九阳股份:九阳股份有限公司2024年第三季度报告英文版
公告时间:2024-10-30 19:59:37
Ticker: 002242 StockAbbreviation: Joyoung
Joyoung Co., Ltd.
Interim Report of the Third Quarter 2024
The Company and all members of the Board of Directors have guaranteed that the information disclosed is true, accurate
and complete, and contains no false record, misleading statements or material omissions.
Important notes:
Board of Directors, the Supervisory Committee as well as all the directors, supervisors and senior
management staff of Joyoung Co., Ltd. (hereinafter referred to as the “Company”) have guaranteed that this
Report contains no false record, misleading statement or material omission and shall be jointly and severally
liable for the factuality, accuracy and completeness of the information given in this Report.
CEO of the Company, CFO of the Company, and ChiefAccountant ofAccounting Institution, declared that
the quarterly financial statements should be true, accurate and complete.
In case of any discrepancy, the Chinese version of the report shall prevail.
Whether the third quarterly report was audited
□ Yes √ No
I. Key Accounting Data and Financial Indicators
1. KeyAccounting Data and Financial Indicators
Whether the Company performed a retroactive adjustment to or restatement of accounting data
□Yes√ No
From 1 July 2024 to From 1 January
30 September 2024 YoY Change 2024 to 30 YoY Change
September 2024
Operating revenues (RMB Yuan) 1,795,401,886.07 -27.12% 6,182,055,590.30 -8.84%
Net profits attributable to shareholders of the Company -77,328,704.46 -166.46% 98,063,944.12 -73.02%
(RMB Yuan)
Net profits attributable to shareholders of the Company -81,396,143.29 -172.45% 129,904,193.03 -61.62%
before non-recurring gains and losses (RMB Yuan)
Net cash flow from operating activities (RMB Yuan) — — 416,958,032.06 -2.37%
Basic earnings per share (RMB Yuan /share) -0.10 -162.50% 0.13 -73.47%
Diluted earnings per share (RMB Yuan /share) -0.10 -162.50% 0.13 -73.47%
Weighted average return on net assets -2.20% Decreased by 2.83% Decreased by
5.61 percent point 7.92 percent point
30 September 2024 31 December 2023 Flux
Total assets (RMB) 7,515,021,102.80 7,612,080,030.42 -1.28%
Net assets attributable to shareholders of the Company 3,460,916,058.40 3,471,347,161.90 -0.30%
(RMB)
2. Non-recurring gain and loss items and amounts thereof
√ Applicable □Not applicable
Unit: RMB
Item From 1 July 2024 to From 1 January 2024 Note
30 September 2024 to 30 September 2024
Profit or loss from disposal of non-current assets (including the 1,209,793.36 8,674,631.61 Mainly due to gain on
write off of the provision for impairment of assets) disposal of equity
Government grants included in the current profit or loss (that is Mainly government
closely related to the operations of the Company, except for those 1,353,328.43 11,849,646.18 grants
of fixed quotas or amounts according to the nationally unified
standards)
Gains or losses from changes in fair value arising from the Mainly due to changes
holding of trading financial assets, derivative financial assets, in fair value of financial
trading financial liabilities and derivative financial liabilities and products
investment income from the disposal of trading financial assets, 4,339,852.62 -55,102,935.25
derivative financial assets, trading financial liabilities, derivative
financial liabilities and other debt investments, excluding the
effective hedging business related to the Company’s normal
business operations
Other non-operating income or expenses except the above items -2,433,714.07 -2,197,386.94
Less: Impact of income taxes