Workflow
锦江在线(600650) - 2025 Q1 - 季度财报
2025-04-29 08:25
Financial Performance - The company's operating revenue for Q1 2025 was CNY 371,435,008.96, a decrease of 20.07% compared to CNY 464,716,431.81 in the same period last year[4] - The net profit attributable to shareholders was CNY 12,616,139.72, down 67.92% from CNY 39,330,665.99 year-on-year[4] - Basic earnings per share decreased by 67.61% to CNY 0.023 from CNY 0.071 in the same period last year[4] - Net profit for Q1 2025 was ¥16,308,422.45, a decline of 63.6% from ¥44,843,727.96 in Q1 2024[17] - The company reported a total comprehensive income of -¥47,985,979.30 for Q1 2025, contrasting with a total of ¥6,879,213.21 in Q1 2024[17] Cash Flow and Assets - The net cash flow from operating activities was negative CNY 38,872,953.66, a decline of 180.47% compared to CNY 48,306,940.79 in the previous year[4] - The company reported a net cash flow from operating activities of -¥38,872,953.66 in Q1 2025, compared to ¥48,306,940.79 in Q1 2024[20] - Cash and cash equivalents stood at RMB 1,720,722,998.90, slightly down from RMB 1,764,714,811.62, a decrease of about 2.49%[12] - Cash and cash equivalents at the end of Q1 2025 were ¥1,720,722,998.90, slightly down from ¥1,585,078,483.55 at the end of Q1 2024[21] Assets and Liabilities - Total assets at the end of the reporting period were CNY 5,440,822,447.20, a decrease of 2.03% from CNY 5,553,732,201.39 at the end of the previous year[5] - The company's current assets totaled RMB 2,258,547,914.98, down from RMB 2,306,279,590.27, indicating a decrease of about 2.07%[13] - The total liabilities decreased to RMB 1,017,239,297.96 from RMB 1,082,163,072.85, representing a reduction of approximately 6.01%[14] - The company's equity attributable to shareholders was RMB 4,180,442,049.04, down from RMB 4,232,115,955.48, showing a decline of around 1.23%[15] - The company reported a decrease in total non-current assets to RMB 3,182,274,532.22 from RMB 3,247,452,611.12, a reduction of about 2.01%[13] Expenses and Income - Total operating costs for Q1 2025 were ¥372,952,188.78, down from ¥452,163,946.43 in Q1 2024, reflecting a reduction of approximately 17.6%[16] - The company experienced a significant increase in sales expenses, which rose to ¥18,764,441.42 in Q1 2025 from ¥42,480,390.37 in Q1 2024[16] - Investment income for Q1 2025 was ¥16,409,856.53, compared to ¥21,003,139.71 in Q1 2024, marking a decrease of 21.8%[16] - The company’s financial expenses showed a net income of -¥5,935,891.95 in Q1 2025, compared to -¥5,409,810.28 in Q1 2024, indicating a slight increase in financial costs[16] Shareholder Information - The total number of ordinary shareholders at the end of the reporting period was 67,260[10] - The total equity increased slightly by 0.12% from RMB 4,471,569,128.54 to RMB 4,423,583,149.24[15] Other Financial Metrics - The weighted average return on net assets was 0.30%, down 0.71 percentage points from 1.01% in the previous year[4] - Non-recurring gains and losses included government subsidies of CNY 146,879.30 and losses from financial assets of CNY -1,772,636.47[6] - The company experienced a 549.98% increase in right-of-use assets due to signing long-term lease contracts for office space[8] - The company reported a significant increase in prepayments by 92.37%, primarily due to increased advance payments for vehicle and goods procurement[8]
全柴动力(600218) - 2025 Q1 - 季度财报
2025-04-29 08:25
证券代码:600218 证券简称:全柴动力 安徽全柴动力股份有限公司2025 年第一季度报告 安徽全柴动力股份有限公司 2025 年第一季度报告 本公司董事会及全体董事保证本公告内容不存在任何虚假记载、误导性陈述或者 重大遗漏,并对其内容的真实性、准确性和完整性承担法律责任。 重要内容提示 公司董事会、监事会及董事、监事、高级管理人员保证季度报告内容的真实、准确、完整,不存 在虚假记载、误导性陈述或重大遗漏,并承担个别和连带的法律责任。 公司负责人、主管会计工作负责人及会计机构负责人(会计主管人员)保证季度报告中财务信息 的真实、准确、完整。 第一季度财务报表是否经审计 □是 √否 一、主要财务数据 (一)主要会计数据和财务指标 单位:元 币种:人民币 | 项目 | 本报告期 | 本报告期比上年同期增减 上年同期 | | | --- | --- | --- | --- | | | | 变动幅度(%) | | | 营业收入 | 1,292,542,229.27 | 1,221,918,108.70 | 5.78 | | 归属于上市公司股东的净利润 | 29,837,884.73 | 25,362,048.76 ...
