Huaneng Hydropower(600025)
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华能水电(600025) - 2024 Q3 - 季度财报
2024-10-29 11:47
Financial Performance - The company's operating revenue for Q3 2024 was ¥7,537,196,021.05, a decrease of 1.27% compared to the same period last year[2]. - The net profit attributable to shareholders for Q3 2024 was ¥3,056,312,901.73, down 7.37% year-on-year[2]. - The basic earnings per share for Q3 2024 was ¥0.16, reflecting a decrease of 5.88% compared to the same period last year[3]. - Total operating revenue for the first three quarters of 2024 reached CNY 19.42 billion, an increase of 7.05% compared to CNY 18.14 billion in the same period of 2023[14]. - Net profit attributable to shareholders of the parent company for the first three quarters of 2024 was CNY 7.23 billion, representing a 7.77% increase from CNY 6.70 billion in 2023[15]. - Total comprehensive income attributable to the parent company reached CNY 7,160,540,445.88, an increase from CNY 6,743,362,976.43 in the same period last year, reflecting a growth of approximately 6.2%[17]. - Operating profit increased to CNY 7,235,173,213.48, up from CNY 6,718,389,841.90, representing a growth of approximately 7.67%[26]. - Net profit for the first three quarters of 2024 reached CNY 6,256,922,456.12, compared to CNY 5,916,697,775.08 in 2023, marking an increase of about 5.75%[26]. Assets and Liabilities - The total assets at the end of the reporting period were ¥203,940,381,102.63, an increase of 4.46% from the end of the previous year[3]. - The company's total liabilities as of the end of the third quarter of 2024 amounted to CNY 126.31 billion, an increase of 1.45% from CNY 124.52 billion at the end of 2023[13]. - Total current assets increased to ¥6,720,440,054.09 as of September 30, 2024, up from ¥4,339,798,782.40 at the end of 2023, representing a growth of approximately 55.0%[9]. - Non-current assets totaled ¥197,219,941,048.54, up from ¥190,899,466,514.95, indicating an increase of about 3.0%[11]. - The company's total equity rose to CNY 70,771,940,330.20, compared to CNY 65,034,329,589.32, indicating an increase of about 8.45%[24]. Cash Flow - The cash flow from operating activities for the year-to-date period was ¥14,345,669,042.32, an increase of 11.94% year-on-year[2]. - Cash and cash equivalents at the end of the third quarter of 2024 were CNY 7.48 billion, compared to CNY 6.94 billion at the end of 2023, indicating a liquidity improvement[12]. - The net cash flow from operating activities for the first three quarters of 2024 was CNY 10,842,609,170.03, an increase from CNY 10,265,503,391.12 in the same period of 2023, representing a growth of approximately 5.6%[27]. - The company reported a net increase in cash and cash equivalents of CNY 1,261,890,977.07, compared to a decrease of CNY 61,775,541.98 in the same period last year[20]. - The net cash flow from financing activities showed a decrease, with a net outflow of CNY 6,440,593,574.64 in 2024 compared to CNY 1,929,338,300.42 in 2023, reflecting a worsening of approximately 234%[29]. Investments and Expenses - Research and development expenses for the first three quarters of 2024 were CNY 101.84 million, a decrease of 10.77% compared to CNY 114.17 million in the same period of 2023[14]. - The company's financial expenses for the first three quarters of 2024 were CNY 1.98 billion, a slight decrease from CNY 2.02 billion in the previous year[14]. - Investment income increased significantly to CNY 604,498,646.00 from CNY 488,133,705.60, representing a growth of approximately 23.83%[25]. - The company received CNY 3,000,600,000.00 from investment activities, slightly up from CNY 2,997,600,000.00 in the previous year, indicating a marginal increase[19]. - The company reported an increase in investment income cash receipts to CNY 581,914,667.65 from CNY 327,306,807.53, representing a growth of approximately 77.5%[27]. Operational Highlights - The company reported an increase in electricity generation, which contributed to the growth in operating revenue and net profit year-on-year[6]. - The company continues to focus on expanding its renewable energy projects and enhancing operational efficiency in the upcoming quarters[9]. - The company maintains a strong liquidity position with a current ratio improvement due to increased cash reserves[9]. - The company has no significant changes in the top 10 shareholders or their participation in margin trading[8]. - The company did not apply new accounting standards or interpretations for the first time in 2024, maintaining consistency in financial reporting[30].
