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首页 公告 同花顺:2024年财务决算报告

同花顺:2024年财务决算报告

公告日期:2025-02-25


        浙江核新同花顺网络信息股份有限公司

                2024 年度财务决算报告

    报告期内,公司立足互联网金融信息服务主业,稳步推进年度工作计划,紧
 跟全球人工智能技术最新发展趋势,持续优化和提升公司大模型能力,进一步深
 化人工智能技术与现有业务的融合,积极培育人工智能产业生态,打造未来增长
 的新引擎。

    报告期内,证券市场回暖,投资者对金融信息服务需求有所上升,2024 年公

 司营业总收入及净利润实现一定幅度增长。

    一、2024 年度财务报表审计情况

    2024 年度财务报表经天健会计师事务所(特殊普通合伙)审计,出具了标准

 无保留意见的审计报告(天健审〔2025〕211 号),天健会计师事务所认为公司
 的财务报表已经按照企业会计准则以及有关规定编制,在所有重大方面公允地反

 映了公司 2024 年 12 月 31 日的财务状况以及 2024 年度经营成果和现金流量。

    二、经营利润情况

                                                                  单位:人民币元

  项 目            2024 年度            2023 年度      增减幅度  大额变动原因说明

                                                              主要系证券市场回
营业总收入      4,186,794,650.06  3,564,260,219.05  17.47% 暖,客户需求增加,公
                                                              司业务规模扩大所致

 营业成本          443,397,835.91    389,002,785.10  13.98% 主要系信息费和服务
                                                              器托管费等增加所致

                                                              主要系加大营销推广
 销售费用          592,058,501.29    497,256,911.53  19.06% 力度,相应营销费用
                                                              及销售人员薪酬增加
                                                              所致

 管理费用          221,376,791.84    204,456,207.26    8.28%

 研发费用        1,193,243,542.03  1,179,239,106.34    1.19%

 财务费用        -205,924,675.68    -203,249,401.38  -1.32%

所得税费用        141,666,065.80      98,501,854.21  43.82% 主要系利润总额增加
                                                              所致


归属于母公司股    1,823,266,690.03  1,402,468,555.23  30.00%

  东的净利润

  每股收益                    3.39              2.61  29.89%

      三、资产负债情况

                                                                    单位:人民币元

      项目        2024 年 12 月 31 日  2023 年 12 月 31 日  增减幅度  大额变动原因说明

    货币资金        9,199,697,806.06  8,169,871,865.16    12.61%

    应收账款          40,678,253.12    54,082,400.83    -24.78%

    其他应收款          30,579,638.80    30,943,590.04    -1.18%

  其他流动资产        49,656,469.97      9,609,968.57    416.72%  主要系预付费用增
                                                                      加所致

  流动资产合计      9,371,557,147.16  8,264,934,748.60    13.39%

    固定资产          631,769,496.83    665,146,609.17    -5.02%

    在建工程          626,252,320.68    559,492,683.44    11.93%

    无形资产          331,254,408.61    339,252,154.93    -2.36%

  非流动资产合计    1,604,944,420.37  1,579,925,941.75      1.58%

    资产总计      10,976,501,567.53  9,844,860,690.35    11.49%

    应付账款          161,541,411.33    165,138,427.85    -2.18%

    合同负债        1,486,124,962.67  1,101,526,739.75    34.92%  主要系预收款项增
                                                                      加所致

  应付职工薪酬        221,841,989.16    208,066,940.73      6.62%

                                                                      主要系期末应交企
    应交税费          194,234,044.67    134,665,033.19    44.23%  业所得税、增值税等
                                                                      增加所致

    其他应付款        821,174,754.21    805,266,068.47      1.98%


    流动负债合计      2,886,162,232.42  2,415,945,799.89    19.46%

  其他非流动负债      112,886,492.94    105,767,501.52      6.73%

  非流动负债合计      116,014,184.81    109,567,250.94      5.88%

      负债合计        3,002,176,417.23  2,525,513,050.83    18.87%

        股本          537,600,000.00    537,600,000.00      0.00%

      资本公积          356,802,975.99    356,802,975.99      0.00%

      盈余公积          360,815,351.25    360,815,351.25      0.00%

    未分配利润      6,672,686,655.49  6,032,139,965.46    10.62%

    股东权益合计      7,974,325,150.30  7,319,347,639.52      8.95%

 负债和股东权益总计  10,976,501,567.53  9,844,860,690.35    11.49%

      四、现金流情况

                                                                    单位:人民币元

      项目            2024 年度          2023 年度      增减幅度  大额变动原因说明

                                                                    主要系证券市场回
经营活动产生的现金  2,315,506,812.27  1,591,901,414.82    45.46% 暖,客户需求增加,
流量净额                                                            公司业务规模扩大
                                                                    所致

投资活动产生的现金                                                  主要系报告期内定
流量净额              -119,447,262.79    -484,212,653.24    75.33% 期存款到期收回所
                                                                    致

筹资活动产生的现金  -1,310,909,123.90  -1,217,779,978.90    -7.65%

流量净额

现金及现金等价物净                                                  主要系经营活动产
增加额                900,259,924.47    -86,778,689.05  1137.42% 生的现金流量净额
                                                                    增加所致

      五、主要财务指标

                项目                    2024 年度        2023 年度        增减幅度

                  销售毛利率                89.41%          89.09%              0.32%
    盈利能力

                  净资产收益率              24.80%          20