Workflow
INFUND HOLDING(002141)
icon
Search documents
贤丰控股(002141) - 2025 Q1 - 季度财报
2025-04-28 17:50
[Key Financial Data](index=1&type=section&id=%E4%B8%80%E3%80%81%E4%B8%BB%E8%A6%81%E8%B4%A2%E5%8A%A1%E6%95%B0%E6%8D%AE) In Q1 2025, the company achieved significant revenue and net profit growth, primarily from new businesses and asset disposal, despite negative core business profitability and operating cash flow [Key Accounting Data and Financial Indicators](index=1&type=section&id=%EF%BC%88%E4%B8%80%EF%BC%89%20%E4%B8%BB%E8%A6%81%E4%BC%9A%E8%AE%A1%E6%95%B0%E6%8D%AE%E5%92%8C%E8%B4%A2%E5%8A%A1%E6%8C%87%E6%A0%87) Key Financial Indicators for Q1 2025 | Indicator | Current Period | Prior Year Period | YoY Change (%) | | :--- | :--- | :--- | :--- | | Operating Revenue (RMB) | 294,682,212.25 | 16,649,876.31 | 1,669.88% | | Net Profit Attributable to Shareholders (RMB) | 14,210,084.66 | -153,837.59 | 9,337.07% | | Net Profit Attributable to Shareholders (Excl. Non-recurring) (RMB) | -3,456,542.95 | -8,687,680.76 | 60.21% | | Net Cash Flow from Operating Activities (RMB) | -70,936,119.71 | 10,809,362.41 | -756.25% | | Basic Earnings Per Share (RMB/share) | 0.0138 | -0.0001 | 13,900.00% | | Total Assets (RMB) | 1,475,871,009.94 | 1,470,823,932.83 | 0.34% (vs. end of prior year) | | Total Equity Attributable to Shareholders (RMB) | 835,229,144.34 | 820,299,187.95 | 1.82% (vs. end of prior year) | [Non-recurring Gains and Losses Items and Amounts](index=1&type=section&id=%EF%BC%88%E4%BA%8C%EF%BC%89%20%E9%9D%9E%E5%B8%B8%E9%87%91%E6%80%A7%E6%8D%9F%E7%9B%8A%E9%A1%B9%E7%9B%AE%E5%92%8C%E9%87%91%E9%A2%9D) - Total non-recurring gains and losses for the current period amounted to **RMB 17.67 million**, a key factor for the company's profitability, with non-current asset disposal gains contributing **RMB 18.49 million**, primarily from the sale of Zhuhai factory land and technology contract transfer[4](index=4&type=chunk)[5](index=5&type=chunk) Details of Non-recurring Gains and Losses Items | Item | Amount for Current Period (RMB) | Description | | :--- | :--- | :--- | | Non-current asset disposal gains and losses | 18,488,785.48 | Primarily due to partial completion of Zhuhai factory land transfer and Chengdu Shiji technology contract transfer | | Government grants recognized in current profit/loss | 721,156.49 | - | | Other non-operating income/expenses and fair value changes | 38,032.59 | - | | Impact on minority interests (after tax) | 1,581,346.95 | - | | **Total** | **17,666,627.61** | **--** | [Changes and Reasons for Key Accounting Data and Financial Indicators](index=2&type=section&id=%EF%BC%88%E4%B8%89%EF%BC%89%20%E4%B8%BB%E8%A6%81%E4%BC%9A%E8%AE%A1%E6%95%B0%E6%8D%AE%E5%92%8C%E8%B4%A2%E5%8A%A1%E6%8C%87%E6%A0%87%E5%8F%91%E7%94%9F%E5%8F%98%E5%8A%A8%E7%9A%84%E6%83%85%E5%86%B5%E5%8F%8A%E5%8E%9F%E5%9B%A0) - Significant increases in operating revenue and costs (**1669.88%** and **3624.62%** respectively) were primarily driven by the newly added copper-clad laminate and feed businesses in the current period[6](index=6&type=chunk) - Research and development expenses increased by **118.63%** year-on-year, mainly due to increased R&D investment in Gaoshuo Hangyu's copper-clad laminate business[6](index=6&type=chunk) - Net cash flow from operating activities significantly decreased by **756.25%**, primarily impacted by the