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整理:每日港股市场要闻速递(4月24日 周四)
news flash· 2025-04-24 00:56
金十数据整理:每日港股市场要闻速递(4月24日 周四) 4. 中广核电力 (01816.HK):一季度营业收入约200.28亿元,同比增长4.41%;净利润约30.26亿元,同比 减少16.07%。 5. 中海油田服务 (02883.HK):一季度营业收入为107.975亿元,同比增长6.4%;净利润约8.87亿元,同 比增长39.6%。 6. 平安好医生 (01833.HK):一季度实现收入约10.625亿元,同比增长25.8%。净利润3318.8万元,同比 扭亏为盈。 7. 丽珠医药 (01513.HK):一季度营业收入约31.81亿元,同比减少1.92%;净利润6.37亿元,同比增长 4.75%。 8. 国泰航空 (00293.HK):3月载客量为225.62万人次,同比增加19.8%;前3月累计载客量同比增加 23.4%。 9. 宝龙地产 (01238.HK):已委任新独家财务顾问,以促进公司与其债权人之间的进一步沟通。 1. 南都电源:筹划境外发行股份并在香港联交所上市。 2. 金猫银猫(01815.HK):4月29日起中文股份简称将变更为"珠峰黄金"。 3. 新东方(09901.HK):2025财 ...
中国广核(003816) - 第四届董事会第十三次会议决议公告
2025-04-23 12:36
证券代码:003816 证券简称:中国广核 公告编号:2025-033 中国广核电力股份有限公司 第四届董事会第十三次会议决议公告 本公司及董事会全体成员保证信息披露内容的真实、准确和完整,没有虚假 记载、误导性陈述或重大遗漏。 一、董事会会议召开情况 1. 中国广核电力股份有限公司(以下简称"本公司"或"公司")第四届董 事会第十三次会议(以下简称"本次会议")通知和材料已于 2025 年 4 月 8 日以 书面形式提交全体董事。 2. 本次会议于 2025 年 4 月 23 日在广东省深圳市深南大道 2002 号中广核大 厦 3408 会议室采用现场和通讯方式召开。 3. 本次会议应出席的董事 9 人,实际出席会议的董事 9 人。董事高立刚先 生、庞松涛先生通过通讯方式进行了议案表决。 4. 本次会议由公司董事长杨长利先生主持,公司监事会监事、公司总裁、副 总裁和董事会秘书等高级管理人员列席了本次会议。 5. 本次会议的召开符合有关法律、行政法规、部门规章、规范性文件和《中 国广核电力股份有限公司章程》(以下简称"《公司章程》")的规定。 二、董事会会议审议情况 经出席会议的董事审议与表决,本次会议形成以 ...
中国广核(003816) - 中国广核电力股份有限公司募集资金管理规定
2025-04-23 12:28
中国广核电力股份有限公司 募集资金管理规定 (于2025年4月23日经董事会批准生效) 第一章 总 则 第一条 为规范中国广核电力股份有限公司(以下简称"公司"或"股份公司") 境内外上市募集资金的使用与管理,切实保护投资者利益,防范资金使用风险,根 据《中华人民共和国公司法》《中华人民共和国证券法》《监管规则适用指引—— 发行类第 7 号》《上市公司监管指引第 2 号—上市公司募集资金管理和使用的监管 要求》《深圳证券交易所股票上市规则》《深圳证券交易所上市公司自律监管指引 第 1 号——主板上市公司规范运作》和《香港联合交易所有限公司证券上市规则》 等相关法律法规及适用的规范性文件以及《中国广核电力股份有限公司章程》(以 下简称《公司章程》),制定本规定。 第二条 本规定主要适用公司募集资金到位后的存放、使用、管理和监督等行 为。 第三条 本规定所称的募集资金包括公司根据《香港联合交易所有限公司证 券上市规则》等香港联合交易所有限公司(以下简称"联交所")的相关规定向投 资者募集,通过发行股票(含股票派生形式证券)、可转换为股票的公司债券等法 律、法规允许的证券所得资金(以下简称"境外募集资金"),以及公 ...
