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一季度营收48.82亿元 欧菲光经营现金流转正
Group 1 - The core viewpoint of the articles highlights O-Film's strategic focus on enhancing operational capabilities and profitability through a significant asset restructuring involving the acquisition of a stake in O-Film Microelectronics [1][2] - In Q1 2025, O-Film reported revenue of 4.882 billion yuan, a year-on-year increase of 5.07%, but faced a net loss attributable to shareholders of 58.9498 million yuan [1] - The company achieved a positive cash flow from operating activities of 375.494 million yuan, marking a substantial year-on-year growth of 111.43% [1] Group 2 - The restructuring aims to strengthen the synergy within the supply chain, focusing on the optical and optoelectronic sectors, with O-Film's main business including optical camera modules and smart automotive products [2] - O-Film Microelectronics, a key subsidiary, has demonstrated strong profitability with net profits of 238 million yuan and 280 million yuan for 2023 and 2024, respectively [1][2] - The acquisition is expected to enhance O-Film's control over O-Film Microelectronics, contributing positively to the company's overall strategic layout and profitability [2] Group 3 - O-Film plans to solidify its innovation foundation by increasing R&D investment and establishing a central research institute to foster technological breakthroughs [3] - The company aims to create a "think tank" of experts to enhance its core competitiveness and respond to industry trends and customer needs [3] - O-Film intends to leverage its vertical integration across the supply chain to provide comprehensive solutions that meet customer demands, thereby increasing customer loyalty [3]
欧菲光(002456) - 关于获得政府补助的公告
2025-04-24 13:56
证券代码:002456 证券简称:欧菲光 公告编号:2025-039 欧菲光集团股份有限公司 关于获得政府补助的公告 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。 一、获取补助的基本情况 第 1 页/共 2 页 当期损益。 公司本次收到的政府补助1,529.71万元属于与收益相关且直接计入当期损益 的政府补助,公司将收到的与收益相关的政府补助计入其他收益。 3、补助对上市公司的影响 欧菲光集团股份有限公司(以下简称"欧菲光"或"公司")控股子公司欧 菲微电子(南昌)有限公司(以下简称"欧菲微电子")近日收到政府补助人民 币1,529.71万元,占公司最近一期经审计归属于上市公司股东净利润的26.20%, 具体情况如下: | 序号 | 获得补助 | 补助金额 | 收到补助的 | 补助形 | 是否已经实 际收到相关 | 是否与日常 经营活动相 | 是否有可 | | --- | --- | --- | --- | --- | --- | --- | --- | | | 主体 | (万元) | 时间 | 式 | | | 持续性 | | | | | | | 款项或资产 ...
欧菲光(002456) - 监事会决议公告
2025-04-24 13:45
二、监事会会议审议情况 会议审议通过了如下议案: 1、审议通过了《2025 年第一季度报告》 经全体监事讨论,董事会编制和审议公司《2025年第一季度报告》的程序符合 法律、行政法规及中国证监会的规定,报告内容真实、准确、完整地反映了上市公 司的实际情况,不存在任何虚假记载、误导性陈述或者重大遗漏。 表决结果:3 票同意,0 票反对,0 票弃权。 证券代码:002456 证券简称:欧菲光 公告编号:2025-035 欧菲光集团股份有限公司 第六届监事会第五次会议决议公告 本公司及监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。 一、监事会会议召开情况 欧菲光集团股份有限公司(以下简称"公司")第六届监事会第五次会议通知于 2025 年 4 月 19 日以通讯方式向全体监事发出,会议于 2025 年 4 月 23 日上午 11:00 以现场与通讯相结合的方式召开并表决。本次会议应出席监事 3 名,实际出席监事 3 名。会议由监事会主席李赟先生主持,本次会议的召集、召开符合《中华人民共 和国公司法》(以下简称"公司法")和《公司章程》及《监事会议事规则》的有关 规定。 本议 ...
欧菲光(002456) - 监事会关于相关事项发表的意见
2025-04-24 13:45
监事会关于相关事项发表的意见 经审核,监事会认为董事会编制和审议公司《2025 年第一季度报告》的程序 符合法律、行政法规及中国证监会的规定,报告内容真实、准确、完整地反映了 上市公司的实际情况,不存在任何虚假记载、误导性陈述或者重大遗漏。 欧菲光集团股份有限公司 一、关于 2025 年第一季度报告发表的意见 监事:李赟 罗勇辉 孙雅杰 欧菲光集团股份有限公司监事会 2025 年 4 月 23 日 二、关于 2025 年第一季度计提资产减值准备及核销部分资产发表的意见 监事会认为,本次计提资产减值准备及核销部分资产事项符合《企业会计准 则》和公司相关会计政策的规定,更加客观、准确、公允地反映公司财务状况和 经营成果。本次计提资产减值准备及核销部分资产事项的决策程序合法合规,不 存在损害公司及股东利益的情形,同意公司计提资产减值准备及核销部分资产事 项。 ...
