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地铁设计:关于职工代表董事、职工代表监事换届选举的公告
2024-10-30 11:21
证券代码:003013 证券简称:地铁设计 公告编号:2024-070 广州地铁设计研究院股份有限公司 关于职工代表董事、职工代表监事换届选举的公告 广州地铁设计研究院股份有限公司(以下简称"公司")第二届董事会、第 二届监事会任期已届满,根据《公司法》《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》(以下简称"《规范运作》")等法律法规、 规范性文件以及《公司章程》的有关规定,公司按照相关程序进行董事会、监事 会换届选举。 根据《公司章程》的规定,公司董事会由 9 名董事组成,其中非独立董事 6 名(含 1 名职工董事),独立董事 3 名,每届任期三年。公司监事会由 5 名监事 组成,其中股东代表监事 3 名,职工代表监事 2 名。 为顺利推进公司第三届董事会、第三届监事会换届相关工作,公司近日召开 职工代表大会,选举廖景先生为公司第三届董事会职工代表董事,与公司 2024 年第四次临时股东大会选举产生的 8 名董事共同组成公司第三届董事会,任期自 公司 2024 年第四次临时股东大会审议通过之日起三年;选举罗天先生、张淙先 生为公司第三届监事会职工代表监事,与公司 2024 年第 ...
地铁设计:Q3业绩同比高速增长,经营性现金流明显改善
Guotou Securities· 2024-10-29 05:23
Investment Rating - The investment rating for the company is "Buy - A" with a target price of 18.9 CNY, maintaining the rating [4][8]. Core Views - The company has shown strong performance in Q3 2024, with revenue reaching 6.66 billion CNY, a year-on-year increase of 6.14%, and net profit of 0.89 billion CNY, up 23.70% year-on-year [1][2]. - The company is recognized as a leading urban rail transit design firm in A-shares, with high business barriers and competitive advantages, demonstrating strong operational resilience [4][8]. - The company is expected to achieve revenue growth of 10.8%, 9.6%, and 8.7% for the years 2024, 2025, and 2026, respectively, with net profit growth of 11.9%, 10.8%, and 10.1% [4][9]. Summary by Sections Financial Performance - For the first three quarters of 2024, the company achieved a revenue of 19.17 billion CNY, a year-on-year increase of 3.05%, and a net profit of 2.96 billion CNY, up 3.61% year-on-year [1][2]. - The gross margin for Q3 2024 improved significantly by 4.72 percentage points to 35.29%, contributing to the high growth in net profit [3]. - The operating cash flow for Q3 2024 turned positive at 0.67 billion CNY, indicating improved cash collection [3]. Earnings Forecast - The company is projected to generate revenues of 28.5 billion CNY, 31.3 billion CNY, and 34.0 billion CNY for 2024, 2025, and 2026, respectively [4][9]. - The expected net profits for the same years are 4.83 billion CNY, 5.35 billion CNY, and 5.89 billion CNY, reflecting a strong growth trajectory [4][9]. Valuation Metrics - The company is valued at a PE ratio of 13.1 times for 2024, with a corresponding target price of 18.9 CNY [4][8]. - The projected net profit margin for 2024 is 17.0%, with a return on equity (ROE) of 18.3% [9].
地铁设计:公司信息更新报告:营收利润保持增长,三季度业绩超预期
KAIYUAN SECURITIES· 2024-10-29 03:00
建筑装饰/工程咨询服务Ⅱ 公 司 研 究 地铁设计(003013.SZ) 2024 年 10 月 28 日 营收利润保持增长,三季度业绩超预期 ——公司信息更新报告 投资评级:买入(维持) | --- | --- | --- | |---------------------------|---------------------------|---------------------------| | | | | | 齐东(分析师) | 胡耀文(分析师) | 杜致远(联系人) | | qidong@kysec.cn | huyaowen@kysec.cn | duzhiyuan@kysec.cn | | 证书编号: S0790522010002 | 证书编号: S0790524070001 | 证书编号: S0790124070064 | 营收利润保持增长,三季度业绩超预期,维持"买入"评级 地铁设计发布 2024 年三季报,公司营收利润保持增长,三季度归母净利润同比 +23.7%,业绩表现优秀。公司背靠大股东广州地铁,多领域拥有丰富资质,技 术优势行业领先,把握轨交设计咨询核心业务发展。我们维持盈利预测,预 ...
