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三力士(002224) - 2024 Q2 - 季度财报
2024-08-29 11:35
Financial Performance - The company's operating revenue for the first half of 2024 was ¥347,337,009.69, a decrease of 13.54% compared to the same period last year[11]. - The net profit attributable to shareholders was ¥11,464,265.47, reflecting a significant decline of 78.01% year-over-year[11]. - The net profit after deducting non-recurring gains and losses was ¥21,634,317.46, down 55.98% from the previous year[11]. - The net cash flow from operating activities was ¥17,904,349.51, a decrease of 88.69% compared to the same period last year[11]. - Basic earnings per share were ¥0.01, down 85.71% from ¥0.07 in the same period last year[11]. - The diluted earnings per share also stood at ¥0.01, reflecting the same percentage decrease as basic earnings[11]. - The weighted average return on equity was 0.37%, down from 2.16% in the previous year[11]. - The gross profit margin for rubber V belts was 24.82%, showing an increase of 0.81% from the previous year[28]. - The company reported a significant increase in financing cash flow, reaching ¥491,143,056.29, compared to a negative cash flow of ¥32,057,086.45 in the same period last year, marking a 1,632.09% increase[26]. - The company reported a non-recurring loss of ¥10,170,051.99, primarily due to fair value changes of financial assets and liabilities, and other operating income and expenses[14]. Assets and Liabilities - The total assets at the end of the reporting period were ¥3,659,056,594.28, an increase of 16.31% from the end of the previous year[11]. - The total liabilities decreased to CNY 300,773,691.43 from CNY 456,928,701.06, indicating a reduction of 34.2%[120]. - The company's total equity increased to CNY 3,209,468,774.00 from CNY 2,519,146,090.73, representing a growth of approximately 27.4%[117]. - Cash and cash equivalents at the end of the reporting period amounted to ¥1,173,317,103.03, representing 32.07% of total assets, an increase of 3.66% from the previous year[31]. - Accounts receivable stood at ¥107,983,770.17, accounting for 2.95% of total assets, showing a slight decrease of 0.02% compared to the previous year[31]. - Inventory increased to ¥255,152,104.62, which is 6.97% of total assets, reflecting an increase of 0.93% year-over-year[31]. - Short-term borrowings increased to ¥54,208,004.78, representing 1.48% of total assets, up by 0.73% from the previous year[31]. - The company's fixed assets decreased to ¥570,941,257.14, which is 15.60% of total assets, down by 2.75% from the previous year[31]. Research and Development - The company invested ¥14,220,971.52 in research and development, a decrease of 5.46% from ¥15,042,578.97 in the previous year[26]. - The company is committed to continuous R&D in new technologies and products, aiming to enhance production efficiency and reduce costs[19]. - The company has established a provincial-level high-tech R&D center and has developed 9 standards, including 7 national standards, demonstrating its strong technical capabilities[22]. - The company holds 23 invention patents, 71 utility model patents, and 8 foreign patents as of June 30, 2024[23]. Market Position and Strategy - The company maintains a leading position in the domestic rubber V-belt market, holding a market share of over 80% in the rubber V-belt production[18]. - The company has over 2,000 primary and secondary distributors across the country, ensuring a comprehensive sales network[17]. - The company aims to enhance its brand competitiveness and market recognition through strategic partnerships and technological innovation[21]. - The company is focusing on automation and intelligent manufacturing to improve production efficiency and product quality[19]. - The company has a global export business covering 53 countries across 6 continents, indicating strong international market presence[17]. Financial Management and Investments - The company made a significant equity investment of ¥12,600,000.00 in West Lake Interactive Machine Technology (Hangzhou) Co., Ltd., acquiring a 7% stake[37]. - The ongoing