[三季报]老板电器(002508):2025年第三季度报告(英文版)

时间:2025年10月30日 16:35:34 中财网

原标题:老板电器:2025年第三季度报告(英文版)

Stockcode:002508 Stockname:RobamAppliances AnnouncementNo.:2025-056HangzhouRobamAppliancesCo.,Ltd.
Q32025Report
HangzhouRobamAppliancesCo.,Ltd.(theCompany)andallmembersofitsBoardofDirectorsherebyguaranteethatthere arenofalserepresentations,misleadingstatementsormaterialomissionsinthisQuarterlyReport(“theReport”),andthe informationcontainedhereinisauthentic,accurateandcomplete.ImportantNotes
1.TheBoardofDirectors,theBoardofSupervisors,aswellasthedirectors,supervisorsandseniormanagementoftheCompany
herebyguaranteethattherearenofalserepresentations,misleadingstatementsormaterialomissionsintheReport,andare
severallyandjointlyliablefortheauthenticity,accuracyandcompletenessoftheinformationcontainedherein.2.TheheadoftheCompany,thepersoninchargeoftheCompany’saccountingandtheheadoftheaccountingdepartment(the
accountantincharge)herebydeclareandwarrantthatthefinancialreportcontainedintheReportisauthentic,accurate,and
complete.
3.WhethertheQ3financialreporthasbeenaudited?

□Yes?No
I.KeyFinancialData
(I)KeyAccountingDataandFinancialIndicators
WhethertheCompanyneedstoretroactivelyadjustorrestatetheaccountingdataofpreviousyears?□Yes?No

 ThereportingperiodYoYchangeFromthebeginningof theyeartotheendof thereportingperiodYoYchange
OperatingIncome (RMB)2,704,212,014.601.42%7,311,736,717.86-1.14%
Netprofitattributable toshareholdersofthe listedcompany(RMB)445,685,188.260.65%1,157,326,146.45-3.73%
Netprofitattributable toshareholdersofthe listedcompanyafter deductingnon- recurringgains/losses (RMB)417,748,166.590.24%1,059,747,405.50-1.37%
Netcashflowfrom operatingactivities (RMB)729,194,650.2238.69%
Basicearningsper share(EPS) (RMB/share)0.470.00%1.22-3.94%
DilutedEPS (RMB/share)0.470.00%1.22-3.94%
Weightedaverage returnonnetassets3.82%Adecreaseof0.19%9.98%Adecreaseof1.03%
 Endofthereporting periodEndoflastyearChange 
Totalassets(RMB)16,750,049,401.6017,043,258,282.33-1.72% 
Owner'sequity attributableto shareholdersofthe listedcompany(RMB)11,413,394,766.7711,178,437,443.192.10% 
(II)ItemsandAmountsofNon-recurringGainsandLosses
?Applicable□Notapplicable

ItemAmountforthecurrent reportingperiodAmountfromthebeginning oftheyeartotheendofthe reportingperiodDescription
Gainsandlossesondisposal ofnon-currentassets (includingthewritten-off partoftheprovisionforasset impairmentaccrued)-2,790,079.44-6,600,757.78 
Governmentsubsidies includedincurrentgainsand8,681,282.5637,784,189.99 
losses(excludinggovernment subsidiescloselyrelatedto theCompany'snormal business,inlinewithnational policy,enjoyedaccordingto establishedstandards,and havingasustainedimpacton theCompany'sgainsand losses).   
Reversalofimpairment provisionforaccounts receivabletestedfor impairmentseparately28,983,975.3389,143,826.79 
Othernon-operatingincome andexpensesexcludingthe itemslistedabove-1,370,353.43-4,209,470.99 
Less:Affectedamountof incometax4,999,596.5817,949,645.07 
Affectedamountof minorityshareholders’equity (aftertax)568,206.76589,401.99 
Total27,937,021.6897,578,740.95--
Otheritemsofgainsandlossesmeetingthedefinitionofnon-recurringgainsandlosses:□Applicable?Notapplicable
TheCompanydoesnothaveotheritemsofgainsandlossesmeetingthedefinitionofnon-recurringgainsandlossesExplanationonthecircumstancewhereitemsofthenon-recurringgainsandlosseslistedintheExplanatoryAnnouncementNo.1
onInformationDisclosureforCompaniesOfferingTheirSecuritiestothePublic—Non-recurringProfitsandLosses(referredto
as“AnnouncementNo.1”)aredefinedasrecurringprofitsandlosses?Applicable□Notapplicable