华泰股份(600308) - 2025 Q1 - 季度财报
2025-04-29 08:25
Financial Performance - The company's operating revenue for Q1 2025 was ¥3,085,680,306.58, a decrease of 10.14% compared to ¥3,433,978,275.34 in the same period last year[4] - Net profit attributable to shareholders was ¥59,829,434.62, down 47.04% from ¥112,981,232.70 year-on-year[4] - The net profit after deducting non-recurring gains and losses was ¥51,153,837.05, a decline of 55.69% compared to ¥115,443,841.16 in the previous year[4] - Basic earnings per share were ¥0.04, a decrease of 46.30% from ¥0.07 in the same period last year[4] - Total revenue for Q1 2025 was approximately ¥3.09 billion, a decrease of 10.14% compared to ¥3.43 billion in Q1 2024[18] - Net profit for Q1 2025 was approximately ¥55.84 million, a decline of 50.53% compared to ¥112.88 million in Q1 2024[20] - Operating profit for Q1 2025 was approximately ¥92.67 million, down 38.25% from ¥150.03 million in Q1 2024[20] - The net profit attributable to the parent company for Q1 2025 is approximately ¥59.83 million, a decrease from ¥112.98 million in Q1 2024, representing a decline of about 47%[21] - The total comprehensive income attributable to the parent company for Q1 2025 is approximately ¥55.84 million, down from ¥112.88 million in Q1 2024, indicating a decrease of around 50%[21] Cash Flow and Liquidity - The net cash flow from operating activities decreased by 62.35%, amounting to ¥110,467,970.64, down from ¥293,446,130.17[4] - The total cash and cash equivalents at the end of Q1 2025 amount to approximately ¥1.17 billion, compared to ¥1.39 billion at the end of Q1 2024, a decrease of about 16%[25] - The cash inflow from financing activities for Q1 2025 is approximately ¥267.51 million, contrasting with a cash outflow of about ¥5.48 million in Q1 2024[25] - The cash outflow from investing activities for Q1 2025 is approximately ¥501.91 million, slightly lower than ¥536.78 million in Q1 2024[25] - The cash and cash equivalents at the end of Q1 2025 amounted to ¥416,880,827.58, down from ¥730,860,836.41 in Q1 2024, a decrease of 43%[33] - The total cash inflow from financing activities in Q1 2025 was ¥181,518,311.13, a decrease of 73.8% compared to ¥692,100,620.22 in Q1 2024[33] - The company’s investment activities resulted in a net cash outflow of ¥61,282,443.81 in Q1 2025, compared to a net outflow of ¥182,037,228.39 in Q1 2024[33] Assets and Liabilities - Total assets at the end of the reporting period were ¥16,074,583,966.54, an increase of 5.11% from ¥15,292,517,298.26 at the end of the previous year[5] - Total assets reached approximately ¥16.07 billion as of March 31, 2025, compared to ¥15.29 billion as of December 31, 2024, an increase of 5.14%[15] - Total liabilities increased to approximately ¥6.87 billion as of March 31, 2025, from ¥6.13 billion as of December 31, 2024, a rise of 12.23%[15] - The total liabilities increased to ¥5,668,149,464.08 in 2025 from ¥5,106,546,345.54 in 2024, marking a rise of 11%[28] - The total liabilities as of March 31, 2025, amount to approximately ¥8.32 billion, compared to ¥7.66 billion at the end of 2024, indicating an increase of around 9%[27] Shareholder Information - The total number of ordinary shareholders at the end of the reporting period was 49,735, with the largest shareholder holding 39.59% of the shares[8] - Shareholders' equity totaled approximately ¥9.20 billion as of March 31, 2025, compared to ¥9.16 billion as of December 31, 2024, an increase of 0.48%[15] Market Conditions - The decline in net profit was attributed to intense market competition in the paperboard sector, leading to decreased product prices and sales[6] Research and Development - Research and development expenses for Q1 2025 were ¥65,913,434.16, an increase of 19.2% from ¥55,308,046.71 in Q1 2024[31] Financial Expenses - The company’s financial expenses for Q1 2025 were ¥21,240,828.55, slightly down from ¥21,713,106.96 in Q1 2024[31]
海利得(002206) - 2025 Q1 - 季度财报
2025-04-29 08:25