欧菲光(002456) - 董事会决议公告
2025-04-24 13:43
证券代码:002456 证券简称:欧菲光 公告编号:2025-034 欧菲光集团股份有限公司 第六届董事会第六次会议决议公告 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。 一、董事会会议召开情况 具体内容详见公司同日于巨潮资讯网(http://www.cninfo.com.cn/)和《证券时报》 《中国证券报》《上海证券报》《证券日报》披露的《2025 年第一季度报告》,公告编 号:2025-036。 2、审议通过了《关于 2025 年第一季度计提资产减值准备及核销部分资产的议 案》 欧菲光集团股份有限公司(以下简称"公司")第六届董事会第六次会议通知于 2025 年 4 月 19 日以通讯方式向全体董事发出,会议于 2025 年 4 月 23 日上午 10:30 以现场与通讯相结合的方式召开并表决。本次会议应出席董事 7 名,实际出席董事 7 名,公司全体监事及高级管理人员列席本次会议。会议由公司董事长蔡荣军先生 主持,本次会议的召集、召开符合《中华人民共和国公司法》(以下简称"公司法") 和《公司章程》的有关规定。 二、董事会会议审议情况 会议审议通过了 ...
欧菲光(002456) - 关于公司2023年第一期股票期权激励计划第二个行权期自主行权的提示性公告
2025-04-24 13:41
证券代码:002456 证券简称:欧菲光 公告编号:2025-038 欧菲光集团股份有限公司 关于公司 2023 年第一期股票期权激励计划第二个行 权期自主行权的提示性公告 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、欧菲光集团股份有限公司(以下简称"公司")2023 年第一期股票期权激 励计划(以下简称"本次激励计划")股票期权代码:037340,期权简称:欧菲 JLC3; 2、2023 年第一期股票期权激励计划符合本次行权条件的 88 名激励对象在 第二个行权期可行权的股票期权数量共计 1,982.00 万份,占目前公司总股本比例 为 0.60%,行权价格为 4.99 元/股; 3、本次行权采用自主行权模式; 4、本次股票期权行权期限自 2025 年 3 月 20 日起至 2026 年 3 月 19 日止, 根据可交易日及行权手续办理情况,本次实际可行权期限为 2025 年 4 月 25 日至 2026 年 3 月 19 日止; 5、本次可行权股票期权若全部行权,公司股份仍具备上市条件。 欧菲光集团股份有限公司于 2025 年 3 月 ...
欧菲光:控股子公司获得政府补助1529.71万元
news flash· 2025-04-24 12:22
欧菲光(002456)公告,公司控股子公司欧菲微电子近日收到政府补助人民币1529.71万元,占公司最 近一期经审计归属于上市公司股东净利润的26.20%。该补助为与收益相关的政府补助,已于2025年4月 23日实际收到,预计对公司2025年度经营业绩产生正面影响,预计影响金额为1529.71万元。 ...
欧菲光(002456) - 2025 Q1 - 季度财报
2025-04-24 12:20
Financial Performance - The company's revenue for Q1 2025 was approximately ¥4.88 billion, representing a 5.07% increase compared to ¥4.65 billion in the same period last year[4]. - The net profit attributable to shareholders was a loss of approximately ¥58.95 million, a significant decline of 470.51% from a profit of ¥15.91 million in the previous year[4]. - The basic earnings per share were reported at -¥0.0180, down 467.35% from ¥0.0049 in the same period last year[4]. - The company reported an operating loss of ¥61,951,649.47, a significant decline from an operating profit of ¥4,049,218.71 in the previous period[28]. - Net profit for the current period was a loss of ¥60,547,436.18, compared to a net profit of ¥3,651,018.21 in the prior period[29]. - The company's basic and diluted earnings per share were both reported at -0.0180, compared to 0.0049 in the previous period[29]. Cash Flow and Liquidity - The net cash flow from operating activities improved to approximately ¥37.55 million, a 111.43% increase from a negative cash flow of ¥328.62 million in the same period last year[4]. - Cash and cash equivalents increased significantly by 688.07% to approximately ¥807.52 million, primarily due to increased cash flow from financing activities[8]. - Operating cash flow for the current period was ¥37,549,434.97, a significant improvement from a negative cash flow of ¥328,615,035.48 in the previous period[30]. - Total cash inflow from operating activities reached ¥5,987,276,156.71, compared to ¥4,716,801,557.48 in the prior period, indicating a growth of approximately 27%[30]. - The net increase in cash and cash equivalents for the period was ¥807,522,889.15, compared to ¥102,468,712.90 in the prior period, indicating a substantial improvement[31]. - The ending balance of cash and cash equivalents was ¥1,497,430,866.34, significantly higher than ¥661,484,456.83 at the end of the previous period[31]. Assets and Liabilities - The total assets decreased by 3.73% to approximately ¥20.87 billion from ¥21.68 billion at the end of the previous year[4]. - The total liabilities decreased to ¥16,371,526,025.77 from ¥17,168,719,696.20, indicating a reduction of approximately 4.65%[26]. - The total equity decreased slightly to ¥4,502,604,878.53 from ¥4,513,490,091.77, a decrease of about 0.24%[26]. - Accounts receivable decreased to 