华能水电:关于参股成立合资公司暨关联交易的公告
2024-10-29 11:47
本公司董事会及全体董事保证本公告内容不存在任何虚假记载、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法律责任。 重要内容提示: 华能澜沧江水电股份有限公司(以下简称公司或华能水电)拟作为参股 股东与关联人华能国际电力股份有限公司(以下简称华能国际)共同出资成立华 能云南雨汪二期能源有限公司(以市场监督管理部门最终核准的名称为准,以下 简称合资公司)。双方于 2024 年 10 月 29 日签署《关于雨汪二期煤电与新能源联 营项目之合资协议》,华能国际拟以现金出资认缴合资公司注册资本 150,960 万 元,持股比例为 51%,华能水电拟以现金出资认缴合资公司注册资本 145,040 万 元,持股比例为 49%(以下简称本次交易或本次关联交易)。 证券代码:600025 证券简称:华能水电 公告编号:2024-062 华能澜沧江水电股份有限公司 关于参股成立合资公司暨关联交易公告 公司控股股东中国华能集团有限公司(以下简称华能集团)系华能国际 最终控股股东,根据《上海证券交易所股票上市规则》,公司与华能国际共同出 资设立合资公司构成关联交易,本次交易不构成《上市公司重大资产重组管理办 法》规 ...
华能水电:2024年度第五期绿色中期票据(乡村振兴)发行公告
2024-10-29 11:47
证券代码:600025 证券简称:华能水电 公告编号:2024-065 华能澜沧江水电股份有限公司 2024 年度第五期绿色中期票据(乡村振兴)发行公告 本公司董事会及全体董事保证本公告内容不存在任何虚假记载、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法律责任。 一、发行基本情况 公司 2024 年 5 月 28 日召开的 2023 年年度股东大会审议通过《关于公司在 银行间市场债务融资工具注册发行的议案》,同意公司在 2023 年度股东大会批 准之日起 24 个月(现执行《注册通知书》(中市协注〔2024〕TDFI25 号)有效 期截止日)的任一时点,一次或分次发行本金余额合计不超过人民币 340 亿元的 债务融资工具,其中单项余额限额为:短期融资券(含超短期融资券)不超过人 民币 140 亿元,中期票据(含永续中票)不超过人民币 200 亿元。每年年末 12 月 31 日短期融资券(含超短期融资券)余额不超过人民币 50 亿元,中期票据(含 永续中票)余额不超过人民币 160 亿元。 特此公告。 华能澜沧江水电股份有限公司董事会 2024 年 10 月 30 日 华能澜沧江水电股份有 ...
华能水电:新增装机投产在即,澜上基地大有可为
CAITONG SECURITIES· 2024-10-24 00:23
Investment Rating - The report assigns an "Accumulate" rating for the company [1][3]. Core Views - The company is the second-largest hydropower operator in China, holding the entire hydropower development rights of the Lancang River basin, with a total installed capacity of 29.2032 million kilowatts as of 1H2024, of which hydropower accounts for 25.9498 million kilowatts [2][19]. - The company is expected to release additional hydropower capacity in 2024-2025, with significant projects like the TB hydropower station and the Hardshell hydropower station contributing to a 10% increase in installed capacity [2][21]. - The tightening supply-demand balance is expected to push up local electricity prices, with the company benefiting from a competitive pricing strategy for electricity sent to Guangdong [2][3]. - The depreciation of existing assets is set to decrease, which will help release profits, alongside a reduction in financing costs from 4.33% in 2019 to 2.96% in 1H2024 [2][26]. Summary by Sections Company Overview - The company is the only platform for the integration of Huaneng Group's hydropower business, with a focus on the Lancang River basin [19][23]. Capacity Expansion - The company has a robust plan for capacity expansion, with the TB hydropower station expected to be fully operational by 2025 and the Hardshell hydropower station expected to start operations in late 2024 [21][30]. Financial Performance - Revenue projections for 2024, 2025, and 2026 are estimated at 25.547 billion, 28.696 billion, and 29.644 billion yuan respectively, with corresponding net profits of 8.291 billion, 9.337 billion, and 9.922 billion yuan [3][4]. - The company has a clear shareholder return plan, committing to distribute at least 50% of its distributable profits as cash dividends [27][28]. Market Dynamics - The company is positioned to benefit from rising electricity prices due to a tight supply-demand situation in Yunnan province, where hydropower generation accounts for over 70% of total output [2][10]. - The company is actively involved in the construction of clean energy bases in Tibet, which are expected to start delivering electricity to the Guangdong-Hong Kong-Macao Greater Bay Area by 2030 [31][32].
