Profitability
Gross Margin: 20%
Through cost optimization and product mix upgrades, our gross margin has consistently remained at an industry-leading, healthy level, significantly bolstering our earnings resilience.
Financial Strength
Robust Cash Flow · Diversified Financing
The Group maintains robust operating cash flow and has established a multi-layered, diversified international financing system. Our substantial cash reserves not only effectively hedge against market volatility, but also provide ample and reliable 'firepower' for future global expansion and cutting-edge R&D investments.
Investment Return
Project Annualized IRR: 12%
Guided by a value investing strategy, projects in our focus tracks have delivered outstanding performance, with the overall annualized return rate (IRR) achieving industry-leading standards. This not only underscores the Group's superior investment research and post-investment management capabilities, but also consistently generates alpha returns above market averages for global investors.
Revenue Growth
+30% YoY
In FY2025, the company’s core business segments delivered strong performance across multiple fronts, with steadily increasing market share driving high-quality growth in overall results. Meanwhile, the expansion of its global business footprint and sustained investment in cutting-edge technology R&D provided robust and stable support for continued growth.