ItemAmount(inRMB)Reasons
VATexemption,reductionorrefund27,021,111.35Nationaltaxpolicy,regularbusiness
Refundofindividualincometax handlingfee1,243,598.63Nationaltaxpolicy,regularbusiness
(III)ChangesinMajorAccountingDataandFinancialIndicatorsandTheirReasons?Applicable□Notapplicable

BalancesheetitemsSeptember30,2025January01,2025Percentage ofchangeReasonforchange
Cashandcash equivalents678,895,535.011,631,776,094.27-58.40%Mainlyduetoincreasedpurchasesof wealthmanagementproducts.
Prepayments258,103,705.07161,690,670.7159.63%Mainlyduetotheincreaseinadvance paymentsformaterialsandexpenses.
Non-currentassets duewithinoneyear621,044,164.38899,560,428.08-30.96%Mainlyduetothedecreaseinfixed- termdepositsduewithinoneyear.
Othercurrentassets295,928,552.311,411,059,496.48-79.03%Mainlyduetothedecreaseinfixed- termdepositsandtheincreasein long-termdeposits.
Long-termequity investment5,723,843.3810,561,060.79-45.80%Mainlyduetolossesincurredbynon- controllingsubsidiaries.
Othernon-current financialassets800,000,000.00300,000,000.00166.67%Mainlyduetotheincreaseinbank wealthmanagementproductswith maturitiesoveroneyear.
Constructionin600,487,917.57457,357,111.2831.30%Mainlyduetoincreasedinvestmentin
     
Payrollpayable40,426,509.93188,410,062.92-78.54%Mainlyduetothefullpaymentof 2024year-endbonuses.
Incomestatement itemsFromthebeginningof theyeartotheendof thereportingperiodThesameperiodlast yearPercentage ofchangeReasonforchange
Otherincome66,048,899.97104,314,776.28-36.68%Mainlyduetothedecreasein governmentsubsidies.
Investmentincome fromassociatesand jointventures-6,943,313.88-3,680,047.2488.67%Mainlyduetoincreasedlossesof non-controllingsubsidiaries.
Lossfromcredit impairment56,444,113.25-9,908,601.43-669.65%Mainlyduetothedecreaseinbad debtprovisionsasaccountsreceivable werecollected.
Lossfromassets impairment-4,100,322.491,930,820.03-312.36%Mainlyduetotheincreasein inventorywrite-downs.
Gainsonasset disposals-5,753,401.49-2,325,065.84147.45%Mainlyduetotheincreaseinlosses fromthesaleofmortgagedproperties forprojects.
Non-operatingincome4,158,613.94847,605.05390.63%Mainlyduetotheincreaseinreceived compensationforinfringement.
Cashflowstatement itemsFromthebeginningof theyeartotheendof thereportingperiodThesameperiodlast yearPercentage ofchangeReasonforchange
Netcashflowfrom operatingactivities729,194,650.22525,768,857.3838.69%Mainlyduetotheincreaseinpayment collection.
Netcashflowfrom investmentactivities-724,683,270.2897,017,348.45-846.96%Mainlyduetoincreasedpurchasesof wealthmanagementproducts.
Netcashflowfrom financingactivities-934,845,721.92-1,426,212,996.85-34.45%Mainlyduetotimingdifferencesin dividenddistribution.
II.ShareholderInformation
(I)TotalNumberofCommonShareholdersandPreferredShareholderswiththeVotingRightsRecoveredandShareholdingoftheTop10Shareholders
Unit:share

