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新华都:2025年前三季度净利润约1.78亿元
Mei Ri Jing Ji Xin Wen· 2025-10-24 08:32
Group 1 - Xinhua Du reported a revenue of approximately 2.446 billion yuan for the first three quarters of 2025, a year-on-year decrease of 11.84% [1] - The net profit attributable to shareholders was about 178 million yuan, reflecting a year-on-year decline of 6.51% [1] - Basic earnings per share were 0.26 yuan, down 3.7% compared to the previous year [1] Group 2 - As of the report date, Xinhua Du's market capitalization stood at 5 billion yuan [2] - The Chinese innovative drug sector has seen overseas licensing sales reach 80 billion US dollars this year [2] - There is a contrast in the biopharmaceutical secondary market's activity compared to the primary market, which is experiencing a fundraising slowdown [2]
新华都:第三季度净利润为3077.84万元,同比下降31.43%
Xin Lang Cai Jing· 2025-10-24 08:19
Core Viewpoint - The company reported a decline in both revenue and net profit for the third quarter and the first three quarters of the year, indicating ongoing financial challenges [1] Financial Performance - Third quarter revenue was 588 million, a year-on-year decrease of 14.46% [1] - Third quarter net profit was 30.78 million, a year-on-year decrease of 31.43% [1] - Revenue for the first three quarters was 2.446 billion, a year-on-year decrease of 11.84% [1] - Net profit for the first three quarters was 178 million, a year-on-year decrease of 6.51% [1]
新 华 都(002264) - 关于“领航员计划(三期)”员工持股计划提前终止的公告
2025-10-24 08:15
证券代码:002264 证券简称:新华都 公告编号:2025-076 新华都科技股份有限公司 关于"领航员计划(三期)"员工持股计划提前终止的公告 董 事 会 本次员工持股计划于 2023 年 11 月 16 日至 2025 年 9 月 19 日期间,通过集 中竞价方式累计减持公司股票 2,028,400 股,占公司最新总股本 719,811,300 股 的 0.28% 。 具 体 内 容 详 见 公 司 2025 年 9 月 23 日 在 巨 潮 资 讯 网 (http://www.cninfo.com.cn)披露的《关于"领航员计划(三期)"员工持股 计划减持完毕的公告》(公告编号:2025-072)。 二、本次员工持股计划提前终止情况 根据《公司"领航员计划(三期)"员工持股计划(草案)》规定:"员工持 股计划的锁定期届满后,当员工持股计划所持资产均为货币性资产,或将股票过 户至本计划持有人名下后,员工持股计划可提前终止"。 截至 2025 年 9 月 19 日,本次员工持股计划所持公司股票已全部减持完毕, 所持资产均为货币性资产。经本次员工持股计划持有人会议以及公司第六届董事 会第二十五次(临时)会议 ...
新 华 都(002264) - 第六届董事会第二十五次(临时)会议决议公告
2025-10-24 08:15
证券代码:002264 证券简称:新华都 公告编号:2025-074 新华都科技股份有限公司 (二)以 6 票同意、0 票反对、0 票弃权表决通过了《关于"领航员计划(三 期)"员工持股计划提前终止的议案》。 根据《公司"领航员计划(三期)"员工持股计划(草案)》规定:"员工 第六届董事会第二十五次(临时)会议决议公告 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。 新华都科技股份有限公司(以下简称"公司")第六届董事会第二十五次(临 时)会议于 2025 年 10 月 24 日 10:00 在福州市鼓楼区五四路 162 号新华都大厦 北楼 7 层以现场加通讯表决方式召开,会议通知已于 2025 年 10 月 19 日以书面 及电子邮件等方式送达。本次会议应出席董事 6 人,实际出席董事 6 人,公司高 级管理人员列席了本次会议,会议由董事长倪国涛先生主持。本次会议的召集、 召开符合《中华人民共和国公司法》、《深圳证券交易所股票上市规则》、《新 华都科技股份有限公司章程》及《新华都科技股份有限公司董事会议事规则》等 有关规定。 一、董事会会议审议情况 经与会董 ...
