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首页 公告 掌趣科技:2024年度财务决算报告

掌趣科技:2024年度财务决算报告

公告日期:2025-04-29


            北京掌趣科技股份有限公司

              2024 年度财务决算报告

    北京掌趣科技股份有限公司(以下简称“公司”)2024 年度财务报表已经大华会计师事
务所审计,并出具了编号为“大华审字[2025]0011003713 号”的标准无保留意见的审计报告。现将公司有关的财务决算情况汇报如下:
 一、  主要财务数据

    2024 年度,公司实现营业收入 8.19 亿元,比上年同期减少 16.61%。收入较上年同期
 减少,主要系本期业务量减少所致。

    归属于公司普通股股东的净利润为 1.11 亿元,比上年同期减少 40.68%,主要系公司
 收入下降以及计提资产减值准备增加所致。

                                                                      单位:元

                                      2024 年            2023 年          本年比上年增减

营业收入(元)                        818,734,236.76      981,768,022.71              -16.61%

归属于上市公司股东的净利润(元)      110,891,006.55      186,928,517.38              -40.68%

归属于上市公司股东的扣除非经常      70,713,363.97      128,147,901.62              -44.82%
性损益的净利润(元)

经营活动产生的现金流量净额(元)      92,232,538.75      54,280,270.61                69.92%

基本每股收益(元/股)                          0.04              0.07              -42.86%

稀释每股收益(元/股)                          0.04              0.07              -42.86%

加权平均净资产收益率                        2.30%            3.97%      减少 1.67 个百分点

                                      2024 年末          2023 年末      本年末比上年末增减

资产总额(元)                      5,317,726,590.27    5,231,690,411.99                1.64%

归属于上市公司股东的净资产(元)    4,864,631,203.80    4,755,400,203.85                2.30%

    注:以上财务数据均为本公司的合并报表数据

二、  财务状况、经营成果和现金流量情况分析
(一)财务状况
1、资产、负债状况及重大变动情况

    截至 2024 年 12 月 31 日,公司总资产 53.18 亿元,主要构成为:货币资金 24.23 亿
元、长期股权投资 14.61 亿元,占总资产的比例分别为:45.56%、27.47%。

    公司负债总额 4.53 亿元,主要构成为:合同负债 1.52 亿元,占负债总额的 33.51%,
主要系游戏递延收益及预收游戏分成款;应付职工薪酬 1.43 亿元,占负债总额的 31.47%,主要系工资奖金跨期发放所致;应付账款 0.69 亿元,占负债总额的 15.18%,主要系应付业务分成款。

                                                                    单位:元

                    2024 年末              2024 年初        比重增

    项目                      占总资                占总资  减      重大变动说明

                    金额      产比例      金额      产比例

货币资金        2,422,979,236.49 45.56% 2,689,340,475.92 51.40% -5.84%

                                                                      年末余额较年初增加
交易性金融资    129,501,380.41  2.44%    77,071,297.00  1.47%  0.97% 68%,主要系本期权益工
产                                                                    具投资估值增加及新增
                                                                      权益工具投资所致

                                                                      年末余额较年初减少
应收账款        110,993,857.70  2.09%  189,909,241.92  3.63%  -1.54% 42%,主要系本期收入减
                                                                      少所致

预付款项          28,210,793.64  0.53%    31,946,526.95  0.61%  -0.08%

其他应收款        3,817,936.37  0.07%    4,423,656.66  0.08%  -0.01%

存货              11,428,424.37  0.21%    11,764,014.15  0.22%  -0.01%

一年内到期的                                                        年末余额较年初增加
非流动资产        84,310,227.66  1.59%              -  0.00%  1.59% 100%,主要系一年内到
                                                                      期的定期存款增加所致

                                                                      年末余额较年初减少
其他流动资产      6,915,225.87  0.13%    11,280,325.60  0.22%  -0.09% 39%,主要系本期待抵扣
                                                                      增值税减少所致

长期股权投资    1,461,043,401.58 27.47% 1,470,702,402.57 28.11% -0.64%

其他权益工具    50,775,740.18  0.95%    40,246,172.14  0.77%  0.18%

投资

其他非流动金    236,227,038.41  4.44%  214,991,530.27  4.11%  0.33%

融资产

投资性房地产      57,755,599.83  1.09%    60,080,007.39  1.15%  -0.06%

                                                                      年末余额较年初增加
使用权资产        42,503,570.19  0.80%    4,914,449.68  0.09%  0.71% 765%,主要系租赁新办
                                                                      公楼所致

固定资产          9,515,589.41  0.18%    12,509,485.28  0.24%  -0.06%


                    2024 年末              2024 年初        比重增

    项目                      占总资                占总资  减      重大变动说明

                    金额      产比例      金额      产比例

                                                                      年末余额较年初增加
无形资产          32,460,636.81  0.61%    7,593,407.84  0.15%  0.46% 327%,主要系购买版权
                                                                      所致

商誉            205,739,858.01  3.87%  246,035,314.16  4.70%  -0.83%

                                                                      年末余额较年初增加
长期待摊费用      3,798,661.66  0.07%      213,563.84  0.00%  0.07% 1,679%,主要系本期装
                                                                      修费增加所致

递延所得税资    37,174,278.14  0.70%    40,460,341.01  0.77%  -0.07%



其他非流动资                                                        年末余额较年初增加
产              382,575,133.54  7.19%  118,208,199.61  2.26%  4.93% 224%,主要系一年以上
                                                                      银行定期存款增加所致

                                                                      年末余额较年初减少
应付账款          68,782,420.85  1.29%  102,949,501.79  1.97%  -0.68% 33%,主要系本期游戏分
                                                                      成成本及业务宣传费减