华能水电:2024年度第八期超短期融资券发行公告
2024-10-22 07:54
华能澜沧江水电股份有限公司(以下简称公司)已于近日完成了 2024 年度 第八期超短期融资券的发行。本期债券发行额为人民币 5 亿元,期限为 130 天, 单位面值为 100 元人民币,发行利率为 1.97%。本次发行完成后,公司短期融资 券(含超短期融资券)余额为人民币 25 亿元,中期票据(含永续中票)余额为 人民币 168 亿元。 2024 年度第八期超短期融资券由国家开发银行作为牵头主承销商,通过簿 记建档、集中配售的方式在全国银行间债券市场公开发行,债券募集资金将用于 偿还带息负债。债券发行的有关文件已在中国货币网和上海清算所网站公告,网 址分别为 www.chinamoney.com.cn 和 www.shclearing.com。 二、审批程序履行情况 公司 2024 年 5 月 28 日召开的 2023 年年度股东大会审议通过《关于公司在 银行间市场债务融资工具注册发行的议案》,同意公司在 2023 年年度股东大会 批准之日起 24 个月(现执行《注册通知书》(中市协注〔2024〕TDFI25 号)有 效期截止日)的任一时点,一次或分次发行本金余额合计不超过人民币 340 亿元 的债务融资工具 ...
华能水电:2024年前三季度发电量完成情况公告
2024-10-10 09:16
2024 年前三季度发电量同比增加的主要原因:一是新能源装机大规模提升, 新能源发电量同比大幅增加。二是截至 9 月末,澜沧江流域乌弄龙、小湾和糯扎 渡断面来水同比分别偏丰 5%、3.6%和 8.5%。三是云南省内用电需求同比增加, 西电东送电量持续增加。 | 序号 | 发电类型/ | | | 发电量(亿千瓦时) | | | | | 上网电量(亿千瓦时) | | | | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | | | 电站名称 | 2024 | 年 | 2023 | 年 | 同比 | 年 | 2024 | 2023 | 年 | 同比 | | | | 前三季度 | | 前三季度 | | | 前三季度 | | 前三季度 | | | | | 大型水电站(装机容量 | 25 | | 万千瓦及以上) | | | | | | | | | 1 | 乌弄龙 | 36.39 | | 36.31 | | 0.22% | 36.18 | | 36.09 | | 0.25% | | 2 | 里底 | 15.06 | | 15.29 ...
华能水电(600025) - 2024 Q3 - 季度业绩
2024-10-10 09:05
Financial Performance - Operating revenue for the first three quarters of 2024 reached 1,941,763.21 million yuan, a year-on-year increase of 7.05%[3] - Total profit for the first three quarters of 2024 was 905,272.82 million yuan, up 9.39% year-on-year[3] - Net profit attributable to shareholders of the listed company was 722,569.05 million yuan, a year-on-year increase of 7.78%[3] - Earnings per share attributable to shareholders of the listed company increased to 4.11 yuan, up 9.90% year-on-year[3] - The increase in total profit was mainly due to a year-on-year increase in power generation and operating revenue by 127,935.62 million yuan[4] Asset and Equity Growth - Total assets at the end of the reporting period were 20,394,038.11 million yuan, an increase of 4.46% compared to the beginning of the period[3] - Shareholders' equity attributable to the listed company was 7,399,319.56 million yuan, up 9.90% year-on-year[3]
华能水电:2024年度第四期绿色中期票据(乡村振兴)发行公告
2024-09-12 07:55
2024 年度第四期绿色中期票据(乡村振兴)发行公告 本公司董事会及全体董事保证本公告内容不存在任何虚假记载、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法律责任。 一、发行基本情况 2024 年度第四期绿色中期票据(乡村振兴)由中国银行股份有限公司作为 牵头主承销商、中国工商银行股份有限公司作为联席主承销商,通过簿记建档、 集中配售的方式在全国银行间债券市场公开发行,债券募集资金将用于偿还带息 负债。债券发行的有关文件已在中国货币网和上海清算所网站公告,网址分别为 www.chinamoney.com.cn 和 www.shclearing.com。 证券代码:600025 证券简称:华能水电 公告编号:2024-053 二、审批程序履行情况 公司 2024 年 5 月 28 日召开的 2023 年年度股东大会审议通过《关于公司在 银行间市场债务融资工具注册发行的议案》,同意公司在 2023 年度股东大会批 准之日起 24 个月(现执行《注册通知书》(中市协注〔2024〕TDFI25 号)有效 期截止日)的任一时点,一次或分次发行本金余额合计不超过人民币 340 亿元的 债务融资工具,其 ...