Totalnumberofcommon shareholdersattheendofthe reportingperiod56,313Totalnumberofpreferredshareholderswiththe votingrightsrecoveredattheendofreportingperiod (ifany)0   
Shareholdingsofthetop10shareholders(excludingshareslentthroughrefinancing)      
Nameof shareholderNatureof shareholderShareholding ratioNumberof sharesNumberof sharessubject tosales restrictionsPledged,markedorfrozenshares 
     StatusQuantity
Hangzhou Robam Industrial GroupCo.,Ltd.Domesticnon- state-owned corporation49.90%471,510,0000NotApplicable0
HongKong Securities Clearing Company LimitedOverseas corporation6.72%63,490,4580NotApplicable0
China Merchants BankCo.,Ltd. –ICBCCredit SuisseValueOthers1.52%14,392,8260NotApplicable0
SelectMixed Securities Investment Fund      
ShenGuoyingDomestic naturalperson1.30%12,240,0000NotApplicable0
Schroder Investment Management (HongKong) Limited- Schroder GlobalEquity FundChinaA- Shares (Exchange)Others1.26%11,936,0550NotApplicable0
ChinaLife Insurance (Group) Company– Traditional– General Insurance Products– StockConnect (Innovative Strategy)Others0.94%8,906,2000NotApplicable0
Agricultural BankofChina Co.,Ltd.-CSI 500Exchange TradedFundOthers0.73%6,855,6530NotApplicable0
Hangzhou Jinchuang InvestmentCo., Ltd.Domesticnon- state-owned corporation0.70%6,640,0850NotApplicable0
ChinaPacific LifeInsurance Co.,Ltd.– Traditional– General Insurance ProductsOthers0.69%6,534,3000NotApplicable0
Hangzhou Yinchuang InvestmentCo., Ltd.Domesticnon- state-owned corporation0.67%6,318,0000NotApplicable0
Shareholdingsofthetop10shareholdersnotsubjecttosalesrestrictions(excludingshareslentthroughrefinancingandexecutive lockedshares)      
NameofshareholderNumberofsharesnotsubjecttosalesrestrictionsTypeofshareandnumberof shares    
  TypeofshareQuantity   
HangzhouRobamIndustrial GroupCo.,Ltd.471,510,000RMBordinary shares471,510,000   
HongKongSecuritiesClearing CompanyLimited63,490,458RMBordinary shares63,490,458   
ChinaMerchantsBankCo.,Ltd.–14,392,826RMBordinary14,392,826   

ICBCCreditSuisseValueSelect MixedSecuritiesInvestmentFund shares 
ShenGuoying12,240,000RMBordinary shares12,240,000
SchroderInvestmentManagement (HongKong)Limited-Schroder GlobalEquityFundChinaA- Shares(Exchange)11,936,055RMBordinary shares11,936,055
ChinaLifeInsurance(Group) Company–Traditional–General InsuranceProducts–Stock Connect(InnovativeStrategy)8,906,200RMBordinary shares8,906,200
AgriculturalBankofChinaCo., Ltd.-CSI500ExchangeTraded Fund6,855,653RMBordinary shares6,855,653
HangzhouJinchuangInvestment Co.,Ltd.6,640,085RMBordinary shares6,640,085
ChinaPacificLifeInsuranceCo., Ltd.–Traditional–General InsuranceProducts6,534,300RMBordinary shares6,534,300
HangzhouYinchuangInvestment Co.,Ltd.6,318,000RMBordinary shares6,318,000
Descriptionoftheassociatedrelationshipor consistentactionsoftheaboveshareholdersMr.RenJianhuaistheactualcontrollerofthecontrollingshareholderof theCompany-HangzhouRobamIndustrialGroupCo.,Ltd.,andthe shareholderoftheCompany-HangzhouJinchuangInvestmentCo.,Ltd.; andthenaturalpersonshareholder,ShenGuoying,ishiswife.Therefore, thereisapossibilitythattheseshareholderswillactinconcert.  
Descriptionofthetop10shareholdersengagingin securitiesmargintrading(ifany)None  
Shareslendingthroughrefinancinginvolvingshareholdersholdingmorethan5%oftheshares,thetop10shareholders,andthe
top10shareholdersofunrestrictedcirculatingshares
□Applicable?Notapplicable
Comparedtothepreviousperiod,thechangeisduetothetop10shareholdersandthetop10unrestrictedcirculatingshareholders
lending/returningsharesforrefinancingpurposes.
□Applicable?Notapplicable
(II)TotalNumberoftheCompany’sPreferredShareholdersandShareholdingoftheTop10PreferredShareholders
□Applicable?Notapplicable
III.OtherSignificantMatters
□Applicable?Notapplicable
IV.QuarterlyFinancialStatements
(I)FinancialStatements
1.Consolidatedbalancesheet
Preparedby:HangzhouRobamAppliancesCo.,Ltd.
September30,2025

