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凯美特气: 2025年半年度财务报告
Zheng Quan Zhi Xing· 2025-07-29 16:09
Core Viewpoint - Hunan Kaimete Gas Co., Ltd. reported its unaudited financial results for the first half of 2025, showing a decrease in total assets and a decline in net profit compared to the same period in 2024. Financial Statements - Total assets at the end of the reporting period amounted to CNY 2,828,089,858.17, a decrease from CNY 2,860,348,416.96 at the beginning of the period [2][3]. - Current assets totaled CNY 1,164,938,444.23, down from CNY 1,276,986,801.70 [2]. - Non-current assets increased to CNY 1,663,151,413.94 from CNY 1,583,361,615.26 [2]. Revenue and Profit - Total operating revenue for the first half of 2025 was CNY 310,361,578.63, compared to CNY 280,813,705.76 in the same period of 2024, indicating an increase [5]. - Total operating costs decreased to CNY 267,205,639.63 from CNY 356,714,385.94 [5]. - The net profit for the first half of 2025 was CNY -198,141.44, a decline from CNY -739,966.14 in the previous year [6]. Cash Flow - Net cash flow from operating activities was CNY 57,210,356.80, down from CNY 62,618,009.15 in the first half of 2024 [8]. - Cash and cash equivalents at the end of the period were CNY 285,989,255.68, a decrease from CNY 466,725,607.76 at the beginning of the period [8]. Liabilities and Equity - Total liabilities decreased to CNY 778,459,287.89 from CNY 867,223,304.00 [3]. - Total equity increased to CNY 2,049,630,570.28 from CNY 1,993,125,112.96 [3].