Workflow
利欧股份(002131) - 2025 Q3 - 季度财报
2025-10-27 11:30
Financial Performance - Q3 2025 revenue was CNY 4,818,729,447.08, a decrease of 7.09% year-over-year[4] - Net profit attributable to shareholders was CNY 110,711,042.50, down 81.05% compared to the same period last year[4] - Basic earnings per share decreased by 81.11% to CNY 0.0163[4] - Total operating revenue decreased to ¥14,454,058,040.77 from ¥15,848,008,474.27, representing a decline of approximately 8.8% year-over-year[18] - Net profit for the period was ¥560,348,688.14, compared to a net loss of ¥180,031,037.26 in the previous period, marking a significant turnaround[19] - The company reported a gross profit margin improvement, with operating profit rising to ¥730,843,557.35 from a loss of ¥261,110,752.64[19] - The company reported a total comprehensive income of ¥512,407,450.04, compared to a loss of ¥237,374,991.18 in the previous period[19] Assets and Liabilities - Total assets as of September 30, 2025, were CNY 21,887,478,961.84, a decrease of 0.45% from the end of the previous year[4] - Current assets totaled RMB 14,508,618,423.16, showing an increase from RMB 14,404,243,101.53 at the beginning of the period[15] - Total liabilities decreased to RMB 8,699,561,840.00 from RMB 9,124,776,521.91[16] - The company's equity attributable to shareholders increased to RMB 13,236,264,248.96 from RMB 12,887,064,114.70[17] - The company's total equity decreased slightly to RMB 13,187,917,121.84 from RMB 12,861,799,154.53[17] Cash Flow - Cash flow from operating activities showed a net outflow of CNY 213,840,372.94, an improvement of 63.67% compared to the same period last year[9] - Cash inflow from investment activities was ¥2,859,795,911.77, down from ¥6,436,205,741.07, indicating a decrease of approximately 55.6% year-over-year[20] - The company achieved a net cash flow from investment activities of ¥121,104,954.13, a recovery from a negative cash flow of ¥1,013,593,666.72 in the previous period[20] - Cash inflow from financing activities totaled ¥5,584,786,396.76, a decrease of 7.68% from ¥6,046,433,045.82[21] - Cash outflow from financing activities amounted to ¥5,345,483,680.19, down 18.14% from ¥6,528,665,822.88[21] - Net cash flow from financing activities was ¥239,302,716.57, compared to a negative net cash flow of ¥482,232,777.06 in the previous period[21] - The net increase in cash and cash equivalents was ¥155,879,679.26, contrasting with a decrease of ¥2,081,839,649.45 previously[21] - The ending balance of cash and cash equivalents was ¥1,300,210,344.22, up from ¥1,215,042,169.25[21] Shareholder Information - The number of ordinary shareholders at the end of the reporting period was 681,761[11] - Major shareholder Wang Xiangrong holds 9.41% of shares, with 478,040,275 shares pledged[11] - The company held 278,236,043 shares in its repurchase account, accounting for 4.11% of the total share capital[12] Accounting and Standards - The company's third-quarter financial report was not audited[22] - The new accounting standards will be first implemented starting in 2025[23] Other Financial Metrics - Investment income decreased by 34.62% to CNY 147,708,007.55 due to lower gains from financial products[9] - The weighted average return on equity was 0.84%, down 3.66% year-over-year[4] - Cash and cash equivalents decreased to RMB 2,055,695,219.41 from RMB 2,304,709,572.54[15] - Short-term borrowings decreased to RMB 2,273,629,650.67 from RMB 2,348,239,530.84[16] - Accounts receivable increased to RMB 5,870,453,720.78 from RMB 5,687,636,350.26[15] - The total non-current assets decreased to RMB 7,378,860,538.68 from RMB 7,582,332,574.91[16] - Other comprehensive income after tax was a loss of ¥47,941,238.10, slightly improved from a loss of ¥57,343,953.92 in the previous period[19] - The impact of exchange rate changes on cash and cash equivalents was ¥9,312,381.50, an increase from ¥2,635,624.50[21]
致尚科技(301486) - 2025 Q3 - 季度财报
2025-10-27 11:30
深圳市致尚科技股份有限公司 2025 年第三季度报告 证券代码:301486 证券简称:致尚科技 公告编号:2025-104 深圳市致尚科技股份有限公司 2025 年第三季度报告 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.第三季度财务会计报告是否经过审计 □是 ☑否 1 深圳市致尚科技股份有限公司 2025 年第三季度报告 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 | 本报告期比上年同期 | 年初至报告期末比上 年初至报告期末 | | | --- | --- | --- | --- | --- | | | | 增减 | | 年同期增减 | | 营业收入(元) | 233,604,593.72 | - ...