地铁设计(003013) - 2024 Q3 - 季度财报
2024-10-28 08:08
Revenue and Profit Growth - Revenue for the third quarter was RMB 665.58 million, a 6.14% increase year-over-year[2] - Net profit attributable to shareholders was RMB 89.42 million, up 23.70% year-over-year[2] - Total operating income reached 1,916,575,850.73 RMB, up from 1,859,809,516.66 RMB, demonstrating revenue growth[14] - Net profit attributable to the parent company rose to 718,051,838.17 RMB from 701,167,200.55 RMB, showing improved profitability[14] - Net profit attributable to parent company shareholders was RMB 296.49 million, compared to RMB 286.16 million in the same period last year[15] - Basic earnings per share were RMB 0.74, compared to RMB 0.72 in the same period last year[16] - Total comprehensive income was RMB 300.69 million, compared to RMB 290.54 million in the same period last year[16] Asset and Liability Changes - Total assets as of the end of the reporting period were RMB 5.86 billion, a 1.62% increase from the end of the previous year[2] - Total assets increased to 5,859,835,260.75 RMB from 5,766,522,863.68 RMB, reflecting growth in the company's asset base[13] - Inventory rose to 658,680,513.04 RMB from 561,279,342.98 RMB, indicating an increase in stock levels[13] - Contract assets grew to 1,951,947,772.91 RMB from 1,457,368,890.57 RMB, showing a significant rise in contractual obligations[13] - Long-term equity investments increased to 146,735,387.69 RMB from 112,941,216.41 RMB, reflecting higher investment in long-term projects[13] - Fixed assets expanded to 263,754,720.65 RMB from 159,066,538.15 RMB, indicating substantial capital expenditure[13] - Total liabilities decreased slightly to 3,230,970,255.81 RMB from 3,312,249,064.19 RMB, reflecting a reduction in overall debt[14] Cash Flow and Financial Activities - Operating cash flow for the period was RMB -529.80 million, an 18.55% improvement year-over-year[2] - Cash received from other operating activities increased by 50.82% to RMB 103,015,912.13, mainly due to increased receivables from related parties[9] - Taxes paid increased by 44.50% to RMB 128,979,938.16, primarily due to higher VAT and corporate income tax payments[9] - Cash paid for other operating activities rose by 35.89% to RMB 281,942,829.85, mainly due to increased payments to related parties[9] - Cash received from investment income surged by 138.18% to RMB 8,765,000.00, mainly due to increased dividends from equity investments[9] - Cash received from issuing shares skyrocketed by 2663.60% to RMB 135,416,467.28, mainly due to restricted stock issuance and minority shareholder capital injections[9] - Cash received from borrowings increased by 109.37% to RMB 619,739,549.34, mainly due to new short-term loans[9] - Cash paid for debt repayment was RMB 296,000,000.00, representing 100% repayment of matured short-term loans[9] - Monetary funds decreased by 42.58% to RMB 759,931,538.65 as of September 30, 2024[12] - Cash received from sales of goods and services was RMB 1.15 billion, an increase from RMB 919.45 million in the same period last year[17] - Operating cash inflow totaled 1,249,836,044.05 RMB, an increase from 987,749,756.79 RMB in the previous period[18] - Operating cash outflow amounted to 1,779,640,109.74 RMB, compared to 1,638,229,855.06 RMB previously[18] - Net cash flow from operating activities