credit terms of subsidiary Gaoshuo Hangyu[7](index=7&type=chunk) - Net cash flow from investing activities turned positive, increasing by **159.72%**, mainly due to the recovery of investment funds and redemption of wealth management products in the current period[7](index=7&type=chunk) [Shareholder Information](index=3&type=section&id=%E4%BA%8C%E3%80%81%E8%82%A1%E4%B8%9C%E4%BF%A1%E6%81%AF) As of the reporting period end, the company had 28,097 common shareholders, with the top two holding over 30%, and the second largest shareholder's entire stake is pledged and frozen [Common Shareholder Holdings](index=3&type=section&id=%EF%BC%88%E4%B8%80%EF%BC%89%20%E6%99%AE%E9%80%9A%E8%82%A1%E8%82%A1%E4%B8%9C%E6%80%BB%E6%95%B0%E5%92%8C%E8%A1%A8%E5%86%B3%E6%9D%83%E6%81%A2%E5%A4%8D%E7%9A%84%E4%BC%98%E5%85%88%E8%82%A1%E8%82%A1%E4%B8%9C%E6%95%B0%E9%87%8F%E5%8F%8A%E5%89%8D%E5%8D%81%E5%90%8D%E8%82%A1%E4%B8%9C%E6%8C%81%E8%82%A1%E6%83%85%E5%86%B5%E8%A1%A8) - As of the end of the reporting period, the total number of common shareholders was **28,097**[9](index=9&type=chunk) Top Two Shareholders' Holdings | Shareholder Name | Shareholding Percentage (%) | Number of Shares Held | Share Status | | :--- | :--- | :--- | :--- | | Shenzhen Ansheng Zhihe Investment Partnership (Limited Partnership) | 19.18% | 198,140,000 | N/A | | Xianfeng Holdings Group Co., Ltd. | 11.05% | 114,152,000 | Pledged 69,000,000; Frozen 114,152,000 | - The second largest shareholder, Xianfeng Holdings Group Co., Ltd., has **114,152,000** shares (**11.05%** of total share capital) fully frozen, with **69,000,000** shares pledged[9](index=9&type=chunk) [Other Significant Matters](index=4&type=section&id=%E4%B8%89%E3%80%81%E5%85%B6%E4%BB%96%E9%87%8D%E8%A6%81%E4%BA%8B%E9%A1%B9) The company disclosed significant matters including office address changes, asset transfer progress, and a CSRC administrative penalty pre-notification, which may impact operations and stock price Significant Matters Disclosed During the Reporting Period | Overview of Significant Matter | Disclosure Date | | :--- | :--- | | Change of Office Address | 2025年01月24日 | | Progress and Extension of Land Use Rights and Above-Ground Building Ownership Transfer | 2025年02月13日, 2025年03月22日 | | Receipt of Pre-notification of Administrative Penalty | 2025年03月24日 | [Quarterly Financial Statements](index=4&type=section&id=%E5%9B%9B%E3%80%81%E5%AD%A3%E5%BA%A6%E8%B4%A2%E5%8A%A1%E6%8A%A5%E8%A1%A8) This section presents the unaudited Q1 2025 consolidated financial statements, showing slight asset growth, liability decrease, significant revenue and profit turnaround from new businesses and non-recurring gains, and deteriorating operating cash flow despite improved investing and financing cash flows - The company's first quarter report is unaudited[19](index=19&type=chunk) [Consolidated Balance Sheet](index=4&type=section&id=1%E3%80%81%E5%90%88%E5%B9%B6%E8%B5%84%E4%BA%A7%E8%B4%9F%E5%80%BA%E8%A1%A8) Key Balance Sheet Items Changes | Item | Period-end Balance (RMB) | Period-start Balance (RMB) | | :--- | :--- | :--- | | Total Assets | 1,475,871,009.94 | 1,470,823,932.83 | | Total Liabilities | 589,800,602.42 | 599,813,408.35 | | Total Equity Attributable to Parent Company Owners | 835,229,144.34 | 820,299,187.95 | [Consolidated Income Statement](index=6&type=section&id=2%E3%80%81%E5%90%88%E5%B9%B6%E5%88%A9%E6%B6%A6%E8%A1%A8) Key