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西藏天路股份有限公司 2025年第一季度报告
Zheng Quan Ri Bao· 2025-04-30 00:27
Core Viewpoint - The company reported a revenue increase of 10.76% year-on-year for the first quarter of 2025, but also experienced a net loss that worsened compared to the previous year, primarily due to investment losses and challenges in the building materials sector [3][4][7]. Financial Performance - The company's operating revenue for the first quarter was 338.63 million yuan, up from 305.73 million yuan in the same period last year, an increase of 32.91 million yuan [3]. - The construction segment contributed to the revenue increase, with a rise of 15.41 million yuan, driven by several ongoing projects [3]. - The building materials segment saw an increase of 16.78 million yuan in revenue, attributed to higher sales volumes of cement [3]. Profitability Analysis - The net profit attributable to shareholders was -124.04 million yuan, worsening from -73.52 million yuan in the previous year, an increase in loss of 50.53 million yuan [4][7]. - The construction segment's net profit improved by 14.13 million yuan, while the building materials segment's net profit decreased by 42.96 million yuan, reflecting challenges in sales and cost pressures [4][5]. Non-Recurring Gains and Losses - The company reported significant non-recurring losses primarily from investments, with a loss of 44.74 million yuan due to declines in the fair value of shares held in other listed companies [6]. New Contracts - In the first quarter of 2025, the company signed two construction contracts exceeding 20 million yuan, with a total contract value of 194.80 million yuan [14]. Legal Matters - The company faced a legal ruling where its claims regarding environmental infringement were dismissed, which may impact its future operations and financial outlook [11]. Future Developments - The company is in the process of establishing a new cement production line in Linzhi City, which is currently in the public announcement phase [10].
西藏天路(600326) - 西藏天路2025年第一季度新签施工合同情况公告
2025-04-29 12:26
| 证券代码:600326 | 证券简称:西藏天路 | 公告编号:2025-025 号 | | --- | --- | --- | | 转债代码:110060 | 转债简称:天路转债 | | | 债券代码:188478 | 债券简称:21 天路 01 | | 西藏天路股份有限公司 2025 年第一季度新签施工合同情况公告 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。 2025年第一季度,西藏天路股份有限公司及主要建筑类子公司新签2,000.00 万元以上施工合同2项,合同总额19,479.58万元。具体如下: 单位: 人民币万元 | 序号 | 发包方名称 | 承包方名称 | 项目名称 (全称) | 合同金额 | 合同签 订日期 | 合同履行期限 | | --- | --- | --- | --- | --- | --- | --- | | | 那曲市住房和 | 重庆重交再生 资源开发股份 有限公司、中 | 那曲市色尼区 2024年老旧小区 | 5,361.58(建安费 暂估价,最终以概 | 2025年1月6 | 365日历天 ...
西藏天路(600326) - 西藏天路2024年年度股东大会资料
2025-04-29 12:24
二〇二五年五月·拉 萨 1 2024 年年度股东大会 | 证券代码:600326 | 证券简称:西藏天路 | | --- | --- | | 转债代码:110060 | 债券简称:天路转债 | | 债券代码:188478 | 债券简称:21 天路 01 | 2024 年年度股东大会 会议资料 2024 年年度股东大会 目录 西藏天路股份有限公司 2024 年年度股东大会议程 西藏天路股份有限公司 2024 年年度股东大会议案 议案四:关于《公司 2024 年度利润分配和资本公积金转增股本的预案》的议案 议案五:关于确认公司董事 2024 年度薪酬执行情况及 2025 年度薪酬方案的议 案 议案六:关于《公司独立董事 2024 年度述职报告》的议案 案 2 议案一:关于《公司 2024 年度董事会报告》的议案 议案二:关于《公司 2024 年年度报告及摘要》的议案 议案三:关于《公司 2024 年度财务决算报告》的议案 议案七:关于修改公司章程的议案 议案八:关于《公司 2024 年度监事会工作报告》的议案 议案九:关于确认公司监事 2024 年度薪酬执行情况及 2025 年度薪酬方案的议 (一)通过交易所系统 ...
