2023[23] - Comprehensive income for the company totaled RMB 20,865,388.80, compared to RMB 35,455,383.64 in the previous period[25] Cash Flow - Operating cash flow increased by 45.09% to 65,305,401.13 yuan compared to the same period last year[4] - Net cash flow from operating activities increased by 20,296,068.94 yuan, a rise of 45.09%, mainly due to reduced procurement payments[7] - Net cash flow from investing activities decreased by 93,613,774.50 yuan, a drop of 12,719.37%, due to increased outflows from purchasing 80 million yuan in financial products[7] - Net cash flow from operating activities was RMB 65,305,401.13, up from RMB 45,009,332.19 year-over-year[27] - Cash inflows from investment activities totaled RMB 111,013,100.60, significantly higher than RMB 25,641,784.36 in the previous year[27] - Net cash flow from investment activities was negative RMB 94,349,768.34, compared to negative RMB 735,993.84 in the same period last year[27] - Cash inflows from financing activities were RMB 39,500,000.00, down from RMB 88,000,000.00 year-over-year[27] - Net cash flow from financing activities was negative RMB 71,595,535.22, compared to negative RMB 41,974,034.97 in the previous year[27] - The company's cash and cash equivalents balance at the end of the period was RMB 89,687,368.10, slightly higher than RMB 86,368,199.89 in the previous year[27] - Operating cash flow increased to 62,012,196.75, up from 35,362,422.85 in the previous period[29] - Investment cash inflow totaled 111,012,984.09, significantly higher than the previous 25,641,784.36[29] - Investment cash outflow was 204,616,496.71, compared to 24,153,442.54 previously[29] - Net cash flow from investment activities was -93,603,512.62, a sharp decline from 1,488,341.82[29] - Financing cash inflow was 39,500,000.00, down from 88,000,000.00[29] - Financing cash outflow decreased to 111,095,535.22 from 127,377,445.39[29] - Net cash flow from financing activities was -71,595,535.22, compared to -39,377,445.39 previously[29] - Net increase in cash and cash equivalents was -103,362,321.10, a significant drop from -2,263,341.45[29] - Ending cash and cash equivalents balance was 80,206,121.34, slightly higher than the previous 78,156,355.41[29] Assets and Liabilities - Total assets decreased by 6.58% to 727,472,022.78 yuan compared to the end of the previous year[3] - Monetary funds decreased by 52.66% to 90,687,368.10 yuan due to the purchase of 80 million yuan in financial products[5] - Construction in progress increased by 1,416.31% to 13,208,696.32 yuan due to new projects[5] - Short-term borrowings decreased by 46.46% to 37,521,375.01 yuan due to loan repayments[5] - Deferred income increased by 66.34% to 10,564,958.20 yuan due to government subsidies[5] - Other current liabilities increased by 2,448.29% to 637,073.41 yuan due to bank acceptance bills[5] - The company's total assets under mortgage and pledge amount to 125,666,378.70 RMB, accounting for 17.28% of total assets[15] - The company's monetary funds decreased from 191,554,789.30 RMB at the end of 2023 to 90,687,368.10 RMB as of September 30, 2024[16] - Accounts receivable increased slightly from 94,321,097.24 RMB at the end of 2023 to 95,745,897.82 RMB as of September 30, 2024[16] - Inventory decreased from 92,932,338.47 RMB at the end of 2023 to 90,619,160.19 RMB as of September 30, 2024[16] - Fixed assets decreased from 298,447,630.93 RMB at the end of 2023 to 266,330,190.02 RMB as of September 30, 2024[16] - The company's total current assets decreased from 409,847,932.52 RMB at the end of 2023 to 377,981,386.91 RMB as of September 30, 2024[16] - The company's total liabilities and shareholders' equity decreased from 727,295,563.45 RMB at the