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TL NATURAL GAS:截至二零二三年十二月三十一日止年度之年度業績公告

TL NATURAL GAS: ANNUAL RESULTS ANNOUNCEMENT FOR THE YEAR ENDED 31 DECEMBER 2023

香港交易所 ·  Mar 25 10:43
Summary by Moomoo AI
TL Natural Gas Holdings Limited(「本公司」)公佈截至2023年12月31日止年度之經審核綜合業績。本公司及其附屬公司(「本集團」)主要從事天然氣銷售及提供數字營銷服務。年內收入為人民幣77,952千元,毛利為人民幣7,487千元,但錄得虧損淨額人民幣23,262千元。本集團於報告期內進行了物業、廠房及設備以及使用權資產的減值評估,並確認了相關減值虧損。此外,本集團於報告期後進行了配售股份事項,共配售5,940,000股,所得款項淨額約為3百萬港元,擬用於投資再生能源相關業務及一般營運資金。截至2023年12月31日,本集團資產總值為人民幣69,160千元,負債總額為人民幣9,875千元,權益總額為人民幣59,285千元。
TL Natural Gas Holdings Limited(「本公司」)公佈截至2023年12月31日止年度之經審核綜合業績。本公司及其附屬公司(「本集團」)主要從事天然氣銷售及提供數字營銷服務。年內收入為人民幣77,952千元,毛利為人民幣7,487千元,但錄得虧損淨額人民幣23,262千元。本集團於報告期內進行了物業、廠房及設備以及使用權資產的減值評估,並確認了相關減值虧損。此外,本集團於報告期後進行了配售股份事項,共配售5,940,000股,所得款項淨額約為3百萬港元,擬用於投資再生能源相關業務及一般營運資金。截至2023年12月31日,本集團資產總值為人民幣69,160千元,負債總額為人民幣9,875千元,權益總額為人民幣59,285千元。
TL Natural Gas Holdings Limited (the “Company”) announces audited consolidated results for the year ended 31 December 2023. The Company and its subsidiaries (the “Group”) are primarily engaged in the sale of natural gas and the provision of digital marketing services. Revenue for the year was RMB77,952 thousand and gross profit was RMB7,487 thousand, but a net loss of RMB23,262 thousand was recorded. During the reporting period, the Group carried out a depreciation assessment of property, plant and equipment and rights of use assets and confirmed related impairment losses. In addition, the Group made a share distribution after the reporting period, for a total of 5,940,000 shares, with a net proceeds of approximately HK$3 million to be used to invest in renewable energy-related businesses and general operating capital. As at 31 December 2023, the Group's total assets were RMB69,160 thousand, total liabilities were RMB9,875 thousand, and total equity was RMB59,285 thousand.
TL Natural Gas Holdings Limited (the “Company”) announces audited consolidated results for the year ended 31 December 2023. The Company and its subsidiaries (the “Group”) are primarily engaged in the sale of natural gas and the provision of digital marketing services. Revenue for the year was RMB77,952 thousand and gross profit was RMB7,487 thousand, but a net loss of RMB23,262 thousand was recorded. During the reporting period, the Group carried out a depreciation assessment of property, plant and equipment and rights of use assets and confirmed related impairment losses. In addition, the Group made a share distribution after the reporting period, for a total of 5,940,000 shares, with a net proceeds of approximately HK$3 million to be used to invest in renewable energy-related businesses and general operating capital. As at 31 December 2023, the Group's total assets were RMB69,160 thousand, total liabilities were RMB9,875 thousand, and total equity was RMB59,285 thousand.
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