深圳能源:公司高度重视市值管理工作

Core Viewpoint - Shenzhen Energy emphasizes the importance of market value management and outlines various strategies to enhance its operational performance and investor relations [1] Group 1: Market Value Management Strategies - The company focuses on the development of its core business and continuously improves operational performance through lean management [1] - Shenzhen Energy has achieved good results in information disclosure management assessments by the Shenzhen Stock Exchange and actively practices ESG principles, having published a sustainable development report for three consecutive years [1] - The company has been recognized in several ESG-related rankings, including "China ESG Listed Companies Greater Bay Area Pioneer 50 (2025)" and "Greater Bay Area State-Owned Enterprises ESG Development Index (2025)" [1] Group 2: Investor Relations and Shareholder Returns - Shenzhen Energy actively engages in investor relations through performance briefings, investor communication days, and responding to inquiries on interactive platforms to enhance communication quality and investor understanding [1] - The company has a strong commitment to shareholder returns, having distributed cash dividends for 30 years consecutively, with 24 years of continuous cash dividends totaling 12.497 billion yuan and an average cash dividend ratio of 34.39% [1]