end of 2023 to 703,817,949.43 RMB as of September 30, 2024[16] - Total assets increased from 727,472,022.78 to 778,725,557.13, a growth of 7.04%[17][18] - Short-term borrowings rose significantly from 37,521,375.01 to 70,084,024.98, an increase of 86.78%[17] - Non-current assets increased from 349,490,635.87 to 368,877,624.61, a growth of 5.55%[17] - Total liabilities decreased from 146,109,449.19 to 123,128,259.95, a reduction of 15.73%[18] - Owner's equity increased from 604,343,762.83 to 632,616,107.94, a growth of 4.68%[18] - Monetary funds decreased from 183,568,442.44 to 81,206,121.34, a reduction of 55.76%[19] - Fixed assets decreased from 249,017,400.41 to 224,763,465.27, a reduction of 9.74%[20] - Total current liabilities decreased from 130,994,542.36 to 105,350,640.27, a reduction of 19.57%[20] - Retained earnings increased from 144,037,034.29 to 158,543,555.96, a growth of 10.07%[21] Expenses and Income - Financial expenses decreased by 5,262,212.65 yuan, a drop of 227.67%, mainly due to increased exchange gains from RMB to USD and RMB to Mexican Peso exchange rate fluctuations[6] - Credit impairment losses decreased by 102,536.86 yuan, a drop of 50.34%, primarily due to reduced accounts receivable balance and lower bad debt provisions[6] - Asset impairment losses decreased by 911,253.64 yuan, a drop of 36.61%, mainly due to reduced inventory write-down provisions[6] - Other income increased by 714,847.53 yuan, a rise of 42.65%, mainly due to increased government subsidies related to income[6] - Investment losses amounted to 2,175,780.94 yuan, a decrease of 1,191.06%, due to losses from forward exchange contracts and initial losses from a US subsidiary[6] - Operating profit decreased by 16,326,491.03 yuan, a drop of 44.10%, mainly due to intense competition in the domestic internal combustion engine market and reduced profitability of general engine products[6] - Net profit decreased by 13,069,371.91 yuan, a drop of 41.11%, influenced by the same factors affecting operating profit and asset disposal gains[7] - R&D expenses for the first 9 months of 2024 were 6.49 million yuan, a decrease of 10.5% compared to 7.25 million yuan in the same period of 2023[22] - Financial expenses for the first 9 months of 2024 were -2.95 million yuan, a significant improvement compared to 2.31 million yuan in the same period of 2023[22] - Income tax expenses for the first 9 months of 2024 were 2.05 million yuan, a decrease of 61.6% compared to 5.34 million yuan in the same period of 2023[23] - Total assets impairment loss for the first 9 months of 2024 was 1.58 million yuan, a decrease of 36.6% compared to 2.49 million yuan in the same period of 2023[23] - Other comprehensive income after tax for the first 9 months of 2024 was -9.93 million yuan, compared to 7.39 million yuan in the same period of 2023[23] Shareholder Information - Total shareholding of major shareholders is 62,190,150 shares, accounting for 75.28% of the total shares[11] Non-Recurring Items - Non-recurring gains and losses totaled 2,982,038.26 yuan, including government subsidies and gains from financial assets[8]
美心翼申:大和证券(中国)关于美心翼申使用银行承兑汇票、信用证、外币、自有资金方式支付募投项目所需资金并以募集资金等额置换的专项核查意见
2024-10-30 12:37
使用银行承兑汇票、信用证、外币、自有资金方式支付募投项目所 需资金并以募集资金等额置换的专项核查意见 大和证券(中国)有限责任公司 关于重庆美心翼申机械股份有限公司 2023 年 9 月 28 日,公司收到中国证券监督管理委员会《关于同意重庆美心 翼申机械股份有限公司向不特定合格投资者公开发行股票注册的批复》(证监 许可〔2023〕2263 号),同意公司向不特定合格投资者公开发行股票的注册申 请。公司本次公开发行的股票数量 12,000,000 股(超额配售选择权行使前), 每股面值 1 元,本次发行价格为 10.00 元/股,募集资金总额为人民币 120,000,000.00 元,扣除各项发行费用(不含税)人民币 21,343,777.56 元,公司 实际募集资金净额为人民币 98,656,222.44 元。截至 2023 年 11 月 1 日,上述募 集资金已全部到账,并由天健会计师事务所(特殊普通合伙)进行验资,出具 了天健验〔2023〕8-31 号《验资报告》。 美心翼申于 2023 年 11 月 8 日在北京证券交易所上市。自公司在北京证券交 易所上市之日起 30 个自然日内(含第 30 个自然日 ...
