荣盛石化:2024ThirdQuarterlyReport
公告时间:2024-10-31 18:49:41
Stock code: 002493 StockAbbreviation: Rongsheng Petrochemical Announcement No.: 2024-059
Rongsheng Petrochemical Co., Ltd.
2024 Third Quarterly Report
The Company and all members of the Board of Directors confirm that the information
disclosed is true, accurate and complete, and has no false representations, misleading
statements or material omissions.
Important Content Notice:
1. The Board of Directors, the Board of Supervisors and the directors, supervisors and senior management confirm
that the contents of this quarterly report are true, accurate, and complete and have no false representations,
misleading statements or material omissions, and they shall severally and jointly accept legal responsibility for
such contents.
2. The chairman of the Company, the person in charge of the Company’s accounting and the person in charge of
the accounting firm (accounting officer), hereby make representations in respect of the truthfulness, accuracy
and completeness of the financial statements in this quarterly report.
3. Whether the Third Quarterly Report has been audited
□ Yes No
4. This third quarterly report is prepared in both Chinese and English. In case of any discrepancy between the two
versions, the Chinese version shall prevail.
I. Key Financial Data
(I) Key accounting data and financial indicators
Whether the Company needs to retroactively adjust or restate prior years’accounting data
□Yes No
Increase/decreas
Increase/decrease e from the
in the current Beginning of year beginning of the
Current reporting reporting period to the end of the year to the end
period over the same reporting period of the reporting
period last year period over the
same period last
year
Operating income (RMB) 83,946,567,914.37 -0.68% 245,196,312,192.22 2.57%
Net profit attributable to shareholders of 18,742,137.68 -98.48% 876,677,020.82 714.73%
the listed company (RMB)
Net profit attributable to shareholders
of the listed company net of non- 15,815,885.95 -98.74% 688,192,443.10 630.51%
recurring gains and losses (RMB)
Net cash flow from operating activities — — 19,716,461,144.30 976.18%
(RMB)
Basic earnings per share (RMB per 0.002 -98.40% 0.09 800.00%
share)
Diluted earnings per share (RMB per 0.002 -98.40% 0.09 800.00%
share)
Weighted average return on net assets 0.06% -2.59% 1.99% 1.76%
……