微电生理(688351) - 2025 Q3 - 季度财报
2025-10-27 11:30
Financial Performance - The company's operating revenue for Q3 2025 was ¥112,652,307.04, representing a year-on-year increase of 21.78%[3] - The total profit for the period decreased by 62.44% to ¥9,281,424.74 compared to the same period last year[3] - The net profit attributable to shareholders was ¥9,252,430.88, down 62.56% year-on-year[3] - Basic earnings per share for the quarter were ¥0.0197, a decrease of 62.48% compared to the previous year[5] - Total operating revenue for the first three quarters of 2025 reached ¥336,400,837.87, an increase of 15.7% compared to ¥290,866,132.55 in the same period of 2024[23] - Net profit for the first three quarters of 2025 was ¥41,920,558.14, slightly higher than ¥41,726,652.80 in 2024, indicating a growth of 0.5%[24] - Basic and diluted earnings per share for the first three quarters of 2025 were both ¥0.0891, compared to ¥0.0887 in 2024, showing an increase of 0.4%[25] Cash Flow and Liquidity - The net cash flow from operating activities for the year-to-date was ¥36,818,492.29, down 40.59% compared to the previous year[3] - As of September 30, 2025, the company's cash and cash equivalents amounted to RMB 437,232,111.93, an increase from RMB 269,109,754.97 as of December 31, 2024, reflecting a significant growth in liquidity[17] - The net cash flow from operating activities was $36,818,492.29, a decrease of 40.6% compared to $61,974,639.95 in the previous period[28] - The net increase in cash and cash equivalents was $168,518,040.96, contrasting with a decrease of -$23,395,248.61 in the previous period[29] - The ending balance of cash and cash equivalents was $437,232,111.93, up from $232,503,279.03 in the previous period[29] Assets and Liabilities - Total assets at the end of the period were ¥1,962,639,223.64, an increase of 3.64% from the end of the previous year[5] - Total liabilities as of the reporting date were ¥171,323,283.16, compared to ¥151,946,998.96 in the previous year, reflecting an increase of 12.7%[20] - Total assets amounted to ¥1,962,639,223.64, a slight decrease from ¥1,893,682,970.18 in the previous year[20] - Non-current liabilities totaled ¥33,610,771.08, down from ¥43,677,996.85 in the previous year, indicating a decrease of 23.0%[20] - The company reported a total equity of ¥1,791,315,940.48, an increase from ¥1,741,735,971.22 in the previous year, reflecting a growth of 2.8%[20] Research and Development - Research and development expenses totaled ¥23,663,306.79, accounting for 21.01% of operating revenue, a decrease of 2.2 percentage points from the previous year[5] - Research and development expenses for the first three quarters of 2025 were ¥45,759,833.28, down from ¥56,543,925.34 in 2024, indicating a decrease of 19.2%[24] - Development expenditures increased to ¥67,753,686.32 from ¥43,658,095.73, reflecting a focus on innovation and new product development[18] Shareholder Information - The total number of ordinary shareholders at the end of the reporting period was 9,580[13] - The company reported a total of 4,728,398 shares held by China Construction Bank as part of its top shareholders, indicating strong institutional support[15] - The top ten shareholders collectively hold significant stakes, with the largest individual shareholder, Wang Ping, holding 3,591,437 shares, which represents a notable portion of the company's equity[15] - The company has not reported any changes in the status of its major shareholders or their relationships, maintaining stability in its ownership structure[16] Government Support and Financial Health - The company received government subsidies amounting to ¥2,633,436.97 during the period, contributing to the overall financial performance[7] - The company is actively monitoring its financial health and has not identified any significant risks or concerns in its operational performance during the reporting period[16]
