Gansu Golden Solar Co., Ltd (SHE:300093)
China flag China · Delayed Price · Currency is CNY
21.21
+0.24 (1.14%)
Sep 14, 2026, 3:04 PM CST

Gansu Golden Solar Income Statement

Millions CNY. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Jun '26 Dec '25 Dec '24 Dec '23 Jan '23 Jan '22
Operating Revenue
237.13289.13113.64571.72500.24314.77
Other Revenue
14.7411.910.038.7221.775.96
251.87301.03123.67580.45522.01320.73
Revenue Growth
19.10%143.41%-78.69%11.20%62.75%-2.60%
Cost of Revenue
368.29474.99463.12757.68589.74240.56
Gross Profit
-116.43-173.96-339.44-177.24-67.7380.17
Selling, General & Admin
105.593.3492.4178.8184.456.9
Research & Development
11.957.62-29.2926.7818.67
Other Operating Expenses
10.349.743.876.09-7.834.26
Operating Expenses
128.01109.4111.9117.77173.31150.93
Operating Income
-244.43-283.36-451.35-295-241.04-70.76
Interest Expense
-148.59-229.68-161.47-99.77-52.34-24.61
Interest & Investment Income
892.82875.068.4115.3722.431.62
Currency Exchange Gain (Loss)
-6.48-2.582.530.4513.77-4
Other Non Operating Income (Expenses)
-3.65-2.52-48.21-0.74-2.41-3.11
EBT Excluding Unusual Items
489.68356.91-650.08-379.69-259.58-100.86
Merger & Restructuring Charges
-22.39-22.39----
Gain (Loss) on Sale of Assets
-0.46-0.46-2.18-0.24-0.28-9.6
Asset Writedown
-87.47-124.75-151.22-33.13-0.49-34.57
Legal Settlements
-0.21-0.33-1.91---40.13
Other Unusual Items
7.967.32-2.421.820.86-3.8
Pretax Income
387.11216.3-807.8-411.25-259.49-188.96
Income Tax Expense
13.3313.1816.180.855.8814.18
Earnings From Continuing Operations
373.78203.12-823.98-412.1-265.37-203.14
Minority Interest in Earnings
-0-0.0628.7350.34-3.991
Net Income
373.78203.07-795.25-361.76-269.36-202.14
Net Income to Common
373.78203.07-795.25-361.76-269.36-202.14
Net Income Growth
------
Shares Outstanding (Basic)
404242216216216216
Shares Outstanding (Diluted)
404242216216216216
Shares Change
86.86%11.87%0.04%-0.00%-0.00%0.51%
EPS (Basic)
0.930.84-3.68-1.67-1.25-0.94
EPS (Diluted)
0.930.84-3.68-1.67-1.25-0.94
EPS Growth
------

Additional Metrics

Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Jun '26 Dec '25 Dec '24 Dec '23 Jan '23 Jan '22
Free Cash Flow
-181.44-458.83-357.46-899.98-949.76-737.06
Free Cash Flow Per Share
-0.45-1.90-1.65-4.17-4.40-3.41
Gross Margin
-46.23%-57.79%-274.47%-30.53%-12.97%25.00%
Operating Margin
-97.05%-94.13%-364.95%-50.82%-46.17%-22.06%
Profit Margin
148.40%67.46%-643.02%-62.32%-51.60%-63.02%
Free Cash Flow Margin
-72.04%-152.42%-289.03%-155.05%-181.94%-229.80%
EBITDA
-69.65-119.8-324.13-222.81-191.33-35.64
EBITDA Margin
-27.65%-39.80%-262.08%-38.39%-36.65%-11.11%
D&A For EBITDA
174.79163.57127.2272.1949.7135.12
EBIT
-244.43-283.36-451.35-295-241.04-70.76
EBIT Margin
-97.05%-94.13%--50.82%-46.17%-22.06%
Effective Tax Rate
3.44%6.09%----
Revenue as Reported
251.87301.03123.67580.45522.01320.73