浙江海利得新材料股份有限公司 2025 年第一季度报告 证券代码:002206 证券简称:海 利 得 公告编号:2025-032 浙江海利得新材料股份有限公司 2025 年第一季度报告 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。 重要内容提示: 1.董事会、监事会及董事、监事、高级管理人员保证季度报告的真实、准确、完整,不存在虚假记载、误导性陈述或重 大遗漏,并承担个别和连带的法律责任。 2.公司负责人、主管会计工作负责人及会计机构负责人(会计主管人员)声明:保证季度报告中财务信息的真实、准确、 完整。 3.第一季度报告是否经审计 □是 否 1 浙江海利得新材料股份有限公司 2025 年第一季度报告 一、主要财务数据 (一) 主要会计数据和财务指标 公司是否需追溯调整或重述以前年度会计数据 □是 否 | | 本报告期 | 上年同期 | 本报告期比上年同期增减 | | --- | --- | --- | --- | | | | | (%) | | 营业收入(元) | 1,453,007,356.69 | 1,380,851,228.60 | 5.23% | | ...
南方精工(002553) - 2025 Q1 - 季度财报
2025-04-29 08:25
Financial Performance - The company's revenue for Q1 2025 was ¥179,069,353.73, representing a 9.18% increase compared to ¥164,006,414.28 in the same period last year[5]. - Net profit attributable to shareholders reached ¥91,507,623.49, a significant increase of 727.82% from a loss of ¥14,575,437.41 in the previous year[5]. - The basic earnings per share improved to ¥0.2630, compared to a loss of ¥0.0419 per share in the same period last year, marking a 727.68% increase[5]. - The company's operating revenue for the reporting period was CNY 179,069,353.73, an increase of 9.18% compared to CNY 164,006,414.28 in the same period last year[20]. - The net profit attributable to shareholders for the reporting period was CNY 91,507,623.49, a significant increase of 727.82% from a net loss of CNY 14,575,437.41 in the previous year[20]. - Net profit for the period reached CNY 89,474,446.94, compared to a net loss of CNY 16,870,078.38 in the same period last year[31]. - The total comprehensive income for the period attributable to the parent company's owners was ¥91,495,226.68, compared to a loss of ¥14,494,823.15 in the previous period[32]. Assets and Liabilities - The company's total assets increased by 6.06% to ¥1,521,468,865.28 from ¥1,434,598,769.38 at the end of the previous year[5]. - The company's total assets increased to CNY 1,521,468,865.28 from CNY 1,434,598,769.38, representing a growth of 6.05%[27]. - Total liabilities decreased slightly to CNY 282,361,330.74 from CNY 284,993,284.97, a reduction of 0.58%[27]. - The total equity attributable to shareholders increased to CNY 1,224,301,380.94 from CNY 1,132,806,154.26, reflecting an increase of 8.1%[27]. Cash Flow - The net cash flow from operating activities decreased by 36.06% to ¥11,373,386.56 from ¥17,787,523.08 in the same period last year[5]. - Cash inflow from operating activities totaled ¥181,424,854.42, an increase from ¥152,088,196.30 in the previous period[34]. - Cash outflow from operating activities was ¥170,051,467.86, compared to ¥134,300,673.22 in the previous period[35]. - Net cash flow from investing activities was ¥11,163,123.72, a recovery from a negative cash flow of ¥13,682,235.91 in the previous period[35]. - The net increase in cash and cash equivalents for the period was ¥28,074,956.09, compared to ¥11,325,275.49 in the previous period[35]. - The ending balance of cash and cash equivalents was ¥469,870,636.35, an increase from ¥406,963,862.02 in the previous period[35]. Investment Income - The company reported a significant increase in investment income, reaching ¥3,970,817.60, compared to a loss of ¥6,847.86 in the previous year, a change of 58086%[12]. - The fair value change gain from the investment in Jiangsu Panyam Micro-透科技股份有限公司 contributed CNY 67,436,428.41 to the pre-tax profit, classified as non-recurring gains[20]. - Cash flow from investment income received was CNY 4,592,452.46, marking a 100% increase due to the disposal of investments[15]. Shareholder Information - The total number of common shareholders at the end of the reporting period was 119,105[17]. - The largest shareholder, Shi Jianwei, holds 34.60% of the shares, totaling 120,400,000 shares[17]. Future Outlook - The company plans to continue expanding its market presence and investing in new technologies to drive future growth[14]. Research and Development - Research and development expenses for the quarter were CNY 12,362,574.99, down from CNY 13,683,239.59, a decrease of 9.6%[31]. Audit Information - The company did not undergo an audit for the first quarter report[36].
