联系客服QQ:86259698

601519 沪市 大智慧


首页 公告 大智慧:2024年财务决算报告

大智慧:2024年财务决算报告

公告日期:2025-04-12


                  2024 年度财务决算报告

      公司 2024 年度财务报告已经中兴华会计师事务所(特殊普通合
  伙)审计,现将公司 2024 年度财务决算情况报告如下:

      2024 年,公司实现营业收入 77,085.34 万元,同比下降 0.84%;
  归属于上市公司股东的净利润-20,127.10 万元;扣除非经常性损益
  后的净利润为-20,001.53 万元。归属于上市公司股东的净利润较上
  年同期下降的主要原因系上年同期,公司按照相关规则将控股股东、
  实际控制人张长虹先生向公司支付的 33,549.66 万元全额计入营业
  外收入,本期无此项收入。

      一、主要会计数据

                                                单位:元 币种:人民币

  主要会计数据        2024年            2023年      本期比上年        2022年

                                                      同期增减(%)

营业收入            770,853,436.03    777,390,975.96        -0.84      780,253,394.26

扣除与主营业务无

关的业务收入和不    766,297,130.13    772,809,484.97        -0.84      775,841,947.50
具备商业实质的收
入后的营业收入

归属于上市公司股  -201,271,049.65    102,421,517.25      -296.51      -88,306,082.29
东的净利润
归属于上市公司股

东的扣除非经常性  -200,015,341.01  -231,739,698.04      不适用      -91,877,673.28
损益的净利润

经营活动产生的现  -160,739,215.20    197,680,853.84      -181.31      -22,538,278.14
金流量净额

                                                        本期末比上

                      2024年末          2023年末      年同期末增      2022年末

                                                        减(%)

归属于上市公司股  1,433,249,147.35  1,694,534,157.68      -15.42    1,612,498,113.37
东的净资产

总资产            1,940,036,813.32  2,300,883,452.39      -15.68    2,352,058,695.82

      二、主要财务指标


            主要财务指标        2024年    2023年    本期比上年同期增  2022年

                                                            减(%)

      基本每股收益(元/股)      -0.100    0.051            -296.08  -0.044

      稀释每股收益(元/股)      -0.100    0.051            -296.08  -0.044

      扣除非经常性损益后的基本  -0.100    -0.116            不适用  -0.046

      每股收益(元/股)

      加权平均净资产收益率(%)  -13.12      6.23  减少19.35个百分点  -5.43

      扣除非经常性损益后的加权  -13.04    -14.10  增加1.06个百分点  -5.65

      平均净资产收益率(%)

            三、利润表相关科目变动分析

                                                      单位:元 币种:人民币

    科目          本期数          上年同期数    变动比例(%)              变动原因

 营业收入      770,853,436.03  777,390,975.96        -0.84  公司本期海外、保险经纪等业务收入有所
                                                              下滑

 营业成本      308,372,204.29  318,240,381.16        -3.10  保险经纪业务缩减等导致相应成本减少

 销售费用      168,310,626.08  149,093,652.82        12.89  公司本期人员投入和服务成本有所增加

 管理费用      319,393,102.94  275,470,343.48        15.94  公司拓展新业务导致人员成本增长

 财务费用      -59,769,865.83  -21,675,202.65      不适用  公司本期利息收入增长较大

 研发费用      220,894,909.96  209,837,978.02        5.27  上期股权激励冲回,本期无此数据

            四、资产、负债相关科目变动分析

                                                      单位:元 币种:人民币

                                本期期末                    上期期末  本期期末

 项目名称      本期期末数    数占总资      上期期末数    数占总资  金额较上      情况说明

                                产的比例                    产的比例  期期末变

                                (%)                        (%)  动比例(%)

货币资金    1,133,146,556.06    58.41  1,634,708,653.55    71.05    -30.68  本期购买了较多的
                                                                                  理财产品

交易性金融    153,452,743.62      7.91      3,594,146.26      0.16  4,169.52  本期购买的理财产
资产                                                                              品未到期

                                                                                  aacat fintech

其他应收款      25,763,418.35      1.33      18,588,268.48      0.81      38.60  Limited新增1100万
                                                                                  元交易保证金

存货              372,554.31      0.02          28,187.20      0.00  1,221.71  期末硬件库存增长

其他流动资                                                                        期末预缴税金增长
产              16,542,876.66      0.85      11,225,456.69      0.49      47.37  以及新业务产生的
                                                                                  信托基金

债权投资        10,267,222.23      0.53                        0.00    100.00  本期购买的大额存
                                                                                  单未到期

在建工程                            0.00        280,366.97      0.01    -100.00  期末在建工程全额
                                                                                  计提了减值


长期待摊费      3,164,253.15      0.16      4,651,144.45      0.20    -31.97  装修摊销导致减少


递延所得税                                                                        租赁负债减少以及
资产              297,910.45      0.02      10,637,352.00      0.46    -97.20  退租,导致递延所得
                                                                                  税资产相应减少

其他非流动        228,715.29      0.01        936,679.90      0.04    -75.58  期末预付长期资产
资产                                                                              款余额减少

预收款项          393,589.65      0.02        823,221.36      0.04    -52.19  期末预收款余额减
                                                                                  少

                                                                                  本期支付了限制性
其他应付款      12,521,516.08      0.65      83,004,506.37      3.61    -