力量钻石(301071) - 2025 Q3 - 季度财报

Revenue and Profit - The company's revenue for the third quarter was CNY 160,077,858.91, representing a year-on-year increase of 1.31%, while the year-to-date revenue decreased by 25.36% to CNY 401,986,591.06[3] - Net profit attributable to shareholders for the third quarter was CNY 20,358,363.35, down 28.97% year-on-year, and year-to-date net profit decreased by 73.84% to CNY 46,272,577.43[3] - Total operating revenue for the current period was ¥401,986,591.06, a decrease of 25.4% compared to ¥538,553,122.42 in the previous period[21] - Net profit for the current period was ¥46,272,577.43, down 73.9% from ¥176,880,401.92 in the previous period[22] Earnings Per Share - The basic earnings per share for the third quarter was CNY 0.0800, a decrease of 27.34% compared to the same period last year, with year-to-date earnings per share down 73.23% to CNY 0.1819[3] - Basic earnings per share for the current period were ¥0.1819, down from ¥0.6796 in the previous period[23] Assets and Liabilities - Total assets at the end of the reporting period were CNY 6,717,723,113.34, an increase of 2.13% from the end of the previous year[4] - Total assets increased to ¥6,717,723,113.34, up from ¥6,577,302,408.96 in the previous period[19] - Total liabilities rose to ¥1,424,787,591.13, compared to ¥1,286,828,958.23 in the previous period[19] - Current liabilities increased to ¥1,040,023,229.93, up from ¥817,256,864.75 in the previous period[18] Cash Flow - The company's cash flow from operating activities for the year-to-date was CNY 288,367,882.50, down 26.24% compared to the previous year[3] - Operating cash flow for the current period is ¥288,367,882.50, a decrease of 26.2% compared to ¥390,931,837.36 in the previous period[25] - Net cash flow from investment activities improved significantly, reaching CNY 22,008,695.63, compared to a negative cash flow of CNY 208,634,686.89 in the previous period, an increase of 110.55%[10] - Net cash flow from investment activities is ¥22,008,695.63, a significant improvement from a negative cash flow of -¥208,634,686.89 in the previous period[25] - Cash inflow from financing activities totaled ¥700,000,000.00, an increase of 25% compared to ¥560,000,000.00 in the previous period[26] - Net cash flow from financing activities decreased to -¥4,645,749.98, down from ¥46,929,504.70 in the previous period[26] Research and Development - Research and development expenses increased by 80.79% to CNY 48,554,021.19 compared to the previous period, reflecting increased investment in R&D[9] - Research and development expenses rose to ¥48,554,021.19, an increase of 80.9% compared to ¥26,856,618.86 in the previous period[22] Shareholder Information - Total number of common shareholders at the end of the reporting period is 26,264[12] - The largest shareholder, Shao Zengming, holds 33.64% of shares, totaling 87,548,262 shares[12] - The second-largest shareholder, Li Aizhen, holds 13.83% of shares, totaling 36,000,000 shares[12] - The company's repurchase account holds 5,822,020 shares, representing 2.24% of total shares, all of which are unrestricted[14] Current Assets - Total current assets at the end of the reporting period amount to ¥4,404,024,294.26, a slight decrease from ¥4,430,284,096.76 at the beginning of the period[16] - Cash and cash equivalents at the end of the reporting period are ¥1,248,574,937.05, down from ¥1,253,107,298.49[16] - Trading financial assets increased to ¥2,595,054,798.79 from ¥2,529,873,797.10[16] - Accounts receivable decreased to ¥28,623,827.07 from ¥36,610,609.69[16] - Inventory increased to ¥439,659,081.92 from ¥415,798,504.06[16] - Other current assets decreased significantly from ¥106,164,947.01 to ¥28,539,354.11[16] Income Tax and Expenses - The company reported a decrease in income tax expenses by 97.71% to CNY 639,494.40, attributed to a decline in total profit[9] - Total operating costs increased to ¥417,509,149.55, up 4.5% from ¥398,106,032.87 in the previous period[21] - Cash paid for purchasing goods and services was ¥170,614,755.99, down from ¥248,717,286.33 in the previous period, indicating a reduction of 31.4%[24] - Cash paid to employees decreased to ¥46,222,930.44 from ¥60,893,334.39, reflecting a decline of 24.1%[25] Comprehensive Income - Other comprehensive income after tax was a loss of ¥5,642,962.00, compared to a loss of ¥923,035.99 in the previous period[22]