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爱马仕Hermès(RMS.PA)2025年半年度财报「巴黎证券交易所」(英文版)(36页).pdf

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1、KEY FIGURES3Key consolidated data in the first half of 20253HALFYEAR BUSINESS REPORT52.1Halfyear highlights52.2Firsthalf revenue and activity52.2.1 Sales by geographical area at the end of June52.2.2 Sales by mtier at the end of June62.3Comments on the condensed consolidated halfyear financial state

2、ments72.3.1 Income statement72.3.2 Cash flows and investments82.3.3 Financial position82.4Outlook92.5Risks and uncertainties92.6Relatedparty transactions9CONDENSED INTERIM CONSOLIDATED FINANCIAL STATEMENTS AT 30 JUNE 2025113.1Consolidated income statement113.2Consolidated statement of comprehensive

3、income113.3Consolidated balance sheet123.4Consolidated statement of changes in equity133.5Consolidated statement of cash flows143.6Notes to the condensed interim consolidated financial statements15STATUTORY AUDITORS REVIEW REPORT ON THE HALFYEAR FINANCIAL INFORMATION29STATEMENT BY THE PERSONS RESPON

4、SIBLE FOR THE HALFYEAR FINANCIAL REPORT33This document is a free translation into English of the original French“Rapport financier semestriel”.It is not a binding document.In the event of a conflict in interpretation,reference should be made to the French version,which is the authentic text.1KEY FIG

5、URESKEY CONSOLIDATED DATA IN THE FIRST HALF OF 2025KEY FIGURESKEY CONSOLIDATED DATA IN THE FIRST HALF OF 2025In millions of eurosH1 2025H1 2024Financial year 2024Revenue8,0347,50415,170Growth at current exchange rates vs.n17%12%13%Growth at constant exchange rates vs.n1 8%15%15%Recurring operating i

6、ncome 3,3273,1486,150in%of revenue41.4%42.0%40.5%Operating income3,3273,1486,150in%of revenue41.4%42.0%40.5%Net income attributable to owners of the parent2,2462,3684,603in%of revenue*28.0%31.6%30.3%Operating cash flows2,7332,8295,378Operating investments3163191,067Adjusted free cash flows 1,8471,77

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根据报告的内容,以下是全文主要内容的简明扼要概括: 1. 2025年上半年,爱马仕集团总收入达到80.34亿欧元,同比增长7%。经常性营业利润为33.27亿欧元,同比增长6%。 2. 各地区均实现增长,其中日本增长16%,亚太地区(除日本)增长3%,美洲增长12%,法国增长9%。 3. 各业务部门中,皮革制品和鞍具部门增长12%,成衣和配饰部门增长6%,丝绸和纺织品部门增长4%,其他爱马仕部门增长10%。 4. 现金及现金等价物为103.21亿欧元,调整后净现金头寸为107.23亿欧元。 5. 爱马仕集团维持强劲的财务结构,股东权益占总资产的76%以上。 6. 集团维持长期发展战略,目标是持续增长。 7. 主要风险包括经济、地缘政治和货币不确定性。 8. 关联交易方面,没有发生重大变化。 9. 2025年上半年没有发生重大事件。
赫米斯2025年上半年业绩如何? 赫米斯2025年上半年各业务板块表现如何? 赫米斯2025年上半年财务状况如何?
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