沃特股份(002886) - 2025 Q1 - 季度财报
2025-04-29 08:25
深圳市沃特新材料股份有限公司 2025 年第一季度报告 证券代码:002886 证券简称:沃特股份 公告编号:2025-017 深圳市沃特新材料股份有限公司 2025 年第一季度报告 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。 重要内容提示: 3.第一季度报告是否经审计 □是 否 一、主要财务数据 (一) 主要会计数据和财务指标 公司是否需追溯调整或重述以前年度会计数据 □是 否 | | 本报告期 | 上年同期 | 本报告期比上年同期增减(%) | | | --- | --- | --- | --- | --- | | 营业收入(元) | 394,846,589.62 | 363,989,897.19 | | 8.48% | | 归属于上市公司股东的净利 | 6,111,968.01 | 5,444,695.62 | | 12.26% | | 润(元) | | | | | | 归属于上市公司股东的扣除 非经常性损益的净利润 | 4,527,140.10 | 3,628,784.77 | | 24.76% | | (元) | | | | | | 经营活动产生 ...
长源东谷(603950) - 2025 Q1 - 季度财报
2025-04-29 08:23
Financial Performance - The company's operating revenue for Q1 2025 reached ¥501,156,364.96, representing a 20.52% increase compared to ¥415,834,708.00 in the same period last year[4] - Net profit attributable to shareholders increased by 65.80% to ¥77,679,774.67 from ¥46,851,469.23 year-on-year[4] - Basic and diluted earnings per share rose by 66.67% to ¥0.25, compared to ¥0.15 in the same period last year[4] - Total operating revenue for Q1 2025 reached ¥501.16 million, a 20.5% increase from ¥415.83 million in Q1 2024[19] - Net profit attributable to shareholders for Q1 2025 was ¥77.68 million, representing a 65.8% increase compared to ¥46.85 million in Q1 2024[20] Cash Flow - The net cash flow from operating activities surged by 139.23% to ¥232,798,943.10, up from ¥97,311,452.85 in the previous year[4] - Cash flow from operating activities for Q1 2025 was ¥232.80 million, significantly higher than ¥97.31 million in Q1 2024, marking an increase of 139.5%[22] - Cash flow from investing activities for Q1 2025 showed a net outflow of ¥119.26 million, compared to a net outflow of ¥99.10 million in Q1 2024[23] - Cash flow from financing activities for Q1 2025 was a net inflow of ¥147.65 million, compared to ¥164.40 million in Q1 2024[24] - The ending cash and cash equivalents balance for Q1 2025 was ¥502.07 million, up from ¥351.99 million in Q1 2024, indicating a 42.6% increase[24] Assets and Liabilities - Total assets at the end of the reporting period were ¥5,778,702,652.66, a 13.68% increase from ¥5,083,436,590.10 at the end of the previous year[5] - The company's current assets amounted to CNY 2,722,687,800.11, up from CNY 2,177,950,070.47, indicating a growth of about 24.98%[14] - Total liabilities increased to CNY 3,021,068,556.45 from CNY 2,373,488,319.67, reflecting a growth of about 27.29%[16] - The total non-current assets reached CNY 3,056,014,852.55, an increase from CNY 2,905,486,519.63, reflecting a growth of approximately 5.19%[15] Shareholder Information - The total number of ordinary shareholders at the end of the reporting period was 13,461[10] - The top shareholder, Li Zuoyuan, holds 40.72% of the shares, totaling 131,984,199 shares[10] Research and Development - The company reported a significant increase in R&D expenses, which rose to ¥26.56 million in Q1 2025 from ¥21.10 million in Q1 2024, an increase of 25.7%[19] Other Financial Metrics - The weighted average return on equity improved to 2.86%, up by 0.98 percentage points from 1.88%[5] - The net profit after deducting non-recurring gains and losses increased by 84.34% to ¥74,367,221.25 from ¥40,343,513.09 year-on-year, driven by the growth in new energy hybrid product components[8] - The company reported non-recurring gains of ¥3,312,553.42, primarily from government subsidies and other operational income[8] - Other comprehensive income after tax for Q1 2025 was ¥86.26 million, compared to ¥752.18 million in Q1 2024, indicating a decrease of 88.5%[20]
铁科轨道(688569) - 2025 Q1 - 季度财报
2025-04-29 08:23