中广核电力(01816) - 2025 Q1 - 季度业绩
2025-04-23 12:16
Financial Performance - The total operating revenue for Q1 2025 was approximately RMB 20.03 billion, representing a 4.41% increase compared to RMB 19.18 billion in the same period last year[10]. - The net profit attributable to shareholders for Q1 2025 was approximately RMB 3.03 billion, a decrease of 16.07% from RMB 3.60 billion in the previous year[10]. - The total profit for Q1 2025 was approximately RMB 5.86 billion, a decrease of 7.63% compared to the previous year[14]. - The basic earnings per share for Q1 2025 were RMB 0.060, down 15.49% from RMB 0.071 in the same period last year[10]. - The company reported a total comprehensive income of ¥4,663,375,614.92, down from ¥5,374,564,650.25, a decrease of 13.19%[31]. Cash Flow - The net cash flow from operating activities decreased by 64.88% to approximately RMB 1.96 billion, down from RMB 5.58 billion in the same period last year[10]. - Cash flow from operating activities decreased by 64.88% to RMB 196,115.71 million, primarily due to reduced cash income from construction and installation business[21]. - Cash inflow from operating activities totaled 21,817,562,078.72, down 8.0% from 23,686,960,843.42[33]. - Cash outflow from operating activities increased to 19,856,404,996.80, up 9.7% from 18,102,845,195.82[33]. - Net cash flow from financing activities was 5,059,168,081.68, an increase of 239.5% compared to 1,487,886,096.98[34]. Assets and Liabilities - The total assets at the end of Q1 2025 were approximately RMB 432.40 billion, a 1.32% increase from RMB 425.40 billion at the end of the previous year[10]. - Total liabilities rose to ¥258,072,117,186.71, up from ¥253,240,175,036.67, indicating an increase of 1.54%[29]. - The total equity attributable to the parent company increased to ¥122,490,498,850.18, compared to ¥120,639,390,965.89, reflecting a growth of 1.54%[29]. Research and Development - Research and development expenses surged by 158.45% to RMB 29,248.89 million, mainly due to differences in R&D progress[18]. - Research and development expenses for the current period were ¥292,488,890.41, significantly higher than ¥113,170,439.66 in the previous period, representing an increase of 158.96%[30]. Investments and Financing - Investment income received increased significantly to RMB 29,543.75 million, reflecting dividends declared by associates[21]. - The company reported a cash dividend of RMB 0.95 per share, subject to shareholder approval, expected to be distributed around July 3, 2025[25]. - The company received approval for the issuance of convertible bonds to unspecified investors, enhancing its capital structure[24]. Shareholder Information - The total number of ordinary shareholders at the end of the reporting period was 239,940, with 58.89% of shares held by China General Nuclear Power Corporation[22]. - The company has not identified any participation of the top ten shareholders in margin financing and securities lending activities[23].
中国广核(003816) - 2025 Q1 - 季度财报
2025-04-23 12:10
Financial Performance - The company's operating revenue for Q1 2025 was approximately RMB 20.03 billion, representing a 4.41% increase compared to RMB 19.18 billion in the same period last year[5]. - The net profit attributable to shareholders for Q1 2025 was approximately RMB 3.03 billion, a decrease of 16.07% from RMB 3.60 billion in the previous year[5]. - The company reported a total profit of approximately RMB 5.86 billion for Q1 2025, a decrease of 7.63% from the previous year[9]. - The company's operating profit decreased to ¥5,856,509,510.14 from ¥6,334,361,764.36, representing a decline of approximately 7.5% year-over-year[26]. - Net profit attributable to the parent company was ¥3,025,561,686.06, down from ¥3,604,826,497.60, reflecting a decrease of about 16%[26]. - The total comprehensive income for the period was ¥4,663,375,614.92, compared to ¥5,374,564,650.25 in the previous period, indicating a decline of approximately 13.2%[26]. - The basic and diluted earnings per share decreased to ¥0.060 from ¥0.071, reflecting a decline of approximately 15.5%[26]. - The company reported a decrease in sales revenue from cash received for goods sold and services provided, totaling ¥20,931,365,623.20, down from ¥22,841,771,292.00, a decline of about 8.4%[28]. Cash Flow and Investments - The cash flow from operating activities for Q1 2025 was approximately RMB 1.96 billion, down 64.88% from RMB 5.58 billion in the same period last year[5]. - Operating cash flow decreased by 64.88% to CNY 196,115.71 million compared to CNY 558,411.56 million in the same period last year, primarily due to reduced cash income from construction and installation business[16]. - Cash flow from operating activities generated a net amount of ¥1,961,157,081.92, significantly lower than ¥5,584,115,647.60 from the previous year, a decrease of about 64.8%[28]. - Cash flow from investing activities resulted in a net outflow of ¥4,887,166,265.63, worsening from a net outflow of ¥2,495,523,735.14 in the prior period[28]. - Cash flow from financing activities showed a net inflow of ¥5,059,168,081.68, an increase from ¥1,487,886,096.98 year-over-year[29]. - The company’s short-term borrowings increased by 54.80% to RMB 26.73 billion, primarily due to operational and investment needs[11]. - Cash received from obtaining loans increased by 71.40% to CNY 3,597,251.31 million, compared to CNY 2,098,691.70 million, driven by the need for additional borrowing for operations and investments[16]. - Cash paid for fixed assets and other long-term assets increased by 53.15% to CNY 510,925.25 million, compared to CNY 333,621.32 million, mainly due to increased investment in ongoing nuclear power projects[16]. - Cash paid for investment activities decreased by 100% to CNY 0.00 million, reflecting a reduction in cash payments for investment projects[16]. Research and Development - Research and development expenses increased by 158.45% to RMB 292.49 million, primarily due to differences in R&D progress[13]. - Research and development expenses increased significantly to ¥292,488,890.41, compared to ¥113,170,439.66 in the previous period, reflecting a focus on innovation[25]. Assets and Liabilities - The company's total assets at the end of Q1 2025 were approximately RMB 432.40 billion, reflecting a 1.32% increase from RMB 425.40 billion at the end of the previous year[5]. - The total assets increased to ¥432,399,845,774.38 from ¥426,754,513,641.82, showing a growth of approximately 1.52%[24]. - The total liabilities increased to ¥258,072,117,186.71 from ¥253,240,175,036.67, reflecting a rise of about 1.54%[24]. - The equity attributable to shareholders of the parent company rose to ¥122,490,498,850.18 from ¥120,639,390,965.89, indicating a growth of 1.53%[24]. Shareholder Information - Total number of ordinary shareholders at the end of the reporting period was 239,940, with 58.89% held by China General Nuclear Power Corporation[17]. - The top ten shareholders collectively hold 99.09% of the shares, with the largest shareholder owning 29,736,876,375 shares[18]. - The board proposed a cash dividend of CNY 0.95 per 10 shares, pending approval at the 2024 annual general meeting, with expected distribution around July 3, 2025[20]. Operational Metrics - The total electricity generated by the company's nuclear power units was approximately 56.69 billion kWh, an increase of 9.41% year-on-year[9].
中国广核:2025年一季度净利润30.26亿元,同比下降16.07%
news flash· 2025-04-23 12:05
中国广核(003816)公告,2025年第一季度营业收入为200.28亿元,同比增长4.41%;净利润为30.26亿 元,同比下降16.07%。 ...
中国广核电力股份有限公司关于向不特定对象发行可转换公司债券募集说明书等文件更新的提示性公告
登录新浪财经APP 搜索【信披】查看更多考评等级 中国广核电力股份有限公司(以下简称"公司")向不特定对象发行A股可转换公司债券事项已于2025年 2月13日获得深圳证券交易所上市审核委员会审核通过,并于2025年3月19日收到中国证券监督管理委员 会出具的《关于同意中国广核电力股份有限公司向不特定对象发行可转换公司债券注册的批复》(证监 许可〔2025〕479号)。 鉴于公司已于2025年3月26日披露了《2024年年度报告》,根据有关审核要求和本次发行进展实际情 况,公司会同相关中介机构对募集说明书等文件中涉及的财务数据及其他变动事项进行了同步更新,具 体内容详见公司于2025年4月22日在巨潮资讯网(www.cninfo.com.cn)披露的相关文件。 关于向不特定对象发行可转换公司债券募集说明书等文件更新的提示性公告 中国广核电力股份有限公司董事会 公司及董事会全体成员保证信息披露内容的真实、准确和完整,没有虚假记载、误导性陈述或者重大遗 漏。 公司将根据本次向不特定对象发行可转换公司债券事项的进展情况,严格按照有关法律法规的规定和要 求及时履行信息披露义务,敬请广大投资者注意投资风险。 证券代码:0 ...