was -529,804,065.69 RMB, improving from -650,480,098.27 RMB[18] - Net cash flow from investing activities was -262,176,545.87 RMB, slightly lower than -261,518,673.63 RMB[18] - Net cash flow from financing activities increased to 226,401,948.07 RMB from 89,726,610.63 RMB[18] - Cash and cash equivalents at the end of the period were 757,426,397.25 RMB, down from 1,323,005,060.74 RMB at the beginning[18] Expenses and Financial Costs - Financial expenses increased by 140.75% to RMB 2.57 million, primarily due to reduced interest income and increased loan interest expenses[8] - Investment income rose by 50.53% to RMB 15.52 million, mainly due to increased profits from equity investments[8] - Asset impairment losses increased by 68.91% to RMB -100.77 million, driven by higher provisions for asset impairments[8] - Operating costs increased to 1,502,434,414.30 RMB from 1,457,425,620.06 RMB, reflecting higher expenses[14] - R&D expenses were RMB 88.77 million, a decrease from RMB 94.72 million in the same period last year[15] - Sales expenses were RMB 42.36 million, a decrease from RMB 48.00 million in the same period last year[15] - Management expenses were RMB 137.92 million, an increase from RMB 130.47 million in the same period last year[15] - Financial expenses were RMB 2.57 million, compared to a financial income of RMB 6.30 million in the same period last year[15] - Income tax expenses were RMB 38.53 million, compared to RMB 36.36 million in the same period last year[15] Accounts Receivable and Contract Assets - Accounts receivable decreased by 34.45% to RMB 312.28 million, mainly due to the recovery of contract payments[6] - Contract assets increased by 33.94% to RMB 1.95 billion, driven by growth in receivables[6] - Accounts receivable decreased by 34.45% to RMB 312,283,106.88 as of September 30, 2024[12] Borrowings and Debt - Short-term borrowings surged by 109.50% to RMB 620.61 million due to new loans[6] - Short-term borrowings surged to 620,606,363.85 RMB from 296,235,138.89 RMB, indicating increased short-term financing[13] Shareholder Information - Guangzhou Metro Group holds 76.17% of the company's shares, totaling 311,003,108 shares[10] Audit Status - The company's third-quarter report was unaudited[19]
地铁设计:董事会决议公告
2024-10-28 08:08
证券代码:003013 证券简称:地铁设计 公告编号:2024-063 广州地铁设计研究院股份有限公司 第二届董事会第二十六次会议决议公告 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 广州地铁设计研究院股份有限公司(以下简称"公司")第二届董事会第二 十六次会议于 2024 年 10 月 28 日(星期一)以通讯表决方式召开,会议通知已 于 2024 年 10 月 25 日以电子邮件的形式送达各位董事。本次会议应出席董事 9 人,实际出席董事 9 人,无委托出席情况。会议由董事长农兴中先生主持,本次 会议的召开和表决程序符合《公司法》等有关法律、行政法规、部门规章、规范 性文件和《公司章程》的规定。 二、董事会会议审议情况 与会董事以投票表决方式审议通过以下议案: (一)审议通过《关于 2024 年第三季度报告的议案》 表决结果:同意 9 票,反对 0 票,弃权 0 票。 本议案经公司董事会审计委员会审议通过。 具体内容详见公司同日在《证券时报》、《中国证券报》和巨潮资讯网 (www.cninfo.com.cn)上披露的《公司 20 ...
地铁设计:关于募集资金投资项目延期的公告
2024-10-28 08:08
证券代码:003013 证券简称:地铁设计 公告编号:2024-065 广州地铁设计研究院股份有限公司 关于募集资金投资项目延期的公告 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。 广州地铁设计研究院股份有限公司(以下简称"公司")于 2024 年 10 月 28 日召开了第二届董事会第二十六次会议、第二届监事会第二十四次会议,审议通 过了《关于募集资金投资项目延期的议案》,同意将"智能超高效地铁环控系统 集成服务项目"达到预计可使用状态时间由 2024 年 10 月 31 日调整为 2025 年 12 月 31 日。本次项目实施主体、实施地点、实施方式、募集资金投资用途以及 募集资金投资规模均未发生变更,本次延期事项无需提交公司股东大会审议。具 体情况如下: 一、募集资金基本情况 经中国证券监督管理委员会证监许可〔2020〕2230 号文核准,公司已向社会 公众公开发行人民币普通股(A 股)4,001 万股,发行价格 13.43 元/股,募集资 金总额为人民币 537,334,300.00 元,扣除发行费用后的募集资金净额为人民币 488,034,846. ...
