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首页 公告 虹美菱B:2021年第三季度报告(英文版)

虹美菱B:2021年第三季度报告(英文版)

公告日期:2021-10-20

虹美菱B:2021年第三季度报告(英文版) PDF查看PDF原文

Stock code: 000521, 200521                                              Notice No.: 2021-083

short form of the stock:Changhong Meiling, Hongmeiling B

              CHANGHONG MEILING CO., LTD.

          THE THIRD QUARTERLYREPORT FOR 2021

The Company and w hole members of the BOD guarantee that the information disclosed is true,
accurate and complete, and there are no any fictitious records, misleading statements or important
omissions.
Important content reminder:

1. Board of Directors, Supervisory Co mmi ttee, all directors, supervisors and senior executives of
Changhong Meiling Co., Ltd. (hereinafter referred to as the Company) herebyconfirm that there are
no any ficti tious statements, misleading statements, or i mpor tant omissions carried in this report,
and shall take all responsibilities, individual and/or joint, for the reality, accuracyand completionof
the whole contents.

2. Principal of the Company, Person in Charge of Acco unti ng Works and Person in Charge of
Accounting Organ (Accounting Officer) hereby confirm that the Financial Report of the Third
Quarterly Report is authentic, accurate and complete.

3. Whether the Third Quarterl y Report has beenaudited or not

□Yes  √No
I. Mainfinancial data
(i) Mainaccounting data andfinancial indexes

Whether it has retroactive adjustment or re-statement onprevious accountingdata or not

□Yes  √No

                                    Increase/decrease in                    Increase/decrease
                                    the period compared    Year-begin to    from year-begin to
                    Current period  with the same period    period-end    period-end compared
                                    of the previous year                  with the same period
                                                                        of the previous year

Operating income

(Yuan)              4,312,251,172.73            -5.45%  13,915,010,518.02          22.53%

Net profit attributable
to shareholders of the

listed company          25,102,342.76          -71.01%      62,259,854.30          150.39%
(Yuan)
Net profit attributable
to shareholders of the
listed company after

deducting                -1,016,633.94          -106.23%    -64,569,048.95          73.19%
non-recurring gains
and losses (Yuan)
Net cash flow arising

from operating            ——            ——          -184,729,360.39          33.70%
activities (Yuan)
Basic earnings per

share (Yuan /Share)              0.0240          -71.05%            0.0596          150.38%

Diluted earnings per

share (Yuan /Share)              0.0240          -71.05%            0.0596          150.38%

Weighted average                        Adecrease of 1.29                    An increase of 3.79
ROE                        0.52%    percentage points            1.28%    percentage points

                  End of current period End of previous year    Increase/decrease at the period-end

                                                      compared with the end of the previous year

Total assets (Yuan)    15,691,792,207.14  16,103,355,454.46                            -2.56%

Net assets attributable
to shareholder of

listed company        4,857,058,554.70    4,854,173,682.43                              0.06%
(Yuan)

(ii) Items and amountsof non-recurring profit (gains)/losses

√ Applicable □ Not applicable

                                                                                Unit: Yuan

                                                      Amount from

              Item                Amount for the      year-begin to          Note

                                        period          period-end

Gains/losses from the disposal of                                            See "Proceeds from
non-current asset (including the write-off          -17,846.58        -754,429.92 Asset Disposal" and
that accrued for impairment of assets)                                        "Non-operating

                                                                      Income/Expense" for


                                                                      details.

Government subsidy recorded in current

gains/losses (except those closely related to

the Company’s normaloperation, and those                                    See "Other Earnings"
continuously enjoyed on a fixed or            23,226,869.48        77,928,969.24 for details.

quantitative basis with certain standards in

accordance with national policy regulations)

Losses/gains from changes of fair values

occurred in holding trading financial assets

and trading financial liabilities, and

investment income obtaining from the                                        See "Fair value

disposal of trading financial assets and          7,186,220.84        66,036,083.22 Change income" and
                                                                      "Investment Income"
trading financial liability, excluded effective                
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