project for an annual production of 500 million A-meter rubber transmission belts has seen an investment of ¥196,083,016.85, with a cumulative actual investment of ¥961,028,306.86[39]. - Total investments during the reporting period reached ¥211,483,016.85, a significant increase of 50.75% compared to ¥140,284,845.48 in the same period last year[36]. - The company plans to replace pre-invested self-raised funds of RMB 53,368.31 million with raised funds for investment projects[45]. Corporate Governance and Compliance - The company has been recognized as a key high-tech enterprise under the National Torch Program, highlighting its innovation and quality[18]. - The company has established a charity fund, distributing over CNY 400,000 to assist employees in need[62]. - There were no significant environmental penalties or violations reported during the reporting period[60]. - The company is committed to complying with various environmental protection laws and regulations relevant to its industry[60]. - The company has established an emergency response plan for environmental incidents to minimize pollution impact[61]. Shareholder Information - A total of 18 employees, including directors and core personnel, hold 17,593,335 shares under the employee stock ownership plan, accounting for 1.95% of the company's total equity[57]. - The company issued a total of 172,209,026 new shares, increasing the total shares to 268,034,606, representing 29.71% of the total[84]. - The largest shareholder, Jin Yuzhong, holds 13.47% of the shares, totaling 121,552,000 shares, while the second-largest shareholder, Wu Qiongying, holds 10.76% with 97,075,940 shares[90]. - The company has a total of 45,223 shareholders at the end of the reporting period[90]. Risk Factors - The company faces risks from global geopolitical conflicts and economic instability, which may adversely affect its operating performance[52]. - The company is a leader in the domestic mid-to-high-end V-belt market, facing risks from domestic competitors upgrading technology and reducing costs[53]. Accounting Policies - The financial statements have been prepared in accordance with the accounting standards issued by the Ministry of Finance[143]. - The company confirms that there are no significant doubts regarding its ability to continue as a going concern for the next 12 months[144]. - Revenue is recognized when control of goods or services is transferred to the customer, with specific criteria for determining control[199].
三力士(002224) - 2024 Q2 - 季度业绩预告
2024-07-12 12:37
Financial Performance - The company expects a net profit attributable to shareholders in the range of 2.73 million to 19.09 million yuan for the first half of 2024, representing a decrease of 95% to 65% compared to the same period last year[12]. - The net profit after deducting non-recurring gains and losses is projected to be between 15.46 million and 30.93 million yuan, reflecting a decline of 70% to 40% year-on-year[12]. - Basic earnings per share are anticipated to be between 0.0212 yuan and 0.0030 yuan, compared to 0.07 yuan per share in the previous year[12]. Market Conditions - The company faced intensified market competition, leading to a year-on-year decline in operating revenue and an increase in sales expenses[12]. - The company reported a decrease in foreign exchange gains from its dollar cash deposits compared to the same period last year[12]. - The fair value of the investment in CITIC Securities shares decreased during the reporting period, impacting the company's net profit[12].
三力士:三力士股份有限公司关于2023年度权益分派实施的公告
2024-06-12 12:22
证券代码:002224 证券简称:三力士 公告编号:2024-056 三力士股份有限公司 关于 2023 年度权益分派实施的公告 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。 三力士股份有限公司(以下简称"公司")2023 年度权益分派方案已获得 2024 年 5 月 23 日召开的 2023 年度股东大会审议通过,现将权益分派事宜公告 如下: 一、股东大会审议通过的权益分派方案情况 1、公司于 2024 年 5 月 23 日召开的 2023 年度股东大会审议通过了《2023 年度利润分配预案》,本次实施的权益分派方案为:以 2023 年权益分派实施时 股权登记日的总股本为基数,每 10 股分配现金红利 0.30 元,剩余未分配利润结 转下年度;除上述分红外,本次分配公司不送红股,不实施资本公积金转增股本。 三、股权登记日与除权除息日 本次权益分派股权登记日为:2024 年 6 月 18 日,除权除息日为:2024 年 6 月 19 日。 四、权益分派对象 本次分派对象为:截止 2024 年 6 月 18 日下午深圳证券交易所收市后,在中 国证券登记结算有限 ...
