Luxshare Precision Industry revenue and financials

002475 · SZSE · CNY

¥49.43Change from previous close: −1.92%Absolute change: −¥0.97

Close · September 30, 2026

In the fiscal year ended December 2025, Luxshare Precision Industry reported revenue of ¥332.34B (+23.64% year over year). Net income was ¥16.6B, a net margin of 5.0%.

Annual revenue · 2025: ¥332.34B
  1. ¥153.95B2021
  2. ¥214.03B2022
  3. ¥231.91B2023
  4. ¥268.79B2024
  5. ¥332.34B2025

Fiscal year ending in December. Sources and method on the page Methodology and sources.

At a glance

Revenue growth
+23.64%
2025 vs 2024
Net income growth
+24.20%
2025 vs 2024
Net margin
5.0%
2024: 5.0%

Financial data

Amounts in millions of CNY; per-share values in CNY; shares in millions.

Cash flow · Quarterly
ItemQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023
Operating cash flow4,622-7,06813,8475,1365,034-6,69220,4424,2743,245-84420,383-1,592
Depreciation and amortization7,136—13,116-5,8285,890—10,830-5,2635,263—10,029-4,888
Capital expenditure-4,731-5,539-4,701-3,676-4,413-5,115-3,573-2,688-2,706-3,144-2,324-2,465
Investing cash flow-14,478-14,915-10,3501,976-3,141-12,691-6,334-12,056-12,143-5,123-5,082-1,839
Financing cash flow14,33130,6081,984-8,8563,98722,1751053,2525,86616,668-10,662642
Dividends paid-575-1,675-447-1,962-569-299-409-2,504-457-298-442-427
Share repurchases-1,000—-0.0—————————
Debt issued51,18456,55346,60918,57127,85439,51734,95215,95718,65828,90022,08820,093
Debt repaid-37,374-27,263-44,279-26,155-22,645-18,357-29,991-16,246-11,613-13,309-35,542-15,973
Effect of exchange rates-755-645-348-533361185408-128-232184129-252
Net change in cash3,7207,9805,133-2,2786,2412,97714,620-4,658-3,26310,8844,768-3,040
Free cash flow-108-12,6079,1461,460621-11,80616,8691,586540-3,98818,059-4,057
Levered free cash flow-203-47,24937,394-7,2742,200-34,37936,931-11,595-101-12,37325,653-12,690