ItemEndingbalanceBeginningbalance
Currentassets:  
Cashandcashequivalents678,895,535.011,631,776,094.27
Depositreservationforbalance  
Lendingstobanksandotherfinancial institutions  
Financialassetsheldfortrading2,770,000,000.002,180,000,000.00
Derivativefinancialassets  
Notesreceivable736,003,720.37817,563,424.67
Accountsreceivable1,721,241,036.461,963,710,151.61
Accountsreceivablefinancing  
Prepayments258,103,705.07161,690,670.71
Receivablepremium  
Reinsuranceaccountsreceivable  
Reinsurancecontractreserves receivable  
Otherreceivables81,231,399.5986,729,886.98
Inc:Interestsreceivable  
Dividendsreceivable  
Redemptorymonetarycapitalforsale  
Inventory1,265,386,540.251,214,012,761.29
Including:Dataresources  
Contractassets  
Assetsheldforsale  
Non-currentassetsduewithinoneyear621,044,164.38899,560,428.08
Othercurrentassets295,928,552.311,411,059,496.48
Totalcurrentassets8,427,834,653.4410,366,102,914.09
Non-currentassets:  
Loansandadvances  
Creditorsinvestment  
Otherdebtinvestment  
Long-termaccountreceivable  
Long-termequityinvestment5,723,843.3810,561,060.79
Investmentinotherequityinstruments2,116,023.222,116,023.22
Othernon-currentfinancialassets800,000,000.00300,000,000.00
Investmentproperties82,510,767.9985,850,636.19
Fixedassets1,528,951,596.481,611,144,579.04
Constructioninprocess600,487,917.57457,357,111.28
Biologicalassetsforproduction  
Oil&gasassets  
Rightofuseassets8,647,405.9710,275,253.96
Intangibleassets199,492,127.96205,881,656.70
Including:Dataresources  
Developmentexpenditure  
Including:Dataresources  
Goodwill  
Long-termprepaidexpenses3,728,394.674,756,409.65
Deferredincometaxassets:406,504,224.42355,443,564.81
Othernon-currentassets4,684,052,446.503,633,769,072.60
Totalnon-currentassets8,322,214,748.166,677,155,368.24
Totalassets16,750,049,401.6017,043,258,282.33
Currentliabilities:  
Short-termborrowings97,746,568.4993,239,299.06
Borrowingsfromthecentralbank  
Borrowingsfrombanksandother financialinstitutions  
Financialliabilitiesheldfortrading  
Derivativefinancialliabilities  
Notespayables984,074,679.291,061,073,856.74
Accountspayable2,523,297,316.512,830,095,046.91
Advancereceipts  
Contractliabilities836,403,435.40867,810,932.52
Financialassetssoldforrepurchase  
Depositsfromcustomersand interbank  
Receivingsfromvicariouslytraded securities  
Receivingsfromvicariouslytraded securities  
Payrollpayable40,426,509.93188,410,062.92
Taxespayable240,091,239.92189,784,241.67
Otherpayables289,249,360.54285,326,671.78
Inc:Interestspayable  
Dividendspayable  
Feesandcommissionspayable  
Dividendspayableforreinsurance  
Liabilitiesheldforsale  
Non-currentliabilitiesduewithinone year1,685,157.162,136,543.64
Othercurrentliabilities86,426,253.1695,808,311.01
Totalcurrentliabilities5,099,400,520.405,613,684,966.25
Non-currentliabilities:  
Reservesforinsurancecontracts  
Long-termloans  
Bondspayable  
Inc:Preferredshares  
Perpetualbonds  
Leaseliabilities8,494,965.7810,197,520.49
Long-termaccountspayable  
Long-termpayrollpayable  
Estimatedliabilities2,052,455.40 
Deferredincome104,981,646.89114,504,272.72
Deferredincometaxliabilities44,520,433.2438,784,781.76
Othernon-currentliabilities  
Totalnon-currentliabilities160,049,501.31163,486,574.97
Totalliabilities5,259,450,021.715,777,171,541.22
Owner’sequity:  
Capitalstock944,938,916.00944,782,166.00
Otherequityinstruments  
Inc:Preferredshares  
Perpetualbonds  
Capitalreserve260,564,552.77237,627,547.19
Less:treasuryshare  
Othercomprehensiveincome-100,075,255.40-99,551,592.95
Specialreserve  
Surplusreserve474,516,412.50474,516,412.50
Generalriskreserves  
Undistributedprofits9,833,450,140.909,621,062,910.45
Totalowners’equityattributabletothe parentcompany11,413,394,766.7711,178,437,443.19
Minorityinterests77,204,613.1287,649,297.92
Totalowners’equity11,490,599,379.8911,266,086,741.11
Totalliabilitiesandowner’sequity16,750,049,401.6017,043,258,282.33
Legalrepresentative:RenJianhuaPersoninchargeofaccounting:ZhangGuofuHeadoftheaccountingdepartment:ZhangGuofu
2.ConsolidatedincomestatementfromthebeginningoftheyeartotheendofthereportingperiodInRMB

