001299SZSE

Q3 Report for 2025

MeiNeng Energy Co., Ltd.·

✨ AI Summary

This announcement presents the Q3 2025 financial report of Shaanxi Meinuo Clean Energy Group Co., Ltd. Key figures include a 12.12% increase in operating revenue to approximately CNY 127.17 million, while net profit attributable to shareholders decreased by 1.76% to about CNY 14.74 million. The report highlights a significant drop in cash flow from operating activities, down 62.82% compared to the previous year. The board confirms the accuracy and completeness of the report.

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Full Translation

AI Translation· azure_openai

Shaanxi Meinuo Clean Energy Group Co., Ltd. Q3 2025 Report

The company and all members of the board guarantee that the content of this information disclosure is true, accurate, and complete, with no false records, misleading statements, or major omissions.

Important Content Reminder:

  1. The board and directors, as well as senior management, guarantee the truthfulness, accuracy, and completeness of the quarterly report, with no false records, misleading statements, or major omissions, and bear individual and joint legal responsibility.
  2. The person in charge of the company, the head of accounting, and the head of the accounting institution (accounting personnel) declare: guarantee the truthfulness, accuracy, and completeness of the financial information in the quarterly report.
  3. Is the financial accounting report for the third quarter audited? □ Yes ☒ No

I. Main Financial Data

(1) Main Accounting Data and Financial Indicators

Does the company need to retrospectively adjust or restate previous year's accounting data? □ Yes ☒ No

ItemCurrent PeriodChange Compared to Same Period Last YearYear-to-DateChange Compared to Same Period Last Year
Operating Revenue (CNY)127,173,935.6312.12%514,810,298.8417.28%
Net Profit Attributable to Shareholders (CNY)14,737,900.11-1.76%66,268,731.3721.38%
Net Profit Attributable to Shareholders Excluding Non-Recurring Gains and Losses (CNY)11,104,178.12-18.79%57,455,488.1220.65%
Net Cash Flow from Operating Activities (CNY)11,033,260.06-62.82%
Basic Earnings per Share (CNY/share)0.0607-25.15%0.27-6.90%
Diluted Earnings per Share (CNY/share)0.0607-25.15%0.27-6.90%
Weighted Average Return on Equity1.09%-0.03%4.98%0.88%
ItemEnd of Current PeriodEnd of Previous YearChange Compared to End of Previous Year
Total Assets (CNY)1,588,677,053.951,766,535,269.86-10.07%
Total Equity Attributable to Shareholders (CNY)1,181,602,326.061,298,599,414.62-9.01%

(2) Non-Recurring Gains and Losses Items and Amounts

☒ Applicable □ Not Applicable

ItemAmount for Current PeriodAmount Year-to-DateDescription
Gain/Loss from Disposal of Non-Current Assets (including reversal of impairment provisions)1,978,577.161,971,138.25
Government Grants Recognized in Current Profit and Loss (excluding those closely related to normal business operations)138,051.63405,490.46
Fair Value Changes and Gains/Losses from Disposal of Financial Assets and Liabilities2,410,573.068,769,569.73
Other Operating Income and Expenses21,025.72229,023.07
Less: Income Tax Impact914,505.582,561,915.73
Minority Interest Impact (after tax)0.0062.53
Total3,633,721.998,813,243.25

(3) Changes and Reasons for Main Accounting Data and Financial Indicators

☒ Applicable □ Not Applicable

(1) Consolidated Balance Sheet Items

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