新华都(002264) - 2025 Q3 - 季度财报
2025-10-24 08:15
Financial Performance - The company's operating revenue for Q3 2025 was ¥587.76 million, a decrease of 14.46% compared to ¥687.10 million in the same period last year[5]. - Net profit attributable to shareholders was ¥30.78 million, down 31.43% from ¥44.88 million year-on-year[5]. - Basic earnings per share decreased by 42.86% to ¥0.04 from ¥0.07 in the previous year[5]. - Total operating revenue decreased to ¥2,446,197,441.07 from ¥2,774,834,398.79, representing a decline of approximately 11.8%[25]. - Net profit for the period was ¥179,576,834.30, down from ¥190,224,111.30, indicating a decrease of approximately 5.4%[25]. - Earnings per share (basic and diluted) remained stable at ¥0.26 compared to ¥0.27 in the previous period[26]. Assets and Liabilities - The total assets at the end of the reporting period were ¥3.45 billion, a decrease of 3.67% compared to the previous year[5]. - Total current assets decreased from RMB 3,303,971,599.60 to RMB 3,181,784,992.81[21]. - Total liabilities decreased to ¥1,449,173,647.30 from ¥1,716,412,079.51, reflecting a reduction of approximately 15.6%[22]. - Total equity increased to ¥2,005,039,125.09 from ¥1,869,460,412.87, an increase of about 7.2%[22]. - The company reported a credit impairment loss of ¥9,113,542.92, compared to a gain of ¥6,293,274.59 in the previous period[25]. Cash Flow - The company's net cash flow from operating activities was ¥541.29 million, a significant increase of 20,304.85% compared to ¥2.65 million in the same period last year[5]. - Net cash flow from operating activities increased by RMB 539 million year-on-year, primarily due to increased net inflow from sales of goods[14]. - Cash flow from operating activities was ¥2,785,632,560.31, slightly down from ¥2,845,552,483.13, a decrease of about 2.1%[27]. - The company’s cash flow from operating activities indicates a stable revenue generation despite the decline in total operating revenue[27]. - Cash inflow from operating activities totaled $4,417,076,953.20, compared to $3,965,085,796.07 in the prior year[28]. - Cash outflow from operating activities was $3,875,785,631.06, slightly down from $3,962,433,037.40 year-over-year[28]. Shareholder Information - Total number of ordinary shareholders at the end of the reporting period was 40,459, with no preferred shareholders[16]. - The largest shareholder, Xinhua Du Industrial Group Co., Ltd., holds 17.59% of shares, totaling 126,607,339 shares[16]. - The mid-term profit distribution plan for 2025 proposes a cash dividend of RMB 1.00 per 10 shares (including tax) to all shareholders[19]. Reserves and Expenses - The company plans to use surplus reserves and capital reserves totaling ¥542.81 million to offset accumulated losses[5]. - Research and development expenses increased to ¥9,662,954.89 from ¥7,828,785.47, representing a rise of approximately 23.5%[25]. - Payments to employees totaled $114,731,571.08, down from $135,238,450.56 year-over-year[28]. Borrowings and Financing - The company reported a decrease in short-term borrowings by 68.03% compared to the beginning of the year[12]. - Net cash flow from financing activities decreased by RMB 173 million year-on-year, mainly due to loan repayments and mid-term cash dividends[14]. - The net cash flow from financing activities was -$224,157,148.41, a decrease from -$50,865,187.66 year-over-year[29].
赛马概念涨1.40% 主力资金净流入这些股
Zheng Quan Shi Bao Wang· 2025-10-22 09:31
Group 1 - The horse racing concept sector increased by 1.40%, ranking 6th among concept sectors in terms of growth, with three stocks rising, including Zhujiang Piano and *ST Zhengping, which both hit the daily limit [1] - The main inflow of funds into the horse racing concept sector was 0.20 billion yuan, with Zhujiang Piano receiving the highest net inflow of 69.95 million yuan, followed by *ST Zhengping and Zhongmu Co., Ltd. [2][3] - The net inflow ratios for Zhujiang Piano, *ST Zhengping, and Zhongmu Co., Ltd. were 32.38%, 16.33%, and 1.25%, respectively [3] Group 2 - The top-performing concept sectors today included combustible ice with a 4.06% increase and shale gas with a 2.29% increase, while sectors like Hainan Free Trade Zone and graphite electrodes saw declines of 2.61% and 2.34%, respectively [2] - The trading volume and turnover rates for the leading stocks in the horse racing concept sector were notable, with Zhujiang Piano showing a turnover rate of 2.88% and *ST Zhengping at 1.25% [3]
