装修工程
Search documents
科华生物:截至2025年6月30日,合并资产负债表中在建工程期末余额为1640045.17元
Zheng Quan Ri Bao Zhi Sheng· 2026-02-09 09:08
Core Viewpoint - The company, Kehua Bio-engineering, disclosed its construction in progress balance as of June 30, 2025, amounting to 1,640,045.17 yuan, which includes renovation and miscellaneous projects [1]. Group 1 - The company responded to investor inquiries on its interactive platform regarding its financial status [1]. - The balance of construction in progress is detailed in the company's semi-annual report for 2025 [1].
郑中设计:2025年Q4装修业务新签单近6亿元
Xin Lang Cai Jing· 2026-01-26 11:07
Core Viewpoint - The company announced its performance in the decoration and design business for Q4 2025, highlighting significant order amounts and backlog figures [1] Summary by Category New Orders - The total new signed orders for the decoration and design business amounted to 59,817.01 million yuan, with breakdowns of 27,762.32 million yuan for design, 23,986.79 million yuan for soft decoration, and 8,067.90 million yuan for engineering [1] Backlog Orders - As of the end of the reporting period, the cumulative amount of awarded but unsigned orders was 5,078.37 million yuan, with 1,872.06 million yuan for design and 3,206.31 million yuan for soft decoration [1] - The cumulative signed but uncompleted orders totaled 374,583.68 million yuan, with 300,297.34 million yuan for design, 62,580.87 million yuan for soft decoration, and 11,705.47 million yuan for engineering [1] Project Status - There were no major projects reported in the quarter, and the data provided is preliminary and unaudited [1]
勘设股份(603458):中标贵州贵金高速公路有限公司采购项目,中标金额为555.63万元
Xin Lang Cai Jing· 2026-01-15 14:19
Group 1 - The company Guizhou Provincial Transportation Planning and Design Institute Co., Ltd. won a bid for the Guizhou Guijin Expressway project with a contract amount of 5.5563 million yuan [1] - The project is related to the risk slope monitoring service for the Guizhou Guijin Expressway [1] Group 2 - Listed company: Kanshe Co., Ltd. (603458.SH) reported a revenue of 1.505 billion yuan in 2024, with a revenue growth rate of -25.55% [2][3] - The net profit attributable to the parent company for 2024 was -307 million yuan, with a net profit growth rate of -641.65% [2][3] - In the first half of 2025, the company reported a revenue of 572 million yuan, with a revenue growth rate of 3.50% [2][3] - The net profit attributable to the parent company for the first half of 2025 was -97 million yuan, with a net profit growth rate of -24.76% [2][3] - The company operates in the industrial sector, primarily offering professional consulting services and renovation projects [2][3] - The main business composition for 2024 includes engineering consulting (77.24%), engineering contracting (20.54%), product sales (1.91%), and other businesses (0.31%) [2][3]
奥邦建筑(01615.HK)上半年纯利跌91.80%至31.4万澳门币
Ge Long Hui· 2025-08-28 13:45
Core Viewpoint - Aobo Construction (01615.HK) reported a significant increase in revenue for the first half of 2025, driven by successful execution of renovation projects and expansion in the construction materials trade [1] Financial Performance - The company's revenue reached 171 million Macanese Patacas, representing a year-on-year growth of 189.93% [1] - However, the profit attributable to shareholders decreased to 314,000 Macanese Patacas, a decline of 91.80% compared to the previous year [1] - Basic earnings per share stood at 0.05 Macanese cents [1]
奥邦建筑发布中期业绩,股东应占溢利澳门币31.4万元,同比下降91.8%
Zhi Tong Cai Jing· 2025-08-28 13:03
Core Viewpoint - Aobo Construction (01615) reported a significant increase in revenue for the first half of 2025, driven by successful execution of renovation projects and expansion in building materials trading [1] Financial Performance - Revenue reached MOP 171 million, representing a year-on-year increase of 189.9% [1] - Profit attributable to owners decreased to MOP 314,000, a decline of 91.8% compared to the previous year [1] - Basic earnings per share stood at MOP 0.05 [1]
泰锦控股(08321)发布全年业绩,净亏损588.8万港元,同比减少48.39%
智通财经网· 2025-07-31 14:23
Group 1 - The company reported a total revenue of HKD 40.55 million for the year ending April 30, 2025, representing a year-on-year increase of 6.34% [1] - The net loss for the company was HKD 5.888 million, which is a reduction of 48.39% compared to the previous year [1] - The basic loss per share was HKD 0.0239 [1] Group 2 - The increase in revenue was primarily attributed to the rise in site leveling and renovation projects during the reporting period [1]
迪臣发展国际:2024-2025年度亏损7372.4万港元
Sou Hu Cai Jing· 2025-07-17 11:15
Core Viewpoint - Dishen Development International (00262) reported a revenue of HKD 135 million for the fiscal year ending March 31, 2025, representing a year-on-year growth of 5.77%. However, the company incurred a net loss attributable to shareholders of HKD 73.72 million, slightly improved from a loss of HKD 75.69 million in the previous year [2]. Financial Performance - The company achieved a net cash flow from operating activities of HKD 37.32 million, a significant improvement from a negative cash flow of HKD 32.44 million in the previous year [2]. - Basic earnings per share were reported at -0.0503 HKD, with an average return on equity of -5.65%, a decrease of 0.3 percentage points from the previous year [2][24]. - As of July 17, the price-to-book ratio (TTM) was approximately 0.08 times, and the price-to-sales ratio (TTM) was about 0.74 times [2]. Revenue Composition - For the fiscal year 2024-2025, the revenue composition included HKD 76.1 million from property development and investment, HKD 19.4 million from trade, and HKD 0.761 million from other business segments [19][20]. Cash Flow and Investment Activities - The net cash flow from financing activities was negative HKD 154 million, a decrease of HKD 51.49 million compared to the previous year, while the net cash flow from investing activities was HKD 115 million, down from HKD 148 million in the previous year [28]. Asset and Liability Changes - As of March 31, 2025, fixed assets increased by 20.6%, while investment properties decreased by 3.07%. Inventory saw a reduction of 20.47%, and accounts receivable decreased by 47.46% [38]. - Short-term borrowings decreased by 44.67%, while lease liabilities surged by 11,488.82%. Accounts payable increased by 41.22% [41]. Liquidity Ratios - The company reported a current ratio of 2.28 and a quick ratio of 0.78 during the reporting period [44].
郑中设计(002811) - 2025年第一季度装修装饰业务主要经营情况简报
2025-04-28 11:45
证券代码:002811 证券简称:郑中设计 公告编号:2025-035 一、按业务类型分类订单汇总表 单位:万元 | 项目 类型 | 2025 年第一季度 新签订单金额 | | 截至报告期末累计 已中标未签订单金额 | 截至报告期末累计 已签约未完工订单金额 | | --- | --- | --- | --- | --- | | 设计 | | 31,461.98 | 2,883.32 | 285,674.92 | | 软装 | | 11,658.88 | 6,013.06 | 48,878.71 | | 工程 | | | 3,805.30 | 20,376.83 | | 合计 | | 43,120.86 | 12,701.68 | 354,930.46 | 注:1、公司2025年第一季度不存在重大项目; 2、以上数据仅为阶段性数据且未经审计,仅供各位投资者参阅。 深圳市郑中设计股份有限公司 特此公告。 2025 年第一季度装修装饰业务主要经营情况简报 本公司及董事会全体成员保证信息披露内容的真实、准确和完整,没有虚 假记载、误导性陈述或重大遗漏。 根据《深圳证券交易所股票上市规则》、《深圳证券交易所上市公司自 ...