ItemAmountofthecurrentperiodAmountofthepreviousperiod
I.Totaloperatingincome7,311,736,717.867,395,769,773.08
Inc:Operatingincome7,311,736,717.867,395,769,773.08
Interestincome  
Earnedpremium  
Feeandcommissionincome  
II.Totaloperatingcosts6,117,425,197.896,146,967,386.74
Inc:Operatingcosts3,524,381,534.453,665,988,049.74
Interestexpenses  
Feeandcommissionexpenses  
Surrendervalue  
Netpaymentsforinsurance claims  
Netallotmentofreservesfor insuranceliabilities  
Policydividendexpenditures  
Reinsuranceexpenses  
Taxesandsurcharges49,065,764.3456,000,589.33
Salesexpenses2,067,729,843.681,942,660,453.45
Administrativeexpenses338,478,868.64341,872,251.66
R&Dexpenses244,651,404.11276,355,597.58
Financialexpenses-106,882,217.33-135,909,555.02
Including:Interestexpenses2,720,934.392,541,064.67
Interestincome113,301,119.29140,964,132.11
Add:otherincome66,048,899.97104,314,776.28
Investmentincome(“-”for losses)60,151,699.4367,413,198.19
Including:Incomefrom investmentinjointventuresand affiliatedenterprises-6,943,313.88-3,680,047.24
Gainson derecognitionoffinancialassets measuredatamortizedcost  
Exchangegains(“-”forlosses)  
Netexposurehedginggains(“-” forlosses)  
Gainsfromchangesinfairvalue (“-”forlosses)  
Lossesfromcreditimpairment (“-”forlosses)56,444,113.25-9,908,601.43
Lossesfromassetimpairment(“- ”forlosses)-4,100,322.491,930,820.03
Gainsondisposalofassets(“-” forlosses)-5,753,401.49-2,325,065.84
III.Operatingprofits(“-”forlosses)1,367,102,508.641,410,227,513.57
Add:non-operatingincome4,158,613.94847,605.05
Less:non-operatingexpenditure9,215,441.227,761,798.89
IV.Totalprofits(“-”fortotallosses)1,362,045,681.361,403,313,319.73
Less:incometaxexpenses217,531,132.80217,608,806.01
V.Netprofits(“-”forlosses)1,144,514,548.561,185,704,513.72
(I)Byoperationalsustainability  
1.Netprofitsfromcontinuing operations(“-”fornetlosses)1,144,514,548.561,185,704,513.72
2.Netprofitsfromdiscontinued operations(“-”fornetlosses)  
(II)Byownership  
1.Netprofitattributableto shareholdersoftheparentcompany(“-” fornetlosses)1,157,326,146.451,202,179,949.11
2.Minorityshareholders’gainsand losses(“-”fornetlosses)-12,811,597.89-16,475,435.39
VI.After-taxnetamountofother comprehensiveincome-553,055.56-167,647.18
After-taxnetamountofother comprehensiveincomeattributabletothe ownersofparentcompany-523,662.45-135,296.66
(I)Othercomprehensiveincome thatcannotbereclassifiedintogainsand losses  
1.Changesinre-measuredand definedbenefitplans  
2.Othercomprehensiveincome whichcannotbetransferredintogainsor lossesundertheequitymethod  
3.Changesinfairvalueofthe investmentinotherequityinstruments  