华能水电:盈利增长显著,未来装机增量可期
Shanxi Securities· 2024-08-31 03:03
Investment Rating - The report assigns an "Accumulate-A" rating to the company, indicating a positive outlook for its stock performance in the near term [3][5]. Core Views - The company's significant profit growth is attributed to favorable water conditions in the Lancang River basin during the first half of 2024, leading to increased electricity generation [4]. - The company is positioned as China's second-largest hydropower company, backed by the Huaneng Group, and has rights to develop hydropower resources across the entire Lancang River basin [4]. - Upcoming projects, including the completion of the Toba Hydropower Station and various renewable energy initiatives, are expected to enhance future earnings [2][4]. Financial Performance - For the first half of 2024, the company reported operating revenue of 11.88 billion yuan, a year-on-year increase of 13.10%, and a net profit attributable to shareholders of 4.169 billion yuan, up 22.47% [1]. - The company achieved a basic earnings per share (EPS) of 0.22 yuan, reflecting a 22.59% increase year-on-year [1]. - The weighted average return on equity (ROE) was 5.97%, an increase of 1.78 percentage points compared to the previous year [1]. Electricity Generation - In the first half of 2024, the company generated 46.695 billion kWh of electricity, a year-on-year increase of 12.15%, with hydropower generation rising by 22.42% due to improved water inflow [1][2]. - The second quarter of 2024 saw a significant increase in electricity generation, with total grid-connected electricity reaching 30.214 billion kWh, a year-on-year increase of 41.68% [1]. Future Outlook - The company plans to invest 13.991 billion yuan in 84 new renewable energy projects, aiming to increase its renewable energy capacity to 5.0181 million kW [2]. - The anticipated rise in electricity prices in Yunnan province, where the company primarily operates, is expected to support revenue growth [1][4]. Valuation Metrics - The projected EPS for 2024-2026 is expected to be 0.49, 0.54, and 0.60 yuan, respectively, with corresponding price-to-earnings (P/E) ratios of 22.4, 20.2, and 18.3 [5][6]. - The company's cash flow remains robust, with a cash dividend payout ratio of 58.42% for 2023 and a commitment to distribute 50% of distributable profits as dividends over the next three years [5].
华能水电:量价齐升,业绩稳定性与增长确定性强
Guotou Securities· 2024-08-29 10:00
Investment Rating - The investment rating for Huaneng Hydropower is "Buy - A" with a target price of 12.5 CNY for the next six months [4]. Core Views - The company reported a significant increase in performance, with a 13.1% year-on-year growth in revenue to 11.88 billion CNY and a 22.47% increase in net profit to 4.169 billion CNY in the first half of 2024 [1][2]. - The increase in electricity generation was driven by favorable water conditions in the Lancang River basin, leading to a 12.36% rise in total electricity output to 462.72 billion kWh [2]. - The company is expanding its hydropower capacity, with the successful commissioning of the first unit of the Toba Hydropower Station and plans for further projects, which will enhance short-term performance [3]. Summary by Sections Financial Performance - In the first half of 2024, the company achieved a revenue of 11.88 billion CNY, a 13.1% increase year-on-year, and a net profit of 4.169 billion CNY, up 22.47% [1]. - The average on-grid electricity price increased slightly to 0.257 CNY/kWh, reflecting a tight supply-demand balance in Yunnan province [2]. Capacity Expansion - The company’s hydropower capacity increased from 22.95 GW to 25.6 GW following the acquisition of Huaneng Sichuan Energy Development Co., Ltd. [3]. - The Toba Hydropower Station, with a capacity of 1.4 million kW, is expected to be fully operational by December 2024, contributing to future revenue growth [3]. Future Projections - Revenue projections for 2024-2026 are 26.275 billion CNY, 28.836 billion CNY, and 30.263 billion CNY, with corresponding net profits of 8.936 billion CNY, 10.232 billion CNY, and 10.884 billion CNY [9]. - The company plans to invest 139.91 billion CNY in 84 new energy projects, aiming to add 3.09 million kW of capacity in 2024 [3].