Workflow
博众精工(688097) - 2025 Q3 - 季度财报

Financial Performance - The company's operating revenue for the third quarter reached CNY 1,776,584,716.97, representing a year-on-year increase of 23.31%[3] - The total profit for the quarter was CNY 179,907,286.01, reflecting a growth of 12.15% compared to the same period last year[3] - Net profit attributable to shareholders was CNY 169,761,890.85, up 7.44% year-on-year[3] - The basic earnings per share (EPS) for the quarter was CNY 0.380, an increase of 7.37% compared to the previous year[4] - Total operating revenue for the first three quarters of 2025 reached ¥3,653,082,205.42, an increase of 11.5% compared to ¥3,274,319,320.30 in the same period of 2024[16] - Net profit for the first three quarters of 2025 was ¥318,375,190.08, representing a 28% increase from ¥248,701,409.66 in the previous year[17] - Basic and diluted earnings per share for the first three quarters of 2025 were both ¥0.744, compared to ¥0.568 in the same period of 2024[18] - The total comprehensive income for the first three quarters of 2025 was ¥319,282,947.71, compared to ¥242,884,457.29 in the same period of 2024[18] Research and Development - Research and development (R&D) expenses totaled CNY 167,696,357.14, accounting for 9.44% of operating revenue, a decrease of 0.81 percentage points[4] - Research and development expenses for the first three quarters of 2025 were ¥403,285,476.20, slightly up from ¥383,016,975.57 in the same period of 2024[16] Assets and Liabilities - Total assets increased by 36.00% to CNY 12,100,604,071.69 compared to the end of the previous year[4] - The company reported total current assets of CNY 10,047,000,279.23 as of September 30, 2025, an increase from CNY 7,491,135,646.25 in the previous year, representing a growth of approximately 34.5%[12] - Total liabilities increased to ¥7,222,144,852.40, up from ¥4,456,060,730.94 year-over-year[15] - Total equity attributable to shareholders rose to ¥4,744,950,169.87, an increase from ¥4,455,367,243.57 in the previous year[15] Cash Flow - Cash flow from operating activities for the year-to-date reached CNY 710,127,394.14, a significant increase of 411.18%[3] - Operating cash flow for the first three quarters of 2025 reached ¥710,127,394.14, a significant increase of 411.5% compared to ¥138,920,083.54 in the same period of 2024[19] - Total cash inflow from operating activities was ¥4,530,084,410.75, up from ¥3,204,114,845.79, reflecting a growth of 41.3% year-over-year[19] - Cash outflow for purchasing goods and services increased to ¥1,991,970,019.92 from ¥1,392,953,584.23, representing a rise of 43.2%[19] - The ending balance of cash and cash equivalents increased to ¥1,404,628,074.35, up from ¥861,450,085.58, reflecting a growth of 62.9%[20] Shareholding Structure - The largest shareholder, Jiangsu Bozhong Intelligent Technology Group Co., Ltd., holds 29.03% of the shares, while Suzhou Zhong Er Equity Investment Partnership holds 26.78%[10] - There are no significant changes in the shareholding structure of the top 10 shareholders compared to the previous period[11] Other Information - The company has not engaged in any financing or securities lending activities during the reporting period[11] - The company has not disclosed any new product developments or market expansion strategies in the current report[11] - The company did not apply new accounting standards for the current reporting period[21]