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首页 公告 ST中青宝:2024年度财务决算报告

ST中青宝:2024年度财务决算报告

公告日期:2025-04-25


            深圳中青宝互动网络股份有限公司

                2024 年度财务决算报告

  公司2024年12月31日的合并及母公司资产负债表,2024年度的合并及母公司利润表、合并及母公司现金流量表、合并及母公司股东权益变动表,以及财务报表附注已经上会会计师事务所(特殊普通合伙)审计,并出具审计报告。
一、2024年末财务状况

                                                                                              (单位:万元)

      序号                  项目                2024 年 12 月 31 日        2024 年 1 月 1 日          增减

      一、                            资产

      1                            总资产                83,188.91            89,754.67      -6,565.76

      2                          流动资产                14,565.06            23,711.61      -9,146.55

  其中:1)                      应收账款                  4,245.09              6,930.17      -2,685.08

        2)                      预付款项                  2,835.53              1,828.87        1,006.66

        3)                  其他流动资产                  3,872.15              4,620.37        -748.22

      3                        非流动资产                68,623.85            66,043.06        2,580.79

  其中:1)              其他权益工具投资                21,215.33            22,628.40      -1,413.07

        2)                      固定资产                26,819.00            30,990.18      -4,171.18

        3)                      在建工程                11,063.38                  5.41      11,057.97

        4)                    使用权资产                  3,576.42              5,613.32      -2,036.90

        5)                      无形资产                  1,472.14              1,553.73          -81.59

      二、                            负债

      1                          负债合计                44,447.30            43,826.77          620.53

      2                          流动负债                23,116.79            30,993.15      -7,876.36

  其中:1)                      短期借款                    943.43              6,511.28      -5,567.85

      2)                        应付账款                  5,684.61            10,620.28      -4,935.67

      3)                        合同负债                  4,014.97              2,212.43        1,802.54

      4)          一年内到期的非流动负债                  3,013.87              2,500.42          513.45

      3                        非流动负债                21,330.51            12,833.62        8,496.89

  其中:1)                      租赁负债                  2,448.09              3,728.24      -1,280.15

      2)                      长期应付款                15,989.96              6,739.50        9,250.46

      三、                      所有者权益

      1                    所有者权益合计                38,741.60            45,927.90      -7,186.30

      2                              股本                26,185.87            26,185.87              -

      3                          资本公积                37,631.86            38,283.68        -651.82

      4                      其他综合收益                -8,219.69            -6,884.97      -1,334.72

      5                          盈余公积                  5,583.85              5,583.85              -

      6                        未分配利润                -20,592.57            -15,318.39      -5,274.18

      7                      少数股东权益                -1,847.73            -1,922.15          74.42
 二、2024年度经营成果

                                                                                                (单位:万元)

                                              2024 年                      2023 年

序号              项目                              占营业收入                    占营业收入        增减

                                        金额                        金额

                                                        比重                          比重

 1                      营业收入      22,714.19    100.00%      25,904.48      100.00%      -3,190.29

 2                      营业成本      17,336.03      76.32%      17,358.97        67.01%          -22.94

 3                      销售费用        3,096.91      13.63%        4,722.86        18.23%      -1,625.95

 4                      管理费用        2,866.69      12.62%        3,539.46        13.66%        -672.77

 5                      研发费用        3,287.50      14.47%        4,875.69        18.82%      -1,588.19

 6                      财务费用          859.91      3.79%          735.20        2.84%          124.71

 7                      利润总额      -4,609.98    -20.30%      -4,712.52      -18.19%          102.54

 8                    所得税费用          590.02      2.60%          789.97        3.05%        -199.95

 9                        净利润      -5,200.00    -22.89%      -5,502.49      -21.24%          302.49

 10      归属于母公司股东的净利润      -5,274.18    -23.22%      -5,504.57      -21.25%          230.39

 11        基本每股收益(元/股)          -0.20          --          -0.21            --            0.01

 三、2024年度现金流量情况

                                                                                                (单位:万元)

                项目                              2024 年                  2023 年              同比增减

                经营活动现金流入小计