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弘业期货(03678) - 2025年年度报告
2026-03-31 14:45
香港交易及結算所有限公司及香港聯合交易所有限公司對本公告的內容概不 負 責,對 其 準 確 性 或 完 整 性 亦 不 發 表 任 何 聲 明,並 明 確 表 示,概 不 就 因 本 公 告 全部或任何部份內容而產生或因倚賴該等內容而引致的任何損失承擔任何責 任。 Holly Futures ( 於中華人民共和國註冊成立的股份有限公司 , 中文公司名稱蘇豪弘業期貨股 份有限公司 , 在香港 以 Holly Futures 的名義開展業務 ) ( 「 本 公 司 」 ) (股 份 代 號:3678) 海外監管公告 蘇豪弘業期貨股份有限公司 2025年年度報告 本公告乃本公司根據香港聯合交易所有限公司證券上市規則第13.10B條而作 出。 茲 載 列 本 公 司 於 深 圳 證 券 交 易 所 網 站 刊 發 之《蘇 豪 弘 業 期 貨 股 份 有 限 公 司2025 年 年 度 報 告》,僅 供 參 閱。 承董事會命 董事長兼執行董事 儲開榮先生 中國南京 2026年3月31日 於 本 公 告 日 期,董 事 會 成 員 包 括 執 行 董 事 儲 開 榮 先 生 及 趙 偉 雄 先 生;非 執 行 董 事 薛 ...
中泰期货:2024年净利润452.98万元 同比下降96.61%
Sou Hu Cai Jing· 2025-05-06 11:21
Core Viewpoint - Zhongtai Futures reported a significant decline in both revenue and net profit for the fiscal year 2024, indicating challenges in its operational performance [2]. Financial Performance - The company achieved total revenue of 1.851 billion yuan, a year-on-year decrease of 14.03% [2]. - The net profit attributable to shareholders was 4.5298 million yuan, down 96.61% year-on-year [2]. - The net cash flow from operating activities was 1.883 billion yuan, a decline of 34.02% compared to the previous year [2]. - Basic earnings per share were 0.0045 yuan, with a weighted average return on equity of 0.18%, down 5.13 percentage points from the previous year [2][24]. Valuation Metrics - As of April 30, the company's price-to-earnings (P/E) ratio (TTM) was approximately 101.39 times, while the price-to-book (P/B) ratio (TTM) was about 0.18 times, and the price-to-sales (P/S) ratio (TTM) was around 0.25 times [2]. Revenue Composition - In 2024, the revenue composition included 1.5714 billion yuan from brokerage services, 1.1714 billion yuan from risk management services, and 0.005 million yuan from asset management services [18][20]. Cash Flow Analysis - The net cash flow from financing activities was 49.8729 million yuan, an increase of 290 million yuan year-on-year, while the net cash flow from investment activities was -19.5568 million yuan, slightly improved from -21.3083 million yuan in the previous year [26]. Asset and Liability Changes - As of the end of 2024, cash and cash equivalents increased by 10.28%, but their proportion of total assets decreased by 0.99 percentage points [31]. - Short-term borrowings increased by 412.13%, raising their proportion of total assets by 0.25 percentage points, while accounts payable and notes payable decreased by 91.37%, reducing their proportion by 0.25 percentage points [34].