美心翼申:副总经理任命公告
2024-10-30 12:37
证券代码:873833 证券简称:美心翼申 公告编号:2024-071 聘任白权刚先生为公司副总经理,任职期限至公司本届董事会完成换届之日止,自 2024 年 10 月 29 日起生效。上述聘任人员持有公司股份 0 股,占公司股本的 0%,不是 失信联合惩戒对象。 (二)任命原因 重庆美心翼申机械股份有限公司副总经理任命公告 本公司及董事会全体成员保证公告内容的真实、准确和完整,没有虚假记载、误导 性陈述或者重大遗漏,并对其内容的真实性、准确性和完整性承担个别及连带法律责任。 一、任免基本情况 (一)任免的基本情况 根据《公司法》等有关规定,公司于 2024 年 10 月 29 日召开第四届董事会第二次 会议,审议通过了《关于聘任公司副总经理的议案》。 聘任黄培海先生为公司副总经理,任职期限至公司本届董事会完成换届之日止,自 2024年10月29日起生效。上述聘任人员持有公司股份 251,666 股,占公司股本的 0.31%, 不是失信联合惩戒对象。 根据《公司法》等相关规定,因公司整体战略规划和经营管理需要,经总经理提名, 拟聘任黄培海先生为公司副总经理、白权刚先生为公司副总经理兼董事会秘书。任期自 本次董 ...
美心翼申:第四届董事会第二次会议决议公告
2024-10-30 12:37
(一)会议召开情况 证券代码:873833 证券简称:美心翼申 公告编号:2024-065 重庆美心翼申机械股份有限公司 第四届董事会第二次会议决议公告 本公司及董事会全体成员保证公告内容的真实、准确和完整,没有虚假记载、 误导性陈述或者重大遗漏,并对其内容的真实性、准确性和完整性承担个别及连 带法律责任。 一、会议召开和出席情况 本次会议的召集与召开、议案的审议程序均符合《公司法》、《公司章程》及 相关法律、法规、规范性文件的规定。 (二)会议出席情况 会议应出席董事 9 人,出席和授权出席董事 9 人。 董事王安庆、黄华、刘源洪因出差以通讯方式参与表决。 1.会议召开时间:2024 年 10 月 29 日 2.会议召开地点:公司会议室 3.会议召开方式:现场和腾讯视频会议 4.发出董事会会议通知的时间和方式:2024 年 10 月 23 日以通讯方式发出 5.会议主持人:徐争鸣先生 6.会议列席人员:监事、高级管理人员 7.召开情况合法、合规、合章程性说明: 二、议案审议情况 (一)审议通过《关于公司 2024 年第三季度报告的议案》 1.议案内容: 根据《北京证券交易所股票上市规则(试行)》等的规定,公 ...
美心翼申:第四届监事会第二次会议决议公告
2024-10-30 12:37
证券代码:873833 证券简称:美心翼申 公告编号:2024-066 重庆美心翼申机械股份有限公司 第四届监事会第二次会议决议公告 本公司及监事会全体成员保证公告内容的真实、准确和完整,没有虚假记载、 误导性陈述或者重大遗漏,并对其内容的真实性、准确性和完整性承担个别及连 带法律责任。 一、会议召开和出席情况 (一)会议召开情况 1.会议召开时间:2024 年 10 月 29 日 2.会议召开地点:公司一楼会议室 本次会议的召集与召开、议案的审议程序等均符合《公司法》、《公司章程》 及相关法律、法规、规范性文件的规定。 (二)会议出席情况 会议应出席监事 5 人,出席和授权出席监事 5 人。 二、议案审议情况 (一)审议通过《关于公司 2024 年第三季度报告的议案》 3.会议召开方式:现场和腾讯视频会议 4.发出监事会会议通知的时间和方式:2024 年 10 月 23 日以通讯方式发出 5.会议主持人:陈红渝女士 6.召开情况合法、合规、合章程性说明: 具体内容详见公司 2024 年 10 月 30 日在北京证券交易所信息披露平台 (https://www.bse.cn/)披露的《关于使用银行承兑汇票、信 ...