4.Changesinfairvalueofthe creditriskoftheCompany  
5.Others  
(II)Othercomprehensiveincome whichwillbereclassifiedintogainsand losses-523,662.45-135,296.66
1.Othercomprehensiveincome whichcanbetransferredintogainsand lossesundertheequitymethod  
2.Changesinfairvalueofother debtinvestments  
3.Amountoffinancialassets reclassifiedintoothercomprehensive income  
4.Provisionforcreditimpairment ofotherdebtinvestments  
5.Cashflowhedgereserve  
6.Converteddifferenceinforeign currencystatements-689,212.45-135,296.66
7.Others  
After-taxnetamountofother comprehensiveincomeattributableto minorityshareholders-29,393.11-32,350.52
VII.Totalcomprehensiveincome1,143,961,493.001,185,536,866.54
(I)Totalcomprehensiveincome attributabletotheownersoftheparent company1,156,802,484.001,202,044,652.45
(II)Totalcomprehensiveincome attributabletominorityshareholders-12,840,991.00-16,507,785.91
VIII.Earningspershare(EPS):  
(I)BasicEPS1.221.27
(II)DilutedEPS1.221.27
Inthecaseofmergerofenterprisesunderthesamecontrolinthecurrentperiod,thenetprofitrealizedbythemergedpartybefore
themergeris:RMB0.00,andthenetprofitrealizedbythemergedpartyinthepreviousperiodis:RMB0.00.Legalrepresentative:RenJianhuaPersoninchargeofaccounting:ZhangGuofuHeadoftheaccountingdepartment:ZhangGuofu
3.Consolidatedcashflowstatementfromthebeginningoftheyeartotheendofthereportingperiod
ItemAmountofthecurrentperiodAmountofthepreviousperiod
I.Cashflowfromoperatingactivities:  
Cashreceivedforthesaleofgoods andrenderingofservices8,436,268,586.347,903,750,434.12
Netincreaseinclients’depositsand depositsfrombanksandotherfinancial institutions  
Netincreaseinborrowingsfromthe centralbank  
Netincreaseinborrowingsfromother financialinstitutions  
Cashreceivedfromreceiving insurancepremiumoftheoriginal insurancecontract  
Netcashfromreceivingreinsurance premium  
Netincreaseindepositsand investmentofinsuredpersons  
Cashreceivedfrominterests,feesand commissions  
Netincreaseinborrowedfunds  
Netincreaseinrepurchasebusiness funds  
Netcashreceivedfromvicariously tradedsecurities  
Refundsoftaxes13,849,893.2227,319,712.52
Cashreceivedrelatingtoother operatingactivities68,913,611.71159,415,830.04
Subtotalofcashinflowfromoperating activities8,519,032,091.278,090,485,976.68
Cashpaidforpurchasedproductsand receivedservices4,327,566,145.674,048,517,085.76
Netincreaseinloansandadvancesto customers  
Netincreaseindepositswiththe centralbankandotherfinancial institutions  
Cashpaidforclaimsoforiginal insurancecontract  
Netincreaseinlendingfunds  
Cashpaidforinterests,feesand commissions  