中国广核(003816) - 关于向不特定对象发行可转换公司债券募集说明书等文件更新的提示性公告
2025-04-22 10:42
中国广核电力股份有限公司 关于向不特定对象发行可转换公司债券募集说明书等文件 更新的提示性公告 公司及董事会全体成员保证信息披露内容的真实、准确和完整,没有虚假记 载、误导性陈述或者重大遗漏。 中国广核电力股份有限公司(以下简称"公司")向不特定对象发行 A 股可 转换公司债券事项已于 2025 年 2 月 13 日获得深圳证券交易所上市审核委员会 审核通过,并于 2025 年 3 月 19 日收到中国证券监督管理委员会出具的《关于同 意中国广核电力股份有限公司向不特定对象发行可转换公司债券注册的批复》 (证监许可〔2025〕479 号)。 证券代码:003816 证券简称:中国广核 公告编号:2025-032 公司将根据本次向不特定对象发行可转换公司债券事项的进展情况,严格按 照有关法律法规的规定和要求及时履行信息披露义务,敬请广大投资者注意投资 风险。 特此公告。 中国广核电力股份有限公司董事会 2025 年 4 月 22 日 鉴于公司已于 2025 年 3 月 26 日披露了《2024 年年度报告》,根据有关审核 要求和本次发行进展实际情况,公司会同相关中介机构对募集说明书等文件中涉 及的财务数据及其他 ...
中国广核(003816) - 向不特定对象发行A股可转换公司债券并在主板上市募集说明书(注册稿)(2024年度财务数据更新版)
2025-04-22 10:42
股票简称:中国广核 股票代码:003816 中国广核电力股份有限公司 (CGN Power Co., Ltd.) (中国广东省深圳市福田区深南大道 2002 号中广核大厦南楼 18 楼) 向不特定对象发行 A 股可转换公司债券 并在主板上市 募集说明书 (注册稿) 保荐人(主承销商) (深圳市前海深港合作区南山街道桂湾五路 128 号前海深港基金小镇 B7 栋 401) 公告日期:2025 年 4 月 中国广核电力股份有限公司 向不特定对象发行 A 股可转换公司债券并在主板上市募集说明书 声 明 中国证监会、交易所对本次发行所作的任何决定或意见,均不表明其对申请 文件及所披露信息的真实性、准确性、完整性作出保证,也不表明其对发行人的 盈利能力、投资价值或者对投资者的收益作出实质性判断或保证。任何与之相反 的声明均属虚假不实陈述。 根据《证券法》的规定,证券依法发行后,发行人经营与收益的变化,由发 行人自行负责。投资者自主判断发行人的投资价值,自主作出投资决策,自行承 担证券依法发行后因发行人经营与收益变化或者证券价格变动引致的投资风险。 1-1-1 中国广核电力股份有限公司 向不特定对象发行 A 股可转换公司 ...
中国广核(003816) - 华泰联合证券有限责任公司关于中国广核电力股份有限公司向不特定对象发行A股可转换公司债券并在主板上市之发行保荐书
2025-04-22 10:39
关于中国广核电力股份有限公司 向不特定对象发行 A 股可转换公司债券 并在主板上市之 发行保荐书 保荐人(主承销商) (深圳市前海深港合作区南山街道桂湾五路 128 号前海深港基金小镇 B7 栋 401) 发行保荐书 华泰联合证券有限责任公司 关于中国广核电力股份有限公司 向不特定对象发行 A 股可转换公司债券 并在主板上市之发行保荐书 中国广核电力股份有限公司(以下简称"发行人"、"公司"、"上市公司") 申请向不特定对象发行 A 股可转换公司债券并在主板上市(以下简称"本次发 行"、"本次可转债"),依据《中华人民共和国公司法》(以下简称"《公司法》")、 《中华人民共和国证券法》(以下简称"《证券法》")、《上市公司证券发行注册管 理办法》(以下简称"《注册管理办法》")等相关的法律、法规的有关规定,提交 发行申请文件。华泰联合证券有限责任公司(以下简称"华泰联合证券"、"保荐 人")作为其本次发行的保荐人,吉余道和吴昊作为具体负责推荐的保荐代表人, 特为其出具本发行保荐书。 保荐人华泰联合证券、保荐代表人吉余道和吴昊承诺:本保荐人和保荐代表 人根据《公司法》《证券法》等有关法律、法规和中国证券监督管理 ...