Strategic Roadmap and Sustainable Growth slide image

Strategic Roadmap and Sustainable Growth

Sufficient Cash to Meet Operating Requirements Cash and Cash Equivalents (RMB MM) 5,733 4Q2020 4,325 4,106 3,633 1Q2021 2Q2021 3Q2021 YSG 逸仙 Authorized up to US$100MM share repurchase plan to be conducted over two years 18
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