西藏天路(600326) - 2025 Q1 - 季度财报
2025-04-29 12:00
Financial Performance - The company's operating revenue for Q1 2025 was CNY 338.63 million, an increase of 10.76% compared to CNY 305.73 million in the same period last year[5]. - The net profit attributable to shareholders for Q1 2025 was a loss of CNY 124.04 million, worsening from a loss of CNY 73.51 million in the previous year, an increase in loss of CNY 50.53 million[10]. - The company reported a net cash flow from operating activities of -CNY 169.87 million, worsening from -CNY 114.65 million in the same period last year[5]. - The company's basic and diluted earnings per share for Q1 2025 were both -CNY 0.0937, compared to -CNY 0.0598 in the same period last year[5]. - The company reported a non-recurring loss of approximately ¥38.74 million, primarily due to fair value changes in financial assets and liabilities[18]. - Operating profit for Q1 2025 was -¥159,917,372.37, worsening from -¥99,351,269.77 in Q1 2024[33]. - Net profit for Q1 2025 was -¥155,414,419.21, compared to -¥99,213,534.94 in Q1 2024, indicating a significant increase in losses[33]. - The company's total revenue for Q1 2025 was ¥59,259,439.24, an increase of 24.4% compared to ¥47,730,938.10 in Q1 2024[43]. Revenue Segments - The construction segment's revenue increased by CNY 15.41 million to CNY 79.44 million, driven by several new projects commencing in March 2025[7]. - The building materials segment's revenue rose by CNY 16.78 million to CNY 258.00 million, attributed to increased sales volume in the Sichuan-Tibet Railway project[8]. Assets and Liabilities - The total assets at the end of Q1 2025 were CNY 12.12 billion, a decrease of 5.47% from CNY 12.82 billion at the end of the previous year[6]. - The company's current assets decreased to CNY 6,422,838,781.90 from CNY 7,074,587,989.60, representing a reduction of about 9.2%[26]. - Total liabilities as of March 31, 2025, were CNY 6,510,927,890.66, down from CNY 7,053,991,876.49, indicating a decrease of approximately 7.7%[28]. - The company's cash and cash equivalents decreased to CNY 1,820,282,627.87 from CNY 2,309,000,663.09, a decline of about 21.2%[26]. - The company's total assets decreased from ¥7,727,924,351.24 on December 31, 2024, to ¥7,496,846,176.78 on March 31, 2025[41]. - Current assets totaled ¥3,784,675,211.78 as of March 31, 2025, down from ¥4,034,336,850.88 at the end of 2024[40]. - The total liabilities decreased from ¥4,568,969,165.22 on December 31, 2024, to ¥4,407,899,943.01 on March 31, 2025[41]. Cash Flow - Cash flow from operating activities for Q1 2025 was -¥169,869,469.87, compared to -¥114,653,871.90 in Q1 2024, reflecting a decline in cash generation[37]. - Cash flow from investing activities for Q1 2025 was -¥10,935,901.82, a decrease from a positive cash flow of ¥2,103,324.48 in Q1 2024[37]. - Cash flow from financing activities for Q1 2025 was -¥307,105,851.14, compared to -¥52,776,652.69 in Q1 2024, indicating increased cash outflows[38]. - The ending cash and cash equivalents balance for Q1 2025 was ¥1,792,036,104.13, down from ¥2,343,301,352.71 in Q1 2024[38]. - The company's cash and cash equivalents at the end of Q1 2025 were CNY 679,586,938.92, down from CNY 940,038,356.43 in Q1 2024[46]. Shareholder Information - The total number of ordinary shareholders at the end of the reporting period was 78,382[21]. - The largest shareholder, Tibet Construction Materials Group Co., Ltd., holds 23.74% of the shares[22]. Operational Challenges - Management highlighted ongoing challenges in operational efficiency and cash flow management, with a focus on cost control and strategic investments moving forward[35].
西藏天路:2025年第一季度新签1.95亿元施工合同
news flash· 2025-04-29 10:53
Core Viewpoint - Tibet Tianlu (600326) announced the signing of two construction contracts exceeding 20 million yuan in the first quarter of 2025, with a total contract value of 195 million yuan [1] Group 1: Contract Details - The first contract is for the EPC general contracting of the old residential area renovation project in Seini District, Naqu City, with a contract amount of 53.6158 million yuan, signed on January 6, 2025, and a performance period of 365 calendar days [1] - The second contract is for the EPC project of the Hunan Zhongda Agricultural HG Mixed Airlight Hydrocarbon New Energy in Bajiao Dong Ethnic Township, with a contract amount of 141 million yuan, signed on February 28, 2025, and a performance period of 730 calendar days [1]
西藏天路股份有限公司关于召开2024年度业绩说明会的公告
Shang Hai Zheng Quan Bao· 2025-04-18 22:57
Core Points - The company will hold a 2024 annual performance briefing on April 28, 2025, from 16:00 to 17:00 [2][4] - The briefing will be conducted in an interactive online format, allowing investors to ask questions [3][5] - The company aims to provide insights into its 2024 operational results and financial status during the briefing [2][3] Meeting Details - The meeting will take place at the Shanghai Stock Exchange Roadshow Center [4] - Participants will include the company's Chairman, Secretary of the Board, Financial Officer, and an Independent Director [4] - Investors can submit questions from April 21 to April 25, 2025, before the briefing [5] Shareholders Meeting - The 2024 annual shareholders meeting is scheduled for May 9, 2025, at 10:00 AM [9][10] - Voting will be conducted through a combination of on-site and online methods [10] - The network voting system will be available on the same day, with specific time slots for voting [10][11]
西藏天路(600326) - 西藏天路关于召开2024年度业绩说明会的公告
2025-04-18 10:44
| 转债代码: 110060 | 转债简称:天路转债 | | | | --- | --- | --- | --- | | 证券代码:600326 债券代码:188478 | 证券简称:西藏天路 债券简称:21 | 天路 01 | 公告编号:2025-024 号 | 西藏天路股份有限公司 关于召开 2024 年度业绩说明会的公告 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。 重要内容提示: 会议召开时间:2025 年 04 月 28 日(星期一) 下午 16:00-17:00 会 议 召 开 地 点 : 上 海 证 券 交 易 所 上 证 路 演 中 心 ( 网 址 : https://roadshow.sseinfo.com/) 的经营成果及财务指标的具体情况与投资者进行互动交流和沟通,在 信息披露允许的范围内就投资者普遍关注的问题进行回答。 二、 说明会召开的时间、地点 (一) 会议召开时间:2025 年 4 月 28 日(星期一) 下午 16:00-17:00 (二) 会议召开地点:上证路演中心 会议召开方式:上证路演中 ...