Cashpaidforpolicydividends  
Cashpaidtoandonbehalfof employees834,643,059.83837,585,263.59
Cashpaidfortaxes598,115,079.74632,054,145.34
Cashpaidrelatedtootheroperating activities2,029,513,155.812,046,560,624.61
Subtotalofcashoutflowfromoperating activities7,789,837,441.057,564,717,119.30
Netcashflowfromoperatingactivities729,194,650.22525,768,857.38
II.Cashflowfrominvestmentactivities:  
Cashreceivedfromreturnof investments3,068,000,000.001,541,285,887.67
Cashreceivedfromreturnon investments68,807,723.4971,392,261.71
Netcashreceivedfromdisposalof fixedassets,intangibleassetsandother long-termassets115,422.84499,866.54
Netcashreceivedfromdisposalof subsidiariesandotherbusinessentities  
Cashesreceivedrelatedtoother investmentactivities1,521,578,517.693,217,561,206.77
Subtotalofcashinflowfrominvestment activities4,658,501,664.024,830,739,222.69
Cashpaidforpurchaseand constructionoffixedassets,intangible assetsandotherlong-termassets189,901,255.90183,507,049.24
Cashpaidtoinvestments4,157,997,278.40416,290,525.00
Netincreaseinpledgedloans  
Netcashfromsubsidiariesandother operatingentities  
Cashpaidrelatedtootherinvestment activities1,035,286,400.004,133,924,300.00
Subtotalofcashoutflowfrominvestment activities5,383,184,934.304,733,721,874.24
Netcashflowfrominvestmentactivities-724,683,270.2897,017,348.45
III.Cashflowfromfinancingactivities:  
Cashfromacquiringinvestments6,156,179.60680,724.00
Including:Cashreceivedby subsidiariesfrominvestmentsof minorityshareholders  
Cashfromacquiringdebts97,600,000.0083,812,523.35
Othercashesreceivedinrelationto financingactivities 500,000.00
Subtotalofcashinflowfromfinancing activities103,756,179.6084,993,247.35
Cashpaidforrepaymentsofdebts91,010,114.1281,000,000.00
Cashpaidfordistributionof dividends,profitsorinterestexpenses945,452,907.261,418,297,004.58
Including:Dividendsorprofitspaid bysubsidiariestominorityshareholders  
Othercashespaidinrelationto financingactivities2,138,880.1411,909,239.62
Subtotalofcashoutflowfromfinancing activities1,038,601,901.521,511,206,244.20
Netcashflowfromfinancingactivities-934,845,721.92-1,426,212,996.85
IV.Effectofchangeinexchangerateon cashandcashequivalents-573,819.46-370,588.37
V.Netincreaseincashandcash equivalents-930,908,161.44-803,797,379.39
Plus:Openingbalanceofcashand cashequivalents1,518,303,556.891,878,166,358.09
VI.Closingbalanceofcashandcash equivalents587,395,395.451,074,368,978.70
(II)Relevantfinancialstatementitemsatthebeginningof2025whentheadjustmentsstipulatedinthenewaccountingstandardsapplyforthefirsttime(未完)
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