Financial Performance - The company's operating revenue for Q1 2025 was ¥204,534,052.83, a decrease of 38.58% compared to ¥333,030,265.38 in the same period last year[4] - Net profit attributable to shareholders was ¥21,728,850.74, down 60.46% from ¥54,959,026.90 year-on-year[4] - Total revenue for Q1 2025 was CNY 204.53 million, a decrease of 38.6% compared to CNY 333.03 million in Q1 2024[16] - Net profit for Q1 2025 was CNY 32.41 million, a decline of 51.8% compared to CNY 67.30 million in Q1 2024[17] - The total comprehensive income for the first quarter of 2025 was CNY 32,405,204.32, a decrease from CNY 67,295,559.79 in the same period of 2024, representing a decline of approximately 52.2%[18] - Basic and diluted earnings per share were both ¥0.10, down 61.54% from ¥0.26 in the same period last year[4] - Basic and diluted earnings per share for the first quarter of 2025 were CNY 0.10, down from CNY 0.26 in the first quarter of 2024, reflecting a decrease of 61.5%[18] Cash Flow and Liquidity - The net cash flow from operating activities was -¥32,089,412.60, compared to -¥25,070,726.33 in the previous year, indicating a worsening cash flow situation[4] - Cash flow from operating activities for the first quarter of 2025 was negative CNY 32,089,412.60, compared to negative CNY 25,070,726.33 in the first quarter of 2024, indicating a worsening cash flow situation[20] - The company's cash and cash equivalents increased to CNY 1.56 billion as of March 31, 2025, up from CNY 1.42 billion at the end of 2024[12] - The company reported cash inflows from investment activities of CNY 201,862,772.60 in the first quarter of 2025, compared to no inflows in the same period of 2024[21] - The investment activities generated a net cash flow of ¥212,796,960.70 in Q1 2025, a significant improvement compared to -¥4,317,468.38 in Q1 2024[30] Assets and Liabilities - Total assets at the end of the reporting period were ¥3,801,609,837.23, a decrease of 1.29% from ¥3,851,232,357.08 at the end of the previous year[5] - Total assets decreased to CNY 3.80 billion as of March 31, 2025, from CNY 3.85 billion at the end of 2024[13] - Total liabilities decreased to CNY 467.89 million as of March 31, 2025, down from CNY 551.38 million at the end of 2024[14] - The total liabilities increased from ¥470,378,145.71 to ¥575,525,440.46, marking an increase of 22.3%[26] - The total equity slightly increased from ¥2,557,941,332.77 to ¥2,558,413,181.95, showing a marginal growth of 0.02%[26] Research and Development - R&D investment totaled ¥21,504,026.64, representing 10.51% of operating revenue, an increase of 4.29 percentage points from 6.22% in the previous year[5] - Research and development expenses for Q1 2025 were CNY 21.50 million, slightly up from CNY 20.73 million in Q1 2024[17] - Research and development expenses for Q1 2025 were ¥14,911,574.86, a slight decrease from ¥15,209,507.48 in Q1 2024, indicating a focus on cost management[28] Shareholder Information - The total number of ordinary shareholders at the end of the reporting period was 6,480[8] - Major shareholders include China Railway Science Research Institute Group Co., Ltd. with a 26.25% stake and Beijing Shougang Equity Investment Management Co., Ltd. with a 20.16% stake[8]
勘设股份(603458) - 2025 Q1 - 季度财报
2025-04-29 08:23