西藏天路(600326) - 西藏天路关于召开2024年年度股东大会的通知公告
2025-04-18 10:43
| 证券代码:600326 | 证券简称:西藏天路 | 公告编号:2025-023 号 | | --- | --- | --- | | 转债代码:110060 | 转债简称:天路转债 | | | 债券代码:188478 | 债券简称:21天路01 | | 西藏天路股份有限公司 关于召开2024年年度股东大会的通知 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: 一、 召开会议的基本情况 (一)股东大会类型和届次 2024年年度股东大会 (四)现场会议召开的日期、时间和地点 召开的日期时间:2025 年 5 月 9 日 10 点 00 分 召开地点:西藏拉萨市夺底路 14 号公司 6610 会议室 股东大会召开日期:2025年5月9日 本次股东大会采用的网络投票系统:上海证券交易所股东大会网络投票 系统 (二)股东大会召集人:董事会 (三)投票方式:本次股东大会所采用的表决方式是现场投票和网络投票相结合的 方式 (五)网络投票的系统、起止日期和投票时间。 网络投票系统:上海证券交易所股东大会网络投票系统 网络投票 ...
西藏天路(600326) - 国新证券股份有限公司关于西藏天路股份有限公司不提前赎回“天路转债”的核查意见
2025-04-15 08:49
国新证券股份有限公司(以下简称"国新证券"、"保荐机构")作为西藏 天路股份有限公司(以下简称"西藏天路"、"公司")2018年度公开发行 A 股 可转换公司债券的保荐机构,根据《证券发行上市保荐业务管理办法》《上海证 券交易所上市公司自律监管指引第 12号 -- 可转换公司债券》等相关规定,对 西藏天路不提前赎回"天路转债"事项进行了认真、审慎的核查,核查的具体 情况如下: 国新证券股份有限公司 关于西藏天路股份有限公司 不提前赎回"天路转债"的核查意见 一、可转债发行上市概况 经中国证券监督管理委员会《关于核准西藏天路股份有限公司公开发行可 转换公司债券的批复》(证监许可(2019)1574号)核准,西藏天路于2019年 10 月 28 日公开发行了 10,869,880 张可转换公司债券(以下简称"可转债"), 每张面值 100元,发行总额为人民币 108,698.80 万元,期限 6年。本次发行的 可转债票面利率为第一年 0.4%,第二年0.6%,第三年 1.0%,第四年 1.5%,第 五年 1.8%, 第六年 2.0%。 经上海证券交易所自律监管决定书〔2019〕259 号文同意,公司本次发行 的 ...
西藏天路(600326) - 西藏天路关于不提前赎回“天路转债”的公告
2025-04-15 08:34
| 证券代码:600326 | 证券简称:西藏天路 | 公告编号:2025-022号 | | --- | --- | --- | | 转债代码:110060 | 转债简称:天路转债 | | | 债券代码:188478 | 债券简称:21天路01 | | 西藏天路股份有限公司 重要内容提示: 一、可转债发行上市概况 关于不提前赎回"天路转债"的公告 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。 根据《募集说明书》约定,在本次发行的可转债转股期内,当下述两种情形的任 意一种出现时,公司董事会有权决定按照债券面值加当期应计利息的价格赎回全部或 部分未转股的可转债。 1、在本次发行的可转债转股期内,如果公司A股股票连续三十个交易日中至少有 十五个交易日的收盘价格不低于当期转股价格的130%(含130%); 2、当本次发行的可转债未转股余额不足3,000万元时。 当期应计利息的计算公式为:IA=B×i×t/365 IA:指当期应计利息; 经中国证券监督管理委员会《关于核准西藏天路股份有限公司公开发行可转换公 司债券的批复》(证监许可〔 ...