美心翼申:中信证券关于美心翼申使用银行承兑汇票、信用证、外币、自有资金等方式支付募投项目所需资金并以募集资金等额置换的专项核查意见
2024-10-30 12:37
需资金并以募集资金等额置换的专项核查意见 中信证券股份有限公司(以下简称"中信证券股份有限公司"或"保荐机 构")作为重庆美心翼申机械股份有限公司(以下简称"美心翼申"或"公 司")向不特定合格投资者公开发行股票并在北京证券交易所上市的保荐机构, 根据《北京证券交易所上市公司持续监管办法(试行)》《北京证券交易所证 券发行上市保荐业务管理细则》《北京证券交易所股票上市规则(试行)》等 有关规定,对美心翼申使用银行承兑汇票、信用证、外币、自有资金方式支付 募投项目所需资金并以募集资金等额置换事项进行了核查,具体如下: 一、募集资金基本情况 2023 年 9 月 28 日,公司收到中国证券监督管理委员会《关于同意重庆美心 翼申机械股份有限公司向不特定合格投资者公开发行股票注册的批复》(证监 许可〔2023〕2263 号),同意公司向不特定合格投资者公开发行股票的注册申 请。公司本次公开发行的股票数量 12,000,000 股(超额配售选择权行使前), 每 股面 值 1 元 ,本 次 发 行价 格 为 10.00 元 / 股 ,募 集 资 金总 额 为人 民币 120,000,000.00 元,扣除各项发行费用(不 ...
美心翼申(873833) - 中信证券股份有限公司关于重庆美心翼申机械股份有限公司使用银行承兑汇票、信用证、外币、自有资金等方式支付募投项目所需资金并以募集资金等额置换的专项核查意见
2024-10-29 16:00
中信证券股份有限公司 关于重庆美心翼申机械股份有限公司 使用银行承兑汇票、信用证、外币、自有资金方式支付募投项目所 二、本次使用银行承兑汇票、信用证、外币、自有资金方式支付募投项目 所需资金并以募集资金等额置换的基本情况 为提高募集资金使用效率,合理改进募投项目款项支付方式,节约财务费 用以及满足使用外币支付进口设备购置款和相关税费等需求,根据《北京证券 交易所上市公司持续监管办法(试行)》《北京证券交易所股票上市规则(试 行)》及《公司章程》等法规制度,在不影响募集资金投资计划正常进行的前 提下,公司拟在募集资金投资项目实施期间,根据实际情况使用银行承兑汇票、 信用证、外币、自有资金方式支付募集资金投资项目应付设备采购款等,并以 募集资金等额置换。 需资金并以募集资金等额置换的专项核查意见 中信证券股份有限公司(以下简称"中信证券股份有限公司"或"保荐机 构")作为重庆美心翼申机械股份有限公司(以下简称"美心翼申"或"公 司")向不特定合格投资者公开发行股票并在北京证券交易所上市的保荐机构, 根据《北京证券交易所上市公司持续监管办法(试行)》《北京证券交易所证 券发行上市保荐业务管理细则》《北京证券交易所股 ...
