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山東黃金:2024年第一季度報告

SD GOLD: 2024 FIRST QUARTERLY REPORT

Hong Kong Stock Exchange ·  Apr 26 10:26
Summary by Moomoo AI
山東黃金礦業股份有限公司(「本公司」)公布了2024年第一季度報告,未經審計的財務數據顯示,公司營業收入達到約189.57億元人民幣,同比增長44.73%;歸屬於上市公司股東的净利润約為6.99億元人民幣,同比增長59.48%。基本每股收益為0.13元,較去年同期增加85.71%。經營活動產生的現金流量净額大幅增加至約17.34億元人民幣,增加185.93%。報告期內,公司總資產增至約1429.09億元人民幣,較上年度末增加6.17%。本公司董事會保證報告內容真實、準確、完整,並承擔相應法律責任。報告由董事長李航於2024年4月26日於中國濟南發布。
山東黃金礦業股份有限公司(「本公司」)公布了2024年第一季度報告,未經審計的財務數據顯示,公司營業收入達到約189.57億元人民幣,同比增長44.73%;歸屬於上市公司股東的净利润約為6.99億元人民幣,同比增長59.48%。基本每股收益為0.13元,較去年同期增加85.71%。經營活動產生的現金流量净額大幅增加至約17.34億元人民幣,增加185.93%。報告期內,公司總資產增至約1429.09億元人民幣,較上年度末增加6.17%。本公司董事會保證報告內容真實、準確、完整,並承擔相應法律責任。報告由董事長李航於2024年4月26日於中國濟南發布。
Shandong Gold Mining Co., Ltd. (the “Company”) announced its first quarter report for 2024, with unaudited financial data showing that the Company's operating income reached approximately RMB189.57 billion, an increase of 44.73% year-on-year; net profit attributable to shareholders of listed companies amounted to approximately RMB6.99 billion, a year-on-year increase 59.48%. Basic earnings per share were $0.13, an increase of 85.71% over the same period last year. Net cash flow generated by operating activities increased significantly to approximately RMB17.34 billion, an increase of 185.93%. During the reporting period, the company's total assets increased to approximately RMB1429.09 billion, an increase of 6.17% year-on-year. The Board of Directors ensures that the content of the reports is truthful, accurate, complete, and assumes legal responsibility accordingly. The report was issued by Chairman Li Hung on 26 April 2024 in Jinan, China.
Shandong Gold Mining Co., Ltd. (the “Company”) announced its first quarter report for 2024, with unaudited financial data showing that the Company's operating income reached approximately RMB189.57 billion, an increase of 44.73% year-on-year; net profit attributable to shareholders of listed companies amounted to approximately RMB6.99 billion, a year-on-year increase 59.48%. Basic earnings per share were $0.13, an increase of 85.71% over the same period last year. Net cash flow generated by operating activities increased significantly to approximately RMB17.34 billion, an increase of 185.93%. During the reporting period, the company's total assets increased to approximately RMB1429.09 billion, an increase of 6.17% year-on-year. The Board of Directors ensures that the content of the reports is truthful, accurate, complete, and assumes legal responsibility accordingly. The report was issued by Chairman Li Hung on 26 April 2024 in Jinan, China.
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