立中集团(300428) - 2025 Q3 - 季度财报
2025-10-27 11:25
立中四通轻合金集团股份有限公司 2025 年第三季度报告 证券代码:300428 证券简称:立中集团 公告编号:2025-075 号 债券代码:123212 债券简称:立中转债 立中四通轻合金集团股份有限公司 2025 年第三季度报告 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.第三季度财务会计报告是否经过审计 □是 否 1 立中四通轻合金集团股份有限公司 2025 年第三季度报告 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 | 本报告期比上年同期 | 年初至报告期末 | 年初至报告期末比上 | | --- | --- | --- | --- | --- | | | | 增减 | 年同期增减 | | | ...
万憬能源(002700) - 2025 Q3 - 季度财报
2025-10-27 11:25
Revenue and Profit - Q3 2025 revenue was CNY 146,075,347.11, a decrease of 13.40% year-over-year[5] - Net profit attributable to shareholders was CNY 25,896,819.36, down 14.83% compared to the same period last year[5] - Basic and diluted earnings per share were both CNY 0.0626, reflecting a decline of 14.83% year-over-year[5] - Total operating revenue for the current period is ¥482,016,776.74, a decrease of 2.28% from ¥492,137,332.94 in the previous period[15] - Net profit for the current period is ¥63,054,792.36, down 22.19% from ¥81,046,216.55 in the previous period[16] - Earnings per share (basic and diluted) decreased to ¥0.1534 from ¥0.1985, reflecting a decline of 22.73%[16] Assets and Liabilities - Total assets at the end of the reporting period were CNY 1,575,064,115.03, an increase of 0.89% from the end of the previous year[5] - The company's total current assets amount to ¥1,106,348,291.62, a slight decrease from ¥1,122,435,997.52 at the beginning of the period[13] - The total non-current assets increased to ¥468,715,823.41 from ¥438,759,610.17[14] - Total liabilities decreased to ¥201,994,725.35 from ¥224,018,425.49[14] - The total equity remains stable at ¥413,628,185.00[14] - Total assets and equity increased to ¥1,575,064,115.03 and ¥1,373,069,389.68 respectively, compared to ¥1,561,195,607.69 and ¥1,337,177,182.20 in the previous period[15] Cash Flow - Cash flow from operating activities for the year-to-date was CNY 66,696,612.17, up 113.04% compared to the previous year[5] - Net cash flow from operating activities increased to ¥66,696,612.17, compared to ¥31,306,433.62 in the previous period, representing a growth of 113.56%[17] - Net cash flow from investing activities was negative at -¥302,376,230.59, a significant decrease from a positive cash flow of ¥26,362,519.45 in the previous period[17] - Cash and cash equivalents at the end of the period decreased to ¥215,143,969.70 from ¥468,128,889.01, a decline of 54.00%[18] Shareholder Information - The total number of common shareholders at the end of the reporting period is 19,209[9] - The largest shareholder, Li Menglong, holds 24.03% of the shares, totaling 99,383,000 shares, which are currently frozen[9][11] - The second-largest shareholder, Cui Changbin, owns 22.98% of the shares, amounting to 95,040,000 shares[9] Financial Performance and Investments - The company reported a significant increase in trading financial assets, rising by 260.68% to