Income Statement Items | Item | Amount for Current Period (RMB) | Amount for Prior Period (RMB) | | :--- | :--- | :--- | | I. Total Operating Revenue | 294,682,212.25 | 16,649,876.31 | | II. Total Operating Costs | 293,560,627.82 | 25,970,020.19 | | III. Operating Profit | 14,309,681.85 | -1,911,435.81 | | V. Net Profit | 14,340,011.31 | -1,511,035.74 | | Net Profit Attributable to Parent Company Owners | 14,210,084.66 | -153,837.59 | [Consolidated Cash Flow Statement](index=8&type=section&id=3%E3%80%81%E5%90%88%E5%B9%B6%E7%8E%B0%E9%87%91%E6%B5%81%E9%87%8F%E8%A1%A8) Key Cash Flow Statement Items | Item | Amount for Current Period (RMB) | Amount for Prior Period (RMB) | | :--- | :--- | :--- | | Net Cash Flow from Operating Activities | -70,936,119.71 | 10,809,362.41 | | Net Cash Flow from Investing Activities | 16,264,345.28 | -27,236,522.83 | | Net Cash Flow from Financing Activities | 14,437,996.31 | -5,022,735.16 | | Net Increase in Cash and Cash Equivalents | -40,171,026.63 | -21,117,345.36 |
ST贤丰最新索赔动态,发布公司股票可能被终止上市风险公告,索赔征集中
Sou Hu Cai Jing· 2025-04-19 04:51
Core Viewpoint - ST Xianfeng Holdings Co., Ltd. is facing potential delisting risks due to negative net profits and insufficient revenue, as indicated in their recent announcements and performance forecasts [2][3]. Group 1: Risk of Delisting - The company issued its sixth risk warning regarding potential delisting, as required by the Shenzhen Stock Exchange rules, following a negative net profit for the fiscal year 2023 and revenue below 100 million yuan [2][3]. - The stock will be under delisting risk warning starting April 29, 2024, due to the aforementioned financial performance [2]. - The company is currently undergoing its 2024 annual report preparation, and the final audited revenue figures will determine if the delisting risk warning can be lifted [3]. Group 2: Legal and Compensation Issues - The company received an administrative penalty notice from the China Securities Regulatory Commission (CSRC) due to violations related to information disclosure and false statements, which may lead to civil compensation claims from affected investors [4][9]. - Investors who purchased shares between April 28, 2023, and April 25, 2024, and sold or held them after April 26, 2024, may be eligible for compensation [6]. Group 3: Financial Performance Forecast - The company anticipates negative total profit, net profit, and net profit after deducting non-recurring gains and losses for the fiscal year 2024, with projected revenue between 340 million and 440 million yuan [3]. - The final audited revenue must exceed 300 million yuan for the company to avoid further delisting risks, subject to the approval of the Shenzhen Stock Exchange [3].
退市预警 | *ST龙宇(603003.SH)、*ST海越(600387.SH)公告第六次风险提示
Xin Lang Cai Jing· 2025-04-16 01:27
6. *ST海越(600387.SH):因2023年度非标意见事项未消除,2024年度审计报告可能被出具非标意见,股 票存在被终止上市的风险。 4. *ST贤丰(002141.SZ):因2023年度净利润为负值且扣除后营业收入低于1亿元,股票被实施退市风险 警示,若2024年出现相关情形,股票可能被终止上市。 5. *ST吉药(300108.SZ):连续14个交易日收盘价低于1元,若连续20个交易日收盘价低于1元,股票将被 终止上市;同时,若2024年期末净资产为负值,股票也可能被终止上市。 1. *ST有树(300209.SZ):因2023年末经审计的归属于上市公司股东的所有者权益为负值,股票被实施退 市风险警示,若2024年出现财务类终止上市情形,股票可能被终止上市。 2. *ST科新(600234.SH):因2023年度营业收入低于1亿元且净利润为负值,股票被实施退市风险警示, 若2024年出现相关情形,股票可能被终止上市。 3. *ST开元(300338.SZ):因2023年度期末净资产为负值且财务报告被出具保留意见,股票被实施退市风 险警示,若2024年出现财务类终止上市情形,股票可能被终止上市。 ...