广告营销板块10月22日涨0.1%,佳云科技领涨,主力资金净流出1450.06万元
Zheng Xing Xing Ye Ri Bao· 2025-10-22 08:26
Core Insights - The advertising and marketing sector experienced a slight increase of 0.1% on October 22, with Jiayun Technology leading the gains [1] - The Shanghai Composite Index closed at 3913.76, down 0.07%, while the Shenzhen Component Index closed at 12996.61, down 0.62% [1] Stock Performance - Jiayun Technology (300242) closed at 4.38, up 3.55% with a trading volume of 309,600 shares and a turnover of 134 million yuan [1] - Other notable gainers included Zhejiang Wenlian (600986) with a 2.58% increase, and ST Huayang (603825) with a 2.07% increase [1] - Conversely, stocks like Inertia Media (603598) and Yidian Tianxia (301171) saw declines of 2.17% and 1.87% respectively [2] Capital Flow - The advertising and marketing sector saw a net outflow of 14.5 million yuan from institutional investors and 12.97 million yuan from speculative funds, while retail investors contributed a net inflow of 27.47 million yuan [2] - The capital flow data indicates that major stocks like Zhejiang Wenlian and Fenzhong Media experienced significant net outflows from institutional and speculative investors [3]
广告营销板块10月21日涨0.46%,引力传媒领涨,主力资金净流入8688.19万元
Zheng Xing Xing Ye Ri Bao· 2025-10-21 08:29
Core Insights - The advertising and marketing sector saw a rise of 0.46% on October 21, with Inry Media leading the gains [1] - The Shanghai Composite Index closed at 3916.33, up 1.36%, while the Shenzhen Component Index closed at 13077.32, up 2.06% [1] Group 1: Stock Performance - Inry Media (603598) closed at 16.59, with a gain of 4.54% and a trading volume of 126,300 shares, amounting to a transaction value of 209 million yuan [1] - Other notable performers included: - Electric Sound Co. (300805) at 11.29, up 3.01% [1] - Yaowang Technology (002291) at 6.95, up 2.51% [1] - Simay Media (002712) at 5.45, up 2.44% [1] - Shenguang Group (002400) at 7.95, up 2.19% [1] Group 2: Capital Flow - The advertising and marketing sector experienced a net inflow of 86.88 million yuan from institutional investors, while retail investors saw a net outflow of 21.03 million yuan [2] - The main stocks with significant capital flow included: - Flag Technology (300061) with a net outflow of 15.2 million yuan [2] - Fenjun Media (002027) with a net outflow of 72.8 million yuan [2] - Tianxia Show (600556) with a net outflow of 59.5 million yuan [2]
新 华 都(002264) - 关于为下属公司提供担保的进展公告
2025-10-20 08:15
证券代码:002264 证券简称:新华都 公告编号:2025-073 新华都科技股份有限公司 关于为下属公司提供担保的进展公告 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。 特别提示: 经股东会审议通过的关于本公司为下属公司提供担保敞口总金额超过最近 一期经审计净资产 100%、为资产负债率超过 70%的全资子公司担保、担保金额超 过公司最近一期经审计净资产 50%,请投资者关注担保风险。 一、担保情况概述 新华都科技股份有限公司(以下简称"公司")分别于 2025 年 3 月 3 日召 开第六届董事会第十八次(临时)会议、第六届监事会第十六次(临时)会议, 和 2025 年 3 月 19 日召开 2025 年第二次临时股东会,审议通过了《关于拟为下 属公司提供担保的议案》,同意公司作为保证人对下属公司向金融机构申请综合 授信业务追加担保,为最近一期资产负债率 70%以上(含本数)的下属公司提供 担保敞口金额不超过人民币 11.50 亿元。 股东会授权公司董事长或董事长的授权人在担保敞口金额范围和有效期内 全权负责办理担保事宜,具体负责与金融机构签署担保合同 ...
新华都为子公司2.5亿授信提供担保,累计担保敞口24.7亿
Xin Lang Cai Jing· 2025-10-20 08:11
Core Viewpoint - Xinhua Dushi Technology Co., Ltd. has signed a comprehensive credit agreement with Everbright Bank Xiamen Branch, with a maximum guarantee contract amounting to 250 million yuan, indicating a strategic move to support its subsidiary, Tibet Julong [1] Group 1: Company Guarantees - The total amount of guarantees provided by the company for its subsidiaries has reached 2.47 billion yuan, reflecting a significant commitment to support its operations [1] - Prior to this agreement, the company's guarantee balance for Tibet Julong was 910 million yuan, which will increase to 1.16 billion yuan after this agreement, leaving a remaining available quota of 300 million yuan [1] - As of the announcement date, the total external guarantees by the company and its subsidiaries amount to 1.45 billion yuan, which represents 71.92% of the latest audited net assets, all of which are guarantees for consolidated reporting units with no overdue guarantees [1] Group 2: Risk Management - The board of directors has stated that the risks associated with these guarantees are controllable and do not harm the interests of shareholders [1]