三力士:关于三力转债到期兑付结果及股本变动的公告
2024-06-11 11:51
三力士股份有限公司 | 证券代码:002224 | 证券简称:三力士 | 公告编号:2024-055 | | --- | --- | --- | | 债券代码:128039 | 债券简称:三力转债 | | 关于"三力转债"到期兑付结果及股本变动的公告 一、"三力转债"基本情况 经中国证券监督管理委员会"证监许可[2018]285号"文核准,三力士股份有限 公司(以下简称"三力士")于2018年6月8日公开发行了620万张可转换公司债券, 每张面值100元,发行总额62,000万元。 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、误导性陈述或者重大遗漏。 特别提示: 1、"三力转债"到期兑付数量:2,007,006张 经深圳证券交易所(以下简称"深交所")"深证上[2018]293号"文同意,公司 62,000万元可转换公司债券于2018年6月29日起在深交所挂牌交易,债券简称"三 力转债",债券代码"128039"。 2、"三力转债"到期兑付总金额:212,742,636元(含最后一期利息,含税) 3、"三力转债"兑付资金发放日:2024年6月11日(星期二) "三力转债"自202 ...
三力士:关于三力转债即将到期及停止交易的第五次提示性公告
2024-06-04 03:58
| 证券代码:002224 | 证券简称:三力士 | 公告编号:2024-053 | | --- | --- | --- | | 债券代码:128039 | 债券简称:三力转债 | | 三力士股份有限公司 关于"三力转债"即将到期及停止交易的第五次提示性公告 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、误导性陈述或者重大遗漏。 特别提示: 1、"三力转债"到期日和兑付登记日:2024年6月7日 根据公司《可转债募集说明书》的规定:在本次发行的可转换公司债券期 满后5个交易日内,公司将以本次可转债票面面值上浮6%(含最后一期利息) 的价格向投资者赎回全部未转股的可转债。即"三力转债"到期合计兑付价格 为106元/张(含最后一期利息,含税)。 二、可转债停止交易日 2、"三力转债"兑付价格:106元/张(含最后一期利息,含税) 3、"三力转债"停止交易日:2024年6月5日 4、"三力转债"最后转股日:2024年6月7日 5、根据安排,截至2024年6月7日收市后仍未转股的"三力转债"将被强制 赎回;本次赎回完成后,"三力转债"将在深圳证券交易所摘牌。特提醒"三 力转债"的持有人注意 ...
三力士:三力士股份有限公司更正公告
2024-06-04 03:58
| 证券代码:002224 | 证券简称:三力士 | 公告编号:2024-054 | | --- | --- | --- | | 债券代码:128039 | 债券简称:三力转债 | | 三力士股份有限公司 更正公告 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。 三力士股份有限公司于 2024 年 6 月 1 日在巨潮资讯网(www.cninfo.com.cn) 披露了《关于"三力转债"到期兑付及摘牌的公告》(公告编号:2024-052)。由 于工作人员疏忽, 致使公告中涉及的"三力转债"最后交易日当日的可转债简称 出现错误,现予以更正。具体如下: 更正前: 2024 年 6 月 4 日为"三力转债"最后交易日,当日可转债简称为"Z 力转 债"。 自 2024 年 6 月 5 日起,"三力转债"将停止交易。 更正后: 2024 年 6 月 4 日为"三力转债"最后交易日,当日可转债简称为"Z 三转 债"。 自 2024 年 6 月 5 日起,"三力转债"将停止交易。 特此公告。 三力士股份有限公司董事会 二〇二四年六月四日 ...
三力士:关于三力转债到期兑付及摘牌的公告
2024-05-31 14:32
| 证券代码:002224 | 证券简称:三力士 | 公告编号:2024-052 | | --- | --- | --- | | 债券代码:128039 | 债券简称:三力转债 | | 三力士股份有限公司 关于"三力转债"到期兑付及摘牌的公告 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、误导性陈述或者重大遗漏。 特别提示: 1、"三力转债"到期日和兑付登记日:2024年6月7日(星期五) 2、"三力转债"到期兑付价格:106元/张(含最后一期利息,含税) 3、"三力转债"到期兑付资金发放日:2024年6月11日(星期二) 4、"三力转债"摘牌日:2024年6月11日(星期二) 5、"三力转债"最后交易日:2024年6月4日(星期二) 6、"三力转债"最后转股日:2024年6月7日(星期五) 自2024年6月5日至2024年6月7日,"三力转债"持有人仍可以依据约定的条 件将"三力转债"转换为公司股票。 经中国证券监督管理委员会"证监许可[2018]285号"文核准,三力士股份有限 公司(以下简称"三力士")于2018年6月8日公开发行了620万张可转换公司债券, 每张面值100元 ...