*ST贤丰(002141) - 关于公司股票交易可能被终止上市的风险提示公告
2025-04-15 10:21
证券代码:002141 证券简称:*ST 贤丰 公告编号:2025-022 贤丰控股股份有限公司 关于公司股票可能被终止上市的风险提示公告 本公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有虚假记 载、误导性陈述或重大遗漏。 特别提示: 1. 根据《深圳证券交易所股票上市规则》(2024 年修订)第 9.3.6 条的规 定,公司应当在股票交易被实施退市风险警示当年会计年度结束后一个月内,披 露股票可能被终止上市的风险提示公告,在首次风险提示公告披露后至年度报告 披露前,每十个交易日披露一次风险提示公告。本次公告为公司第六次风险提示 公告,敬请广大投资者理性投资,注意投资风险。 2. 公司于 2024 年 4 月 26 日披露了《关于公司股票交易实施退市风险警示 和其他风险警示暨停复牌公告》(公告编号:2024-036),因公司 2023 年度归 属于上市公司股东的净利润为负值且扣除后营业收入低于 1 亿元,根据《深圳证 券交易所股票上市规则》(2023 年 8 月修订)相关规定,公司股票于 2024 年 4 月 29 日起被实施退市风险警示。若公司 2024 年度出现《深圳证券交易所股票上 市规则 ...
*ST贤丰(002141) - 关于2024年年度报告编制及审计进展的公告
2025-04-14 09:30
一、2023 年度审计报告非标审计意见涉及事项影响的消除情况 证券代码:002141 证券简称:*ST 贤丰 公告编号:2025-021 贤丰控股股份有限公司 关于 2024 年年度报告编制及审计进展的公告 本公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有虚假记 载、误导性陈述或重大遗漏。 贤丰控股股份有限公司(以下简称"贤丰控股")根据《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南第 1 号——业务办理》的 相关规定,公司应当分别在年度报告预约披露日前二十个交易日和十个交易日, 披露年度报告编制及最新审计进展情况,相关情况如下: 1、关于带强调事项段的无保留意见审计报告所涉及事项 公司 2023 年度财务报告被北京兴华会计师事务所(特殊普通合伙)(以下 简称"兴华所")出具了带强调事项段的无保留意见审计报告,相关强调事项段 提示投资者关注公司控股股东及其一致行动人存在影响公司控制权的事项、公司 股票存在因触及财务类强制退市条件被实施退市风险警示的情形。 截至本公告披露日,由于公司控股股东及其一致行动人积极寻求保持控制权 稳定的解决方案,其破产清算事项不影响公司正常生产经营 ...
*ST贤丰(002141) - 关于公司股份被公开拍卖完成过户的进展公告
2025-04-14 09:01
证券代码:002141 证券简称:*ST 贤丰 公告编号:2025-020 贤丰控股股份有限公司 关于公司股份被公开拍卖完成过户的进展公告 本公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有虚假记 载、误导性陈述或重大遗漏。 贤丰控股股份有限公司(简称"公司")控股股东贤丰控股集团有限公司(简 称"贤丰集团")及其一致行动人广东贤丰控股有限公司(简称"广东贤丰") 持有的公司 5,400 万股股票在京东拍卖平台上进行公开拍卖,其中:2,900 万股、 2,500 万股已经先后有竞拍结果、被裁定过户,4,500 万股已完成过户,近日公 司通过中国证券登记结算有限责任公司系统获悉,前述 5,400 万股中的 900 万股 已完成过户登记手续,现将有关进展情况公告如下: 一、股份拍卖情况 贤丰集团及其一致行动人广东贤丰持有的公司 5,400 万股股票在京东拍卖 平台上进行公开拍卖,买受人朱兴虎、吴宪彬分别竞得贤丰集团持有的公司股票 1,000 万股、1,000 万股,买受人吴宪彬竞得广东贤丰持有的公司股票 900 万股, 买受人陈新熊、江西鑫余环境科技有限公司分别竞得贤丰集团持有的公司股票 1,389 ...