CNY 79,796,000.00 due to investments in financial products[8] - The company’s construction in progress increased by 142.93% to CNY 5,691,810.00, attributed to the purchase of office space and renovation projects[8] - Financial expenses decreased by 77.54% to CNY -139,890.00, primarily due to investments in financial products[8] - The company’s investment income for the current period was CNY 1,165,250.00, reflecting new investment activities[8] - The company reported an investment income of ¥11,652,484.59 for the current period, with no prior period data available[16] - The company’s financial expenses showed a significant improvement, with a net income of -¥1,398,887.78 compared to -¥6,229,064.49 in the previous period[15] Accounting and Reporting - The third quarter financial report of Xinjiang Wanjing Energy Co., Ltd. has not been audited[19] - The new accounting standards will be implemented starting from 2025[19] - The financial statement items related to the first year of the new accounting standards will be applicable[19] - The board of directors announced the financial report on October 27, 2025[19]
东阳光(600673) - 2025 Q3 - 季度财报
2025-10-27 11:25
Financial Performance - The company's operating revenue for the third quarter reached ¥3,846,518,801.43, representing a year-on-year increase of 34.21%[4] - Total profit for the quarter was ¥342,456,220.59, a significant increase of 248.23% compared to the same period last year[4] - Net profit attributable to shareholders was ¥292,866,764.88, reflecting a year-on-year growth of 240.41%[4] - The net profit after deducting non-recurring gains and losses was ¥305,550,979.51, up 182.26% year-on-year[4] - Total operating revenue for the first three quarters of 2025 reached ¥10,970,290,011.48, an increase of 23.4% compared to ¥8,878,636,431.44 in the same period of 2024[18] - Operating profit for the first three quarters of 2025 was ¥1,066,944,834.71, significantly higher than ¥362,750,865.75 in the previous year, reflecting a growth of 194.1%[18] - The net profit for the first three quarters of 2025 reached CNY 919,163,974.27, a significant increase from CNY 300,501,577.08 in the same period of 2024, representing a growth of approximately 205.5%[19] - The total comprehensive income for the first three quarters of 2025 was CNY 919,163,974.27, compared to CNY 300,501,577.08 in 2024, reflecting a growth of about 205.5%[19] Assets and Liabilities - The company's total assets increased to ¥29,197,058,343.53, marking a growth of 15.13% from the end of the previous year[5] - Total assets as of the latest reporting period amounted to ¥29,197,058,343.53, an increase from ¥25,360,653,631.15 in the previous year, reflecting a growth of 15.5%[14] - Total liabilities increased to ¥19,130,963,418.02 from ¥15,904,358,976.65, representing a rise of 20.5%[14] - Non-current liabilities totaled ¥5,672,858,050.49, up from ¥3,909,259,143.18, indicating a growth of 45.2%[14] - Shareholders' equity increased to ¥10,066,094,925.51 from ¥9,456,294,654.50, reflecting a growth of 6.5%[14] Cash Flow - The company reported a significant improvement in cash flow from operating activities, with a year-to-date increase of 36.08%[9] - The operating cash flow for the first three quarters of 2025 was CNY 485,793,628.16, compared to CNY 356,991,416.00 in 2024, indicating an increase of about 36%[21] - The company experienced a net increase in cash flow from