联系客服QQ:86259698

002425 深市 ST凯文


首页 公告 ST凯文:2024年财务决算报告

ST凯文:2024年财务决算报告

公告日期:2025-04-28


            凯撒(中国)文化股份有限公司

                2024年财务决算报告

    凯撒(中国)文化股份有限公司(以下简称“公司”)2024 年财务报表已经致同会计师事
务所(特殊普通合伙)审计,出具了致同审字(2025)第 442A016923 号标准无保留意见的审计报告。公司全年合并营业收入 45,403.82 万元,归属母公司净利润-52,765.96 万元,营业收入比上年增加 5.38%,归属母公司净利润比上年上升 33.60%。现将有关财务决算情况报告如下:
一、财务状况

                                                              金额单位:人民币万元

  序号        项目        2024.12.31    2023.12.31    增减        重大变动说明

 (一) 资产

  1        货币资金        17,524.77      21,470.86  -18.38%

  2    交易性金融资产          0.00      10,000.00  -100.00%  报告期末,无未到期理财
                                                                  产品所致

  3        应收账款        25,763.62      33,962.31  -24.14%

  4        预付账款        17,278.20      10,672.35    61.90%  主要系预付游戏开发费、
                                                                  预付分成增加所致

                                                                  主要系本年收回部分股权
  5      其他应收款          295.56      3,922.94  -92.47%  转让款、项目处置款以及
                                                                  计提信用减值所致

  6      其他非流动金融      15,920.82      22,578.31  -29.49%

              资产

  7    其他非流动资产      8,680.80      28,444.32  -69.48%  主要系预付游戏开发费、
                                                                  预付分成减少所致

  8        总资产        342,419.63    411,944.24  -16.88%

 (二) 负债

                                                                  主要系本年偿还上年到期
  1        短期借款          9,152.46      13,856.11  -33.95%  银行借款以及本年取得银
                                                                  行借款减少所致


  2        应付账款        9,846.23      20,058.71  -50.91%  主要系本年应付成本费用
                                                                  减少所致

  3        合同负债        12,185.53      11,446.46    6.46%

  4        其他应付款        2,065.64      1,420.80    45.39%  主要系业务合作款增加所
                                                                  致

  5      其他流动负债          3123        281.71  -88.91%  主要系本期待转销项税减
                                                                  少

  6        预计负债        1,036.94        946.94    9.50%

  7      递延所得税负债      2,800.90      3,654.23  -23.35%

  8        负债合计        39,506.69      54,828.60

二、所有者权益情况

                                                                  金额单位:人民币万元

 序    项目      2024.12.31      2023.12.31      增减          重大变动说明

 号

    所有者权益

 1      股本          95,666.51      95,666.51      0.00%

 2    资本公积      281,712.58      281,712.58      0.00%

 3  其他综合收益        401.27          309.33      29.72% 汇率变动的影响

 4  未分配利润      -90,296.36      -37530.40    140.60%

 5  少数股东权益      4,227.73        5756.41    -26.56%

三、经营情况

                                                              金额单位:人民币万元

 序    项目        2024 年        2023 年          增减          重大变动说明

 号

 1    营业收入      45,403.82          43,085.18        5.38%

 2    营业成本      45,861.27          41,121.12      11.53%


 3    销售费用      1,330.40          1,568.16      -15.16%

 4    管理费用      10,763.58          13,856.63      -22.32%

 5    研发费用      6,983.46          18,790.95      -62.84% 主要系委托开发费减少所
                                                              致

 6    财务费用        546.93            399.32      36.96% 主要系利息收入减少所致

 7    投资收益      -1,780.29                        -83.82% 主要系本年处置非流动金
                                        -11,003.14              融资产减少

    公允价值变动                                              主要系本年投资性房地产
 8      损益        -8,497.90          -3,071.57      176.66% 及其他非流动金融资产公
                                                              允价值变动损失增加

 9  信用减值损失    -3387.21                        -43.90% 主要系本年计提信用减值
                                          -6037.55              损失减少

 10 资产减值损失    -19,137.61                        -47.89% 主要系本年商誉减值损失
                                        -36,724.19              减少

 11  利润总额      -53,409.13        -90,071.83      40.70%

                                                              主要系本年经营亏损减少
 12  所得税费用        885.52          -3,182.02      -127.83% 所致

 13    净利润      -54,294.65        -86,889.81      37.51%

 14 归属于母公司    -52,765.96        -79,465.13      33.60%

    股东的净利润
四、现金流量分析

                                                                  金额单位:人民币万元

 序      项目        2024 年      2023 年        增减          变动原因说明

 号

 1  经营活动现金流    56,815.18      55,931.36      1.58%

    入小计

 2  经营活动现金流    57,568.02      58,481.82      -1.56%

    出小计

    经营活动产生的                                          主要系本年支付职工薪酬
 3  现金流量净额        -752.85      -2,550.46      -70.48% 减少、上年冻结资金本年
                                                              解冻等因素的影响

 4  投资活动现金流    44,060.36      57,260.21      -23.05%

    入小计

 5  投资活动现金流    38,798.69      59,274.77      -34.54%

    出小计

 6  投资活动产生的    5,261.67      -2,014.56    361.18% 主要系支付的游戏定制费
    现金流量净额