2026年第一季度报告(英文版)

Joyoung Co., Ltd. Interim Report of the First Quarter 20261Ticker: 002242Stock Abbreviation: JoyoungJoyoung Co., Ltd.Interim Report of the First Quarter 2026The Company and all members of the Board of Directors have guaranteed that the information disclosed is true,accurate and complete, and contains no false record, misleading statements or material omissions.Important notes:Board of Directors, all the directors and senior management staff of Joyoung Co., Ltd. (hereinafter referred to as the “Company”) haveguaranteed that this Report contains no false record, misleading statement or material omission and shall be jointly and severally liable for thefactuality, accuracy and completeness of the information given in this Report.CEO of the Company, CFO of the Company, and Chief Accountant of Accounting Institution, declared that the quarterly financial statementsshould be true, accurate and complete.In case of any discrepancy, the Chinese version of the report shall prevail.Whether the first quarterly report was audited□ Yes √ NoJoyoung Co., Ltd. Interim Report of the First Quarter 20262I. Key Accounting Data and Financial Indicators1. Key Accounting Data and Financial IndicatorsWhether the Company performed a retroactive adjustment to or restatement of accounting data□Yes ☑ NoFrom 1 January 2026 to 31March 2026From 1 January 2025 to 31March 2025YoY Change(%)Operating revenue (RMB)1,811,739,072.651,999,944,950.10-9.41%Net Profit attributable to shareholdersof the Company (RMB)82,848,185.00101,488,347.36-18.37%Net profit attributable to shareholders ofthe Company before non-recurringgains and losses (RMB)81,085,913.91106,503,121.32-23.87%Net cash flows from operating activities(RMB)-124,513,989.16245,581,933.84-150.70%Basic earnings per share (RMB / share)0.110.14-21.43%Diluted earnings per share (RMB /share)0.110.14-21.43%Weighted average return on netassets(%)2.40%2.87%decreased by 0.47pct.31 March 202631 December 2025Flux(%)Total assets (RMB)7,430,458,838.647,794,224,747.51-4.67%Net assets attributable to shareholdersof the Company (RMB)3,483,567,511.633,433,241,112.101.47%2. Non-recurring gain and loss items and amounts thereof√ Applicable □Not applicableUnit: RMBItemFrom 1 January2026 to 31 March2026NoteProfit or loss from disposal of non-current assets (including the write off of the provision forimpairment of assets)-114,722.66Government grants included in the current profit or loss (except for government grants thatare closely related to the Company's normal business operations, comply with nationalpolicies, are enjoyed in accordance with determined standards, and have a continuousimpact on the company's profit and loss)6,994,095.73Gains or losses from changes in fair value arising from the holding of financial assets andfinancial liabilities by non-financial enterprises, and gains and losses arising from thedisposal of financial assets and financial liabilities, excluding the effective hedgingbusiness related to the Company’s normal business

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2026年第一季度报告(英文版),点击即可下载。报告格式为PDF,大小0.18M,页数11页,欢迎下载。

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