*ST贤丰(002141) - 关于公司股票交易可能被终止上市的风险提示公告
2025-03-31 10:35
证券代码:002141 证券简称:*ST 贤丰 公告编号:2025-018 | | 是否适用 | | --- | --- | | 具体情形 | (对可能触及的打 | | | 勾) | | 经审计的利润总额、净利润、扣除非经常性损益后的净 | | | 利润三者孰低为负值,且扣除后的营业收入低于 3 亿 | √ | | 元。 | | | 经审计的期末净资产为负值。 | | 贤丰控股股份有限公司 关于公司股票可能被终止上市的风险提示公告 本公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有虚假记 载、误导性陈述或重大遗漏。 特别提示: 1. 根据《深圳证券交易所股票上市规则》(2024 年修订)第 9.3.6 条的规 定,公司应当在股票交易被实施退市风险警示当年会计年度结束后一个月内,披 露股票可能被终止上市的风险提示公告,在首次风险提示公告披露后至年度报告 披露前,每十个交易日披露一次风险提示公告。本次公告为公司第五次风险提示 公告,敬请广大投资者理性投资,注意投资风险。 2. 公司于 2024 年 4 月 26 日披露了《关于公司股票交易实施退市风险警示 和其他风险警示暨停复牌公告》(公告编号:202 ...
*ST贤丰(002141) - 关于回购公司股份的进展公告
2025-03-31 10:34
证券代码:002141 证券简称:*ST 贤丰 公告编号:2025-019 贤丰控股股份有限公司 关于回购公司股份的进展公告 本公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有虚假记载、 误导性陈述或重大遗漏。 贤丰控股股份有限公司(简称"公司")于 2024 年 6 月 27 日召开第八届董 事会第十次会议审议通过了《关于回购股份用于股权激励的议案》,于 2024 年 6 月 28 日发布了《回购报告书》,董事会同意公司使用自有资金以集中竞价交 易方式回购公司股份,本次回购股份将用于实施股权激励,拟用于回购的资金总 额不低于人民币 3,000 万元(含),不超过人民币 6,000 万元(含),回购期限 为自董事会审议通过回购股份方案之日起不超过 12 个月。具体内容详见公司 2024 年 6 月 28 日、2024 年 6 月 29 日披露于巨潮资讯网(www.cninfo.com.cn) 上的相关公告。 根据《上市公司股份回购规则》《深圳证券交易所上市公司自律监管指引第 9 号——回购股份》等相关规定,每个月的前三个交易日内披露截至上月末的回 购进展情况,现将具体情况公告如下: 一、回购公司股 ...
*ST贤丰录得6天5板
Group 1 - The stock *ST Xianfeng (002141) has experienced a significant increase, with 5 limit-up days within 6 trading days, resulting in a cumulative increase of 21.77% and a turnover rate of 5.03% [1] - As of 9:40, the stock's trading volume reached 13.55 million shares, with a transaction amount of 23.33 million yuan, and a turnover rate of 1.31% [1] - The latest total market capitalization of the A-shares is 1.849 billion yuan [1] Group 2 - The stock has appeared on the Dragon and Tiger list due to a cumulative closing price deviation of 12% over three consecutive trading days, with institutional net selling of 645,100 yuan and a total net buying of 2.2704 million yuan from brokerage seats [1] - The company's Q3 report for 2024 shows total operating revenue of 4.6 million yuan, a year-on-year decrease of 32.72%, while net profit reached 1.5973 million yuan, a year-on-year increase of 104.83% [1] - The company announced a performance forecast on January 28, 2024, estimating a net loss between 94 million yuan and 115 million yuan, with a year-on-year change range of 4.26% to 21.74% [1]
贤丰控股股份有限公司 关于2024年年度报告编制及审计进展的公告
登录新浪财经APP 搜索【信披】查看更多考评等级 本公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有虚假记载、误导性陈述或重大遗 漏。 贤丰控股股份有限公司(以下简称"贤丰控股")根据《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南第1号一一业务办理》的相关规定,公司应当分别在年度报告预约披露日前二 十个交易日和十个交易日,披露年度报告编制及最新审计进展情况,相关情况如下: 二、2024年年度报告编制及审计进展 公司2023年度财务报告内部控制的有效性被兴华所出具了否定意见的内部控制审计报告,因2023年度公 司存在预收账款确认收入、虚增规模猪场业务收入情形,表明公司与收入、成本、费用相关的财务报告 内控制度存在重大缺陷。 截至本公告披露日,由于公司控股股东及其一致行动人仍处于股权被质押、冻结、法院裁定进入破产清 算程序的状态,公司控股股东及其一致行动人存在影响公司控制权的事项尚未消除。 截至本公告披露日,由于公司2024年度最终经审计的扣除后营业收入是否高于3亿元尚存重大不确定 性,公司股票存在因触及财务类强制退市条件被实施退市风险警示的情形尚未消除。 截至本公告披露日,公司 ...