financing activities of CNY 2,631,735,045.00 in 2025, a turnaround from a net outflow of CNY -1,313,209,603.86 in 2024[22] - Cash and cash equivalents at the end of the period increased to CNY 3,582,339,528.56 from CNY 1,301,181,657.49 in the previous year, showing a substantial improvement in liquidity[22] - The cash inflow from operating activities totaled CNY 10,114,190,759.14, while cash outflow was CNY 9,628,397,130.98, resulting in a net cash flow from operations of CNY 485,793,628.16[21] Shareholder Information - Total number of common shareholders at the end of the reporting period is 85,446[10] - The largest shareholder, Shenzhen Dongyangguang Industrial Development Co., Ltd., holds 619,805,341 shares, accounting for 20.65% of total shares[10] - The second largest shareholder, Yichang Dongyangguang Pharmaceutical Co., Ltd., holds 545,023,350 shares, representing 18.16% of total shares[10] - The company has a total of 79,616,675 shares held in a repurchase account, representing 2.64% of total shares[11] - The company’s employee stock ownership plan holds 104,998,028 shares, with an additional 91,798,028 shares held through a credit account[11] - The company has established a concerted action agreement among several major shareholders, indicating a strategic alignment[11] Operational Insights - The increase in revenue was primarily driven by rising prices of refrigerants and increased sales of high-end aluminum foil and electronic components[8] - The contribution from the newly consolidated subsidiary, Lanhengda, significantly boosted revenue during the reporting period[8] - The company has implemented a divisional restructuring to enhance resource allocation efficiency and market responsiveness[8] Expenses - Research and development expenses increased to ¥418,389,737.30 in 2025, compared to ¥311,598,559.68 in 2024, marking a rise of 34.3%[18] - Financial expenses for the first three quarters of 2025 were ¥388,368,438.03, up from ¥219,991,784.19 in 2024, indicating a 76.6% increase[18] Investment Performance - Investment income for the first three quarters of 2025 was ¥97,075,377.31, compared to ¥44,268,214.61 in 2024, showing a growth of 119.8%[18] Inventory and Receivables - Accounts receivable increased to RMB 3,141,110,459.10 from RMB 2,340,057,666.70 year-over-year[12] - Inventory stood at RMB 1,844,414,053.31, up from RMB 1,771,518,483.05 in the previous year[12]
爱尔眼科(300015) - 2025 Q3 - 季度财报
2025-10-27 11:20
爱尔眼科医院集团股份有限公司 2025 年第三季度报告 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: 证券代码:300015 证券简称:爱尔眼科 公告编号:2025-077 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。 爱尔眼科医院集团股份有限公司 2025 年第三季度报告 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。 适用 □不适用 3.第三季度财务会计报告是否经过审计 □是 否 1 爱尔眼科医院集团股份有限公司 2025 年第三季度报告 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 | 本报告期比上年 | 年初至报告期末 | 年初至报告 期末比上年 | | --- | --- | --- | --- | --- | | | | 同期增减 | | 同期增减 | | 营业收入(元) | 5,976,7 ...
旗天科技(300061) - 2025 Q3 - 季度财报
2025-10-27 11:20
2025 年第三季度报告 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: 旗天科技集团股份有限公司 2025 年第三季度报告 证券代码:300061 证券简称:旗天科技 公告编号:2025-059 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。 旗天科技集团股份有限公司 1 旗天科技集团股份有限公司 2025 年第三季度报告 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 | 本报告期比上年同期 | 年初至报告期末比上 年初至报告期末 | | | --- | --- | --- | --- | --- | | | | 增减 | 年同期增减 | | | 营业收入(元) | 124,565,503.47 | -13.74% | 351,171,160.81 | -31 ...