6,076,521,188.97 CNY from 7,331,157,743.32 CNY, suggesting improved collection efficiency[24]. - Inventory levels decreased to 3,079,479,185.41 CNY from 3,393,893,312.66 CNY, indicating better inventory management[24]. Shareholder Information - Total number of common shareholders at the end of the reporting period is 634,588[10]. - The largest shareholder, Shenzhen O-Film Investment Holding Co., Ltd., holds 8.84% of shares, totaling 292,849,620 shares, with 203,587,361 shares pledged[10]. - The second largest shareholder, Yuga (China) Co., Ltd., holds 4.60% of shares, totaling 152,346,066 shares, with 84,144,410 shares pledged[10]. - The top 10 shareholders collectively hold significant stakes, with the first three shareholders accounting for 15.10% of total shares[10]. Stock Options and Incentives - The company has a stock option incentive plan, with 6,115,760 options canceled due to unmet performance targets for 2024[12]. - The first phase of the 2023 stock option incentive plan allows 102 participants to exercise a total of 1,893,000 options at a price of 4.99 RMB per share[15]. - The second phase of the 2023 stock option incentive plan permits 88 participants to exercise 1,982,000 options, also at 4.99 RMB per share[16]. - The company disclosed that 1,982,000 stock options will be exercised by 88 incentive targets, representing 0.60% of the total share capital, with an exercise price of 4.99 CNY per share[17]. Investment and Acquisitions - The company is planning to acquire 28.2461% equity in Oufeiyuan Electronics through a combination of issuing shares and cash, while also raising supporting funds[20]. - The company has agreed to extend the investment period for a subsidiary until May 31, 2026, allowing for continued investment in Oufeiyuan Electronics[21]. - The company plans to issue shares to no more than 35 specific investors to raise supporting funds for the acquisition[20]. - The company has decided not to proceed with the acquisition of 48.9281% equity in Jiangxi Jinghao due to unresolved pricing issues[20]. Other Financial Metrics - Research and development expenses were ¥240,241,229.77, down from ¥258,028,771.91, a decrease of approximately 6.89%[28]. - The company experienced a significant investment loss of ¥42,314,633.44, contrasting with a gain of ¥2,430,230.19 in the previous period[28]. - Other comprehensive income after tax was ¥72,742.85, compared to a loss of ¥995,774.58 in the prior period, indicating a recovery in this area[29]. - Cash paid to employees was ¥576,502,601.96, an increase from ¥554,340,348.41, reflecting a rise of about 4%[30].
欧菲光(002456) - 关于对外担保事项的进展公告
2025-04-22 09:01
证券代码:002456 证券简称:欧菲光 公告编号:2025-033 欧菲光集团股份有限公司 关于对外担保事项的进展公告 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。 特别风险提示: 上市公司及控股子公司对外担保总额已超过最近一期经审计净资产的100%。 本次被担保对象中合肥欧菲光电科技有限公司(以下简称"合肥光电")截至2024 年12月31日的资产负债率为94.34%。敬请投资者注意相关风险。 一、担保情况概述 1、欧菲光集团股份有限公司(以下简称"欧菲光"或"公司")分别于2025 年2月24日、2025年3月14日召开第六届董事会第三次(临时)会议、2025年第一 次临时股东大会,审议通过了《关于2025年度为合并报表范围内公司提供担保额 度预计的议案》,同意公司及合并报表范围内子公司为合并报表范围内子公司及 公司提供担保,预计总担保额度为不超过人民币724,000万元(或等值外币),其 中为资产负债率低于70%的公司提供担保的额度不超过人民币154,000万元(或等 值外币),为资产负债率70%以上的公司提供担保的额度不超过人民币570,000万 ...
太平洋电子日报:2025中国固态电池技术与应用交流大会召开在即
Xin Lang Cai Jing· 2025-04-18 12:24
泰凌微:《2024 年报》报告期内,公司实现营业收入84,403.30 万元,同比增长32.69%;营业利润 9,323.91 万元,同比增长89.07%;利润总额9,229.12 万元,同比增长83.82%;归属于母公司所有者的净 利润9,741.03万元,同比增长95.71%;归属于母公司所有者的扣除非经常性损益的净利润9,083.34 万 元,同比增长296.55%。 今日市场行情速览:上证指数(+0.13%);深证综指(+0.08%);创业板综(+0.09%);科创50 (+0.23%);沪深300(-0.02%)今日SW 电子板块行情:品牌消费电子(-0.47%);被动元件 (-0.04%);电子化学品Ⅲ(+1.66%);面板(+0.27%);光学元件(-0.53%);LED(-0.01%);半 导体材料(-0.16%);分立器件(+0.04%);集成电路封测(-0.57%);模拟芯片设计(+3.37%); 消费电子零部件及组装(-0.47%);其他电子Ⅲ(+1.12%);半导体设备(-0.82%);数字芯片设计 (+1.09%);印制电路板(+0.29%) 个股涨幅TOP3:芯朋微(+12.96% ...