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华伍股份2025年中报简析:增收不增利,公司应收账款体量较大

Core Viewpoint - The financial performance of Huawu Co., Ltd. (300095) for the first half of 2025 shows a mixed picture, with revenue growth but a significant decline in net profit and profitability ratios [1]. Financial Performance Summary - Total revenue for the first half of 2025 reached 627 million yuan, an increase of 12.41% year-on-year [1]. - Net profit attributable to shareholders was 16.89 million yuan, a decrease of 28.29% compared to the previous year [1]. - In Q2 2025, total revenue was 348 million yuan, up 10.37% year-on-year, while net profit attributable to shareholders was 7.01 million yuan, an increase of 2.9% [1]. - The gross margin was 23.37%, down 10.27% year-on-year, and the net margin was 1.94%, down 47.48% year-on-year [1]. - Total operating expenses (selling, administrative, and financial expenses) amounted to 94.54 million yuan, accounting for 15.09% of revenue, a decrease of 7.96% year-on-year [1]. - Earnings per share were 0.04 yuan, down 26.8% year-on-year, and operating cash flow per share was -0.05 yuan, a decrease of 123.23% year-on-year [1]. Cash Flow Analysis - The net cash flow from operating activities decreased by 123.23% due to a reduction in cash received from sales [1][2]. - The net cash flow from investing activities saw a drastic decline of 1211.74% due to a decrease in cash received from investments [2]. - The net cash flow from financing activities increased by 221.33% as a result of increased cash received from borrowings [3]. Business Evaluation - The company's historical net profit margin has been weak, with a median ROIC of 4.4% over the past decade, indicating poor investment returns [4]. - The company has reported two years of losses since its IPO, suggesting a fragile business model [4]. Debt and Liquidity Status - The company maintains a healthy cash position, with cash assets being sufficient [4]. - The cash ratio (cash assets to current liabilities) stands at 93.97%, and the average operating cash flow over the past three years to current liabilities is only 19.01% [5]. - The interest-bearing debt ratio has reached 25.87%, indicating a notable level of debt [5].