CHANGHONG MEILING CO., LTD.THE Third QUARTERLY REPORT OF 2024
Stock Code: 000521, 200521 StockAbbreviation: Changhong Meiling, Hongmeiling B
Announcement No.: 2024-057
Changhong Meiling Co., Ltd.
The Third Quarterly Report of 2024
The Company and wholemembers ofthe Boardguarantee thatthe information disclosedis true,accurate
and complete andthere areno fictitious records, misleading statementsor materialomissions carriedin
the Report.
Important Note :
1. Board of Directors and the Supervisory Committee of Changhong Meiling Co., Ltd. (hereinafter referred
to as the Company) and its directors, supervisors and senior executives should guarantee the reality, accuracy
and completion of the quarterly report, there are no any fictitious statements, mis leading statements or
important omissions carriedin this report, and shall take legal responsibilities, individual and/or joint.
2.Mr. Wu Dinggang, Person in charge of the Company, Mr. Pang Haitao, head of accounting and Mr. Yang
Jun ,person in charger of accounting organ (accounting officer) hereby confirm that the financia l information
of this Quarterly Reportis authentic, accurate andcomplete.
3. The Third quarterly reportaudited or not
□Yes √No
I. Main financial data
(i) Main accounting data and financial indexes
Whetherit has retroactive adjustment or re-statementonprevious accounting data or not
□Yes√No
Increase/decrease
Increase/decrease in the from y ear-begin to
Current period period compared withthe Year-begin toperiod- period-end
same periodof the end comp ared with the
previousy ear same p eriodof the
previousyear
CHANGHONG MEILING CO., LTD.THE Third QUARTERLY REPORT OF 2024
Operatingincome
(RMB) 7,810,029,557.25 23.21% 22,757,699,848.95 18.73%
Net profit attributable to
shareholders of the 115,406,948.15 -17.99% 530,440,364.03 6.35%
listed comp any (RMB)
Net profit attributable to
shareholders of the
listed comp any after 81,836,690.17 -37.66% 514,341,146.54 0.21%
deducting non-recurring
gains and losses(RMB)
Net cash flow arising
from operating — — 2,745,427,803.45 14.09%
activities (RMB)
Basic earnings p er share 6.34%
(RMB/Share) 0.1121 -17.94% 0.5150
Diluted earnings per 6.34%
share (RMB/Share) 0.1121 -17.94% 0.5150
Weighted average ROE 1.96% Adecrease of 8.86% Adecrease of 0.40
0.73percentage p oint s percentage points
End of this period End of last p eriod Changes of this period-end over same p eriod-
end of last year
Totalassets (RMB) 22,630,704,631.07 19,391,604,526.19 16.70%
Owners’equity
attributable to
shareholders of listed 6,047,014,267.59 5,824,782,654.09 3.82%
company (RMB)
(ii)Items ofnon-recurring gains andlosses
√ Applicable □ Not applicable
In RMB
Item Current amount Year-begin to Note
period-end
Gains/losses from the disp osalof non-current asset
(including the write-offthat accrued for imp airment -1,893,298.38 -1,856,963.43
of assets)
Governmental subsidy calculated into current gains
and losses(while closely related with thenormal
business of theComp any,the government subsidy Mainly due to
that accord withthe provisionof national p olicies and 19,342,195.22 45,128,487.31 government subsidies.
are continuously enjoy ed in line witha certain
standard quotaor quantity are excluded)
Gain and lossfrom change of thefair value arising It mainly refers to the
from transactional monetary assets,transactional 17,847,931.41 -47,426,382.79 gains and losses arising
financial liabilities as held as well as