龙元建设集团股份有限公司2025年半年度报告摘要

Core Viewpoint - The company is experiencing significant operational difficulties and liquidity pressures due to a substantial decrease in new business volume and total revenue, alongside challenges in debt repayment [2]. Group 1: Company Overview - The company has not conducted any profit distribution or capital reserve increase during the reporting period [1]. - The report indicates that the board of directors, supervisors, and senior management guarantee the authenticity and completeness of the report's content [1]. Group 2: Financial Performance - New business volume decreased by 38.63% year-on-year [2]. - Total operating revenue decreased by 46.39% year-on-year [2]. - The company is facing challenges in timely debt repayment due to slower project payment progress and difficulties in bank financing channels [2].