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首页 公告 南玻B:2025年半年度财务报告(英文版)

南玻B:2025年半年度财务报告(英文版)

公告日期:2025-08-19


    CSG HOLDING CO., LTD.

Semi-annual Financial Report for 2025

          (Unaudited)

CSG HOLDING CO., LTD.
Semi-annual Financial Report for 2025

                                                                              Page number
    Consolidated balance sheet                                                            1-2
    Balance sheet of the parent company                                                    3-4
    Consolidated income statement                                                        5-6
    Income statement of the parent company                                                    7
    Consolidated cash flow statement                                                        8
    Cash flow statement of the parent company                                                9
    Consolidated statement of changes in equity                                            10-13
    Statement of changes in equity of the parent company                                    14-15
    Notes to the financial statements                                                      16-99
    Additional Information                                                                100
I. Financial statements

All amounts in the tables in the Notes to the Financial Statements are expressed in RMB.

1. Consolidated balance sheet

Prepared by: CSG Holding Co., Ltd.

                                        30 June 2025

                                                                                              Unit: RMB
            Item                        30 June 2025                    1 January 2025

Current assets:

Cash at bank and on hand                              3,115,421,959                    3,421,527,482

Trading financial assets                                  120,000,000                        96,000,000

Notes receivable                                      1,237,878,013                    1,140,902,743

Accounts receivable                                  2,026,933,902                    1,686,627,681

Receivables financing                                    788,929,728                      798,603,111

Prepayments                                            66,467,909                      121,708,264

Other receivables                                      169,219,254                      165,872,735

Inventories                                          1,938,062,870                    1,587,828,028

Other current assets                                    446,753,359                      475,617,056

Total current assets                                    9,909,666,994                    9,494,687,100

Non-current assets:

Investment properties                                    293,712,453                      293,712,453

Fixed assets                                        13,316,035,601                    13,166,391,449

Construction in progress                                5,182,697,395                    5,350,375,132

Right-of-use assets                                      65,673,431                      64,804,837

Intangible assets                                      2,307,963,253                    2,361,275,093

Goodwill                                                8,593,352                        8,593,352

Long-term prepaid expenses                              69,281,607                      71,254,985

Deferred tax assets                                      340,735,280                      309,995,066

Other non-current assets                                  183,139,786                        99,328,456

Total non-current assets                                21,767,832,158                    21,725,730,823

Total assets                                        31,677,499,152                    31,220,417,923

Current liabilities:

Short-term borrowings                                1,476,783,801                    1,163,021,299

Notes payable                                        2,399,802,511                    2,244,413,755

Accounts payable                                    3,162,899,038                    3,092,025,797

Contract liabilities                                      333,171,326                      354,215,784

Payroll payable                                        243,144,993                      347,769,466

Taxes payable                                          80,158,692                      73,688,362

Other payables                                        455,838,149                      312,816,531


            Item                        30 June 2025                    1 January 2025

Including: Interest payable                                13,166,832                        8,946,479

          Dividends payable                          211,673,022

Non-current liabilities due within one                    2,399,949,742                    2,168,856,957
year

Other current liabilities                                  241,922,093