2026年一季度报告(英文版)
1Stock code: 000488200488Stock abbreviation: ST ChenmingST Chenming BAnnouncement No.: 2026-027SHANDONG CHENMING PAPER HOLDINGS LIMITED2026 First Quarterly ReportThe Company and whole members of the Board guarantee that the information disclosed is true, accurateand complete, and there are no any fictitious records, misleading statements or important omissions.IMPORTANT NOTICE:1. The Board, the directors (the “Directors”), and senior management (the “Senior Management”)hereby warrant the truthfulness, accuracy and completeness of this quarterly report which does notcontain any false representation, misleading statement or material omission, and are jointly and severallyresponsible for the liabilities of the Company.2. The head of the Company, the head in charge of accounting, and the head of the accounting department(Accounting Officer), declare that they warrant the truthfulness, accuracy and completeness of thefinancial information in this quarterly report.3. Has the first quarterly report already been audited yet?□ Yes ✓ No2I.KEY FINANCIAL DATA(i)Major accounting data and financial indicatorsRetrospective adjustment to or restatement of the accounting data for prior years by the Company□ Yes ✓ NoThe reportingperiodThe correspondingperiod of the prioryearIncrease/decrease duringthe reporting periodcompared to thecorresponding period ofthe prior year (%)Revenue (RMB)2,981,106,295.86797,157,638.89273.97%Net profit attributable to shareholdersof the Company (RMB)-512,471,075.82-1,451,634,120.4764.70%Net profit after extraordinary gains orlosses attributable to shareholders of theCompany (RMB)-587,285,923.37-1,461,511,392.2559.82%Net cash flows from operating activities(RMB)25,641,488.50530,619,916.12-95.17%Basic earnings per share (RMB per share)-0.17-0.4965.31%Diluted earnings per share (RMB pershare)-0.17-0.4965.31%Rate of return on weighted average netassets-77.63%-17.22% Decrease of 60.41percentagepointsAs at the end of thereporting periodAs at the end ofthe prior yearIncrease/decrease as at theend of the reporting periodcompared to the end of theprior year (%)Total assets (RMB)51,116,007,147.62 50,620,148,908.130.98%Owners’ equity attributable toshareholders of the Company (RMB)416,532,045.46903,835,592.13-53.92%(ii)Items and amounts of extraordinary gains or losses✓ Applicable □ Not ApplicableUnit: RMBItemAmount for thereporting periodExplanationProfit or loss from disposal of non-current assets (including write-off ofasset impairment provision)-2,808,213.67Government grants (except for the government grants closely related tothe ordinary course of business of the Company, granted in accordancewith an established standard and having an ongoing effect on theCompany’s profit or loss in compliance with national policies andregulations) accounted for in profit or loss for the current period13,814,264.74Except for effective hedging business conducted in the ordinary course ofbusiness of the Company, gain or loss arising from the change in fairval
2026年一季度报告(英文版),点击即可下载。报告格式为PDF,大小0.26M,页数12页,欢迎下载。



