江铃汽车2024年三季度报告(英文版)
1 Share’s code: 000550 Share’s Name: Jiangling Motors No.: 2024-041 200550 Jiangling B Jiangling Motors Corporation, Ltd. 2024 Third Quarter Report Jiangling Motors Co., Ltd. and its Board members undertake that the information disclosed herein is truthful, accurate and complete and does not contain any false statement, misrepresentation or major omission. Important Note 1. The Board of Directors and its members, the Supervisory Board and its members, and the senior executives are jointly and severally liable for the truthfulness, accuracy and completeness of the information disclosed in the Report, and confirm that the information disclosed herein does not contain any false statement, misrepresentation or major omission. 2. Chairman Qiu Tiangao, CFO Joey Zhu and Chief of Finance Department, Hu Hanfeng, confirm that the financial statements in this Quarter Report are truthful, accurate and complete. 3. Whether the 2024 third report is audited? □Yes No §1 Brief Introduction 1. Main accounting data and financial indicators Unit: RMB Reporting period (2024 Third Quarter) YoY Change (%) Beginning of Year to End of Reporting Period YoY Change (%) Revenue 9,810,550,680 21.44% 27,730,616,481 17.96% Net Profit Attributable to the Equity Holders of the Company 270,610,898 -3.38% 1,166,091,015 15.52% Net Profit Attributable to Shareholders of Listed Company After Deducting Non-Recurring Profit or Loss 273,470,523 14.05% 1,084,643,011 64.96% Net Cash Generated From Operating Activities —— —— 1,726,373,652 -28.53% Basic Earnings Per Share (RMB) 0.31 -3.38% 1.35 15.52% 2 Diluted Earnings Per Share (RMB) 0.31 -3.38% 1.35 15.52% Weighted Average Return on Net Asset Ratio (%) 2.65% -0.33% 10.86% 0.37% At the End of the Reporting Period At the End of the Previous Year Change (%) Total Assets 29,792,675,620 29,141,187,886 2.24% Shareholder’s equity Attributable to the Equity Holders of the Company 10,928,974,161 10,350,145,738 5.59% 2. Non-recurring profit and loss items and amounts Applicable □Not Applicable Unit: RMB Reporting period (2024 Third Quarter) Beginning of Year to End of Reporting Period Profit and loss of non-current assets disposal (including the charge-off part of the asset impairment provision) -6,260,791 4,331,107 Government subsidies included in the current profit and loss 18,366,385 94,745,361 In addition to the effective hedging business related to the normal operating business of the Company, holding the gains and losses of fair value changes arising from trading financial assets and trading financial liabilities, as well as the investment income obtained from the disposal of trading financial assets, trading financial liabilities and available for sale financial assets -14,928,061 -1,343,588 Capital occupation fee charged for non-financial enterprises included in the current profit and loss 819,252 4,049,856 Other non-operating income and expenses except the above -1,020,662 -5,041,520 Other profit and loss items that m
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