Financial Performance - The company's operating revenue for Q1 2025 was ¥256,902,854.31, a decrease of 2.12% compared to ¥262,476,852.20 in the same period last year[3]. - The net profit attributable to shareholders was a loss of ¥19,501,848.31, an improvement from a loss of ¥29,132,245.90 year-on-year[3]. - The basic earnings per share for Q1 2025 was -¥0.06, an improvement from -¥0.09 in the same period last year[3]. - The weighted average return on equity was -0.65%, compared to -0.80% in the previous year[3]. - The net profit for Q1 2025 was -19,806,377.71 RMB, compared to -30,011,151.52 RMB in Q1 2024, showing an improvement of approximately 34.8%[17]. - The total operating profit for Q1 2025 was -20,806,231.02 RMB, a decrease from -30,114,005.81 RMB in the same period last year, indicating a 30.5% reduction in losses[17]. - The total comprehensive income for Q1 2025 was -20,752,835.32 RMB, compared to -28,484,013.42 RMB in Q1 2024, showing an improvement of approximately 27.3%[17]. Cash Flow and Investments - The net cash flow from operating activities was -¥212,792,793.76, compared to -¥193,094,517.67 in the previous year[3]. - Cash flow from operating activities for Q1 2025 was -212,792,793.76 RMB, compared to -193,094,517.67 RMB in Q1 2024, reflecting a worsening cash flow situation[19]. - The company reported a cash flow from investing activities of -93,735,524.19 RMB in Q1 2025, compared to -42,839,229.50 RMB in Q1 2024, indicating increased cash outflows for investments[20]. - The total cash inflow from financing activities in Q1 2025 was 390,758,794.00 RMB, compared to 481,032,248.33 RMB in Q1 2024, indicating a decrease of approximately 18.8%[20]. Assets and Liabilities - The total assets at the end of the reporting period were ¥5,803,475,921.15, down 3.23% from ¥5,997,206,870.93 at the end of the previous year[4]. - Total assets decreased from CNY 5,997,206,870.93 to CNY 5,803,475,921.15, reflecting a decline of 3.2%[14]. - Total liabilities decreased from CNY 2,935,604,875.50 to CNY 2,763,628,739.91, a reduction of 5.8%[13]. - Shareholders' equity decreased from CNY 3,061,601,995.43 to CNY 3,039,847,181.24, a decline of 0.7%[14]. - Non-current assets remained relatively stable, with a slight decrease from CNY 1,306,322,429.61 to CNY 1,303,154,191.59[12]. Revenue and Costs - Total revenue for Q1 2025 was CNY 256,902,854.31, a decrease of 2.2% from CNY 262,476,852.20 in Q1 2024[16]. - Total operating costs for Q1 2025 were CNY 271,306,880.52, down 8.2% from CNY 295,520,899.75 in Q1 2024[16]. - Operating expenses in Q1 2025 included CNY 207,508,911.65 in operating costs, which increased by 3.0% from CNY 200,510,724.68 in Q1 2024[16]. - Research and development expenses for Q1 2025 were CNY 8,112,082.06, a decrease of 32.5% compared to CNY 12,084,528.94 in Q1 2024[16]. - Financial expenses in Q1 2025 totaled CNY 9,384,288.73, down 53.7% from CNY 20,258,842.07 in Q1 2024[16]. Contracts and Market Performance - The company secured new contracts worth ¥30,277,000 in Q1 2025, with engineering consulting accounting for 54.34% and engineering contracting for 45.66%[10]. - The majority of new contracts were in the highway industry, totaling ¥13,226,350, representing 43.69% of the total[10]. - The company generated 72.11% of its new contracts from within Guizhou Province, amounting to ¥21,833,980[10]. Shareholder Information - The company reported a total of 19,812 common shareholders at the end of the reporting period[6].
大东南(002263) - 2025 Q1 - 季度财报
2025-04-29 08:23
浙江大东南股份有限公司 2025 年第一季度报告 证券代码:002263 证券简称:大东南 公告编号:2025-010 浙江大东南股份有限公司 2025 年第一季度报告 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。 重要内容提示: 1.董事会、监事会及董事、监事、高级管理人员保证季度报告的真实、准确、完整,不存在虚假记载、误导性陈述或重 大遗漏,并承担个别和连带的法律责任。 2.公司负责人、主管会计工作负责人及会计机构负责人(会计主管人员)声明:保证季度报告中财务信息的真实、准确、 完整。 3.第一季度报告是否经审计 □是 否 一、主要财务数据 (一) 主要会计数据和财务指标 公司是否需追溯调整或重述以前年度会计数据 □是 否 | | 本报告期 | 上年同期 | 本报告期比上年同期增减 | | --- | --- | --- | --- | | | | | (%) | | 营业收入(元) | 311,349,684.76 | 311,273,795.28 | 0.02% | | 归属于上市公司股东的净利 | 4,658,799.20 | -8,917,189. ...