地铁设计:监事会决议公告
2024-10-28 08:08
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 广州地铁设计研究院股份有限公司(以下简称"公司")第二届监事会第二 十四次会议于 2024 年 10 月 28 日(星期一)以通讯表决方式召开,会议通知已 于 2024 年 10 月 25 日以电子邮件的形式送达各位监事。本次会议应出席监事 5 人,实际出席监事 5 人,无委托出席情况。会议由监事会主席方思源先生主持, 本次会议的召开和表决程序符合《公司法》等有关法律、行政法规、部门规章、 规范性文件和《公司章程》的规定。 证券代码:003013 证券简称:地铁设计 公告编号:2024-064 广州地铁设计研究院股份有限公司 第二届监事会第二十四次会议决议公告 二、监事会会议审议情况 与会监事以投票表决方式审议通过如下议案: (一)审议通过《关于 2024 年第三季度报告的议案》 经审核,监事会认为:董事会编制和审核公司 2024 年第三季度报告的程序 符合法律、行政法规、部门规章、规范性文件和《公司章程》的规定,报告内容 真实、准确、完整地反映了公司的实际情况,不存在任何虚假记载、误导性 ...
地铁设计:关于计提资产减值准备的公告
2024-10-28 08:08
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。 证券代码:003013 证券简称:地铁设计 公告编号:2024-066 广州地铁设计研究院股份有限公司 关于计提资产减值准备的公告 广州地铁设计研究院股份有限公司(以下简称"公司")根据《企业会计准 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》 等相关规定的要求,在 2024 年上半年已计提资产减值准备的基础上(详见公司 于 2024 年 8 月 20 日在巨潮资讯网上披露的《关于计提资产减值准备的公告》(公 告编号:2024-048),公司 2024 年 7-9 月(以下简称"本期")对部分应收票据、 应收账款、其他应收款、合同资产计提相应的资产减值准备。现就具体情况公告 如下: 一、本次计提资产减值准备情况概述 (一)计提资产减值准备的原因 根据《企业会计准则》、《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》的相关规定,为了更加真实、准确地反映公司的财务状 况、资产价值及经营情况,基于谨慎性原则,公司根据相关政策要求,对公司的 各类资产进行了全面检 ...
地铁设计:华泰联合证券有限责任公司关于广州地铁设计研究院股份有限公司募集资金投资项目延期的核查意见
2024-10-28 08:08
核查意见 华泰联合证券有限责任公司 关于广州地铁设计研究院股份有限公司 募集资金投资项目延期的核查意见 华泰联合证券有限责任公司(以下简称"华泰联合证券"或"保荐机构") 作为广州地铁设计研究院股份有限公司(以下简称"地铁设计"或"公司")首 次公开发行股票的保荐机构,根据《证券发行上市保荐业务管理办法》《上市公 司监管指引第 2 号——上市公司募集资金管理和使用的监管要求》《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》以及《深圳证券 交易所上市公司自律监管指引第 13 号——保荐业务》等法律法规的规定,对地 铁设计募集资金投资项目延期的事项进行了核查,具体情况如下: 一、募集资金基本情况 经中国证券监督管理委员会证监许可〔2020〕2230 号文核准,公司已向社会 公众公开发行人民币普通股(A 股)4,001 万股,发行价格 13.43 元/股,募集资 金总额为人民币 537,334,300.00 元,扣除发行费用后的募集资金净额为人民币 488,034,846.28 元。立信会计师事务所(特殊普通合伙)已于 2020 年 10 月 16 日 对公司首次公开发行股票的资金到位情况 ...
地铁设计:独立董事候选人声明与承诺(曹云明)
2024-10-14 10:28
广州地铁设计研究院股份有限公司 独立董事候选人声明与承诺 声明人 曹云明 作为广州地铁设计研究院股份有限公司第三届董事会独 立董事候选人,已充分了解并同意由提名人广州地铁设计研究院股份有限公司董 事会提名为广州地铁设计研究院股份有限公司(以下简称该公司)第三届董事会 独立董事候选人。现公开声明和保证,本人与该公司之间不存在任何影响本人独 立性的关系,且符合相关法律、行政法规、部门规章、规范性文件和深圳证券交 易所业务规则对独立董事候选人任职资格及独立性的要求,具体声明并承诺如下 事项: 一、本人已经通过广州地铁设计研究院股份有限公司第二届董事会提名委员 会资格审查,提名人与本人不存在利害关系或者其他可能影响独立履职情形的密 切关系。 是 □ 否 如否,请详细说明:_____________________________ 二、本人不存在《中华人民共和国公司法》第一百七十八条等规定不得担任 公司董事的情形。 是 □ 否 如否,请详细说明:______________________________ 三、本人符合中国证监会《上市公司独立董事管理办法》和深圳证券交易所 业务规则规定的独立董事任职资格和条件。 是 □ ...