久立特材(002318) - 2025 Q3 - 季度财报
2025-10-27 11:20
Financial Performance - The company's operating revenue for the third quarter reached ¥3,641,612,151.70, representing a year-on-year increase of 57.46%[5] - The net profit attributable to shareholders was ¥434,090,041.25, an increase of 8.29% compared to the same period last year[5] - The net profit attributable to shareholders after deducting non-recurring gains and losses was ¥409,301,703.20, up 12.32% year-on-year[5] - The basic earnings per share for the period was ¥0.46, reflecting a growth of 9.52%[5] - The company's operating revenue for the first nine months of 2025 reached ¥9,746,721,458.13, an increase of 36.45% compared to ¥7,143,204,732.22 in the same period of 2024[9] - The total profit amounted to ¥1,580,771,684.96, reflecting a growth of 28.49% from ¥1,230,240,621.83 year-on-year[9] - The net profit attributable to shareholders was ¥1,261,622,157.80, up 20.73% from ¥1,044,958,715.20 in the previous year[9] - Net profit for the period was ¥1,277,807,467.08, representing a growth of 18.9% compared to ¥1,073,503,925.06 in the previous year[17] Assets and Liabilities - Total assets at the end of the reporting period amounted to ¥13,431,950,700.44, a decrease of 5.18% from the end of the previous year[5] - The company's total assets decreased to ¥13,431,950,700.44 from ¥14,166,077,883.17 at the beginning of the year, a decline of 5.2%[15] - Current assets totaled ¥7,775,123,747.67, down 5.4% from ¥8,215,650,676.65 at the start of the year[14] - The company's total liabilities decreased to ¥5,023,197,564.08 from ¥6,049,312,144.75, a decline of 16.9%[15] - The equity attributable to shareholders of the parent company increased to ¥8,155,285,142.56 from ¥7,879,483,053.90, reflecting a growth of 3.5%[15] Cash Flow - The company's cash flow from operating activities for the year-to-date was ¥598,226,762.33, showing an increase of 61.63%[5] - The company's cash flow from operating activities increased by 61.63%, totaling ¥598,226,762.33 compared to ¥370,127,524.57 in the same period last year[9] - Cash flow from operating activities generated a net cash inflow of CNY 598,226,762.33, compared to CNY 370,127,524.57 in the same period last year[21] - The company reported a total operating cash inflow of CNY 9,940,328,694.36, compared to CNY 8,255,164,152.03 in the previous year[21] Investments and Expenses - Research and development expenses increased by 12.87%, reaching ¥324,013,796.95 compared to ¥287,068,555.07 in the previous year[9] - The company reported a significant increase in sales expenses, which rose by 35.80% to ¥390,333,868.35, attributed to the expansion of overseas sales[9] - Research and development expenses for the period were ¥324,013,796.95, an increase of 12.9% compared to ¥287,068,555.07 in the previous year[17] - The company reported an investment income of ¥99,181,159.60, significantly higher than ¥37,228,827.68 from the same period last year[17] Shareholder Information - The number of ordinary shareholders at the end of the reporting period was 27,596, with the largest shareholder, Jiuli Group Co., Ltd., holding 34.76% of the shares[11] - Basic and diluted earnings per share increased to CNY 1.33 from CNY 1.09 year-over-year[18] Other Financial Metrics - Accounts receivable increased by 60.94% to ¥1,965,027,299.47, primarily due to growth in sales revenue[8] - The company disposed of part of its equity in an associate, resulting in a decrease in long-term equity investments by 56.98% to ¥456,585,998.63[8] - Other current assets surged by 1770.72% to ¥620,366,691.25, mainly due to investments in liquid principal-protected financial products[8] - Short-term borrowings decreased by 37.92%, from ¥734,936,284.73 to ¥456,266,330.74, primarily due to the repayment of maturing working capital loans[9] - Contract liabilities fell by 42.33%, from ¥1,787,119,701.82 to ¥1,030,639,453.64, as a result of recognizing revenue from previously received customer prepayments[9] - The total comprehensive income attributable to the parent company's owners was CNY 1,325,894,072.61, an increase from CNY 1,043,880,457.07 in the previous year[18] - Total operating costs amounted to ¥8,271,157,894.93, up 37.5% from ¥6,013,727,971.37 year-on-year[16]
盛景微(603375) - 2025 Q3 - 季度财报
2025-10-27 11:20
无锡盛景微电子股份有限公司 2025 年第三季度报告 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: 无锡盛景微电子股份有限公司 2025 年第三季度报告 证券代码:603375 证券简称:盛景微 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。 第三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 | | | 本报告期比 | | 年初至报告期 | | --- | --- | --- | --- | --- | | 项目 | 本报告期 | 上年同期增 | 年初至报告期末 | 末比上年同期 | | | | 减变动幅度 | | 增减变动幅度 | | | | (%) | | (%) | | 营业收入 | 111,217,180.78 | -2.77 | ...