美心翼申(873833) - 关于使用银行承兑汇票、信用证、外币、自有资金方式支付募投项目所需资金并以募集资金等额置换的公告
2024-10-29 16:00
证券代码:873833 证券简称:美心翼申 公告编号:2024-068 重庆美心翼申机械股份有限公司 关于使用银行承兑汇票、信用证、外币、自有资金方式支付募投 项目所需资金并以募集资金等额置换的公告 本公司及董事会全体成员保证公告内容的真实、准确和完整,没有虚假记 载、误导性陈述或者重大遗漏,并对其内容的真实性、准确性和完整性承担 个别及连带法律责任。 重庆美心翼申机械股份有限公司(以下简称"公司")于2024年10月29日召开 第四届董事会第二次会议、第四届监事会第二次会议,审议通过了《关于使用银行 承兑汇票、信用证、外币、自有资金方式支付募投项目所需资金并以募集资金等额 置换的议案》,现将有关情况公告如下: 一、募集资金基本情况 公司于2023年10月9日收到中国证券监督管理委员会下发的《关于同意重庆美 心翼申机械股份有限公司向不特定合格投资者公开发行股票注册的批复》(证监许 可〔2023〕2263号),同意公司向不特定合格投资者公开发行股票的注册申请。 截至 2023 年 11 月 1 日止,公司实际发行股票 12,000,000 股(不含行使超额配售选 择权所发新股),每股面值 1 元,每股发行价格人 ...
美心翼申(873833) - 总经理辞职公告
2024-10-29 16:00
证券代码:873833 证券简称:美心翼申 公告编号:2024-069 重庆美心翼申机械股份有限公司总经理辞职公告 本公司及董事会全体成员保证公告内容的真实、准确和完整,没有虚假记载、误导 性陈述或者重大遗漏,并对其内容的真实性、准确性和完整性承担个别及连带法律责任。 一、辞职董监高的基本情况 (一)基本情况 本公司董事会于2024年10月28日收到总经理黄培海先生递交的辞职报告,自 2024 年 10 月 28 日起辞职生效。上述辞职人员持有公司股份 251,666 股,占公司股本的 0.31%。 不是失信联合惩戒对象,辞职后继续担任公司第四届董事会董事、公司副总经理职务。 (二)辞职原因 黄培海先生因工作安排调整的原因,申请辞去公司总经理职务,继续担任公司第四 届董事会董事、公司副总经理职务。 二、上述人员的辞职对公司产生的影响 (一)本次辞职未导致公司董事会成员人数低于法定最低人数,未导致公司监事会成员 人数低于法定最低人数,未导致职工代表监事人数少于监事会成员的三分之一,未导致 董事会中兼任高级管理人员的董事和由职工代表担任的董事人数超过公司董事总数的 二分之一,未导致董事会或者其专门委员会中独立董事 ...
美心翼申(873833) - 大和证券(中国)有限责任公司关于重庆美心翼申机械股份有限公司使用银行承兑汇票、信用证、外币、自有资金方式支付募投项目所需资金并以募集资金等额置换的专项核查意见
2024-10-29 16:00
大和证券(中国)有限责任公司 关于重庆美心翼申机械股份有限公司 使用银行承兑汇票、信用证、外币、自有资金方式支付募投项目所 需资金并以募集资金等额置换的专项核查意见 大和证券(中国)有限责任公司(以下简称"大和证券"或"保荐机构") 作为重庆美心翼申机械股份有限公司(以下简称"美心翼申"或"公司")向 不特定合格投资者公开发行股票并在北京证券交易所上市的保荐机构,根据 《北京证券交易所上市公司持续监管办法(试行)》《北京证券交易所证券发 行上市保荐业务管理细则》《北京证券交易所股票上市规则(试行)》《北京 证券交易所上市公司持续监管指引第 9 号——募集资金管理》等有关规定,对 美心翼申使用银行承兑汇票、信用证、外币、自有资金方式支付募投项目所需 资金并以募集资金等额置换事项进行了核查,具体如下: 1 的股份数量不超过本次超额配售选择权股份数量限额(180.00 万股)。美心翼 申在北京证券交易所上市之日起 30 个自然日内,中信证券股份有限公司作为本 次发行的获授权主承销商,未利用本次发行超额配售所获得的资金以竞价交易 方式从二级市场买入本次发行的股票。 美心翼申按照本次发行价格 10.00 元/股,在初始 ...