三力士:关于使用募集资金置换预先投入募投项目及已支付发行费用的自筹资金的公告
2024-05-31 10:02
| 证券代码:002224 | 证券简称:三力士 | 公告编号:2024-051 | | --- | --- | --- | | 债券代码:128039 | 债券简称:三力转债 | | 三力士股份有限公司 关于使用募集资金置换预先投入募投项目及已支付发行费用的 自筹资金的公告 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。 三力士股份有限公司(以下简称"公司")于 2024 年 5 月 31 日召开了第八 届董事会第三次会议和第八届监事会第三次会议,审议通过了《关于使用募集资 金置换预先投入募投项目及已支付发行费用的自筹资金的议案》,同意公司使用 募集资金置换预先投入募集资金投资项目(以下简称"募投项目")的自筹资金 人民币 53,368.31 万元及已支付发行费用的自筹资金人民币 196.81 万元,共计人 民币 53,565.12 万元。现将具体情况公告如下: 经中国证券监督管理委员会《关于同意三力士股份有限公司向特定对象发行 股票注册的批复》(证监许可〔2023〕1456 号)同意,公司向特定对象发行人民 币普通股(A 股)172,209,026 股,发 ...
三力士:第八届董事会第三次会议决议公告
2024-05-31 09:56
| 证券代码:002224 | 证券简称:三力士 | 公告编号:2024-049 | | --- | --- | --- | | 债券代码:128039 | 债券简称:三力转债 | | 三力士股份有限公司 第八届董事会第三次会议决议公告 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。 与会董事经认真审议,通过了如下议案: 1. 审议通过了《关于使用募集资金置换预先投入募投项目及已支付发行费 用的自筹资金的议案》 全体董事一致同意使用募集资金置换预先投入募投项目的自筹资金人民币 53,368.31 万元,置换已支付发行费用的自筹资金人民币 196.81 万元。 一、董事会会议召开情况 1.三力士股份有限公司(以下简称"公司")第八届董事会第三次会议通知于 2024 年 5 月 24 日以电话、电子邮件、书面文件等方式发出。 2.会议于 2024 年 5 月 31 日 15:00 在公司会议室以现场结合通讯方式召开。 3.会议应出席董事 7 人,实际出席董事 7 人。 4.会议由公司董事长吴琼瑛女士主持,公司监事及高级管理人员列席了会议。 5.本次董事会会议的召开 ...
三力士:浙商证券股份有限公司关于三力士股份有限公司以募集资金置换预先投入募投项目及已支付发行费用的自筹资金的核查意见
2024-05-31 09:56
浙商证券股份有限公司 关于三力士股份有限公司 以募集资金置换预先投入募投项目及已支付发行费 用的自筹资金的核查意见 浙商证券股份有限公司(以下简称"浙商证券"、"保荐机构")作为三力 士股份有限公司(以下简称"三力士"、"公司")向特定对象发行股票(以下 简称"本次发行")的保荐机构,根据《证券发行上市保荐业务管理办法》《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》等相关法律、法规和规范性文件的规定,对公司本次 以募集资金置换预先投入募投项目及已支付发行费用的自筹资金的事项进行了 核查,具体核查情况如下: 一、募集资金基本情况 根据中国证券监督管理委员会《关于同意三力士股份有限公司向特定对象发 行股票注册的批复》(证监许可〔2023〕1456 号),公司向特定对象发行人民币 普通股股票 172,209,026 股,发行价格为 4.21 元/股,募集资金总额为人民币 724,999,999.46 元,扣除各项发行费用人民币 21,617,311.56 元(不含税)后,实 际募集资金净额为人民币 703,382,687.90 元。上述募集资金到位情况已经 ...