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掌趣科技:2021年度财务决算报告

公告日期:2022-04-28

掌趣科技:2021年度财务决算报告 PDF查看PDF原文

            北京掌趣科技股份有限公司

              2021 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”)2021 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[2022] 00L00636 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

    2021 年度,公司实现营业收入 14.72 亿元,比上年同期减少 17.72%。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-12.45 亿元,比上年同期下降 492.67%,主要系公司
计提商誉减值准备较大及本期业务量减少所致。

                                                                      单位:元

                项目                      本报告期          上年同期      本年比上年增
                                                                                  减

营业收入(元)                            1,472,214,784.03    1,789,193,899.97      -17.72%

归属于上市公司普通股股东的净利润(元)    -1,244,511,637.55      316,938,566.18        不适用

归属于上市公司普通股股东的扣除非经常性                                              不适用
损益后的净利润(元)                      -1,239,844,263.84        80,125,854.06

资产总额(元)                            4,842,717,423.29    6,219,925,872.93      -22.14%

归属于上市公司普通股股东的所有者权益

(元)                                    4,190,435,140.74    5,531,401,325.57      -24.24%

经营活动产生的现金流量净额(元)            150,617,238.09      479,689,020.95      -68.60%

基本每股收益(元/股)                                -0.46                0.12        不适用

稀释每股收益(元/股)                                -0.46                0.12        不适用

    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 2021 年 12 月 31 日,公司总资产 48.43 亿元,主要构成为:货币资金 24.76 亿元、

  长期股权投资 12.47 亿元,占总资产的比例分别为:51.13%、25.76%。

      公司负债总额 6.52 亿元,主要构成为:应付职工薪酬 2.08 亿元,占负债总额的 31.85%,
  主要系跨期发放的奖金增加所致;合同负债 1.97 亿元,占负债总额的 30.13%,主要系游戏
  递延收益及预收游戏分成款;应付账款 1.45 亿元,占负债总额的 22.22%,主要系应付业务
  分成款。

                                                                        单位:元

                  2021 年末                2021 年初

  项目        金额      占总资产      金额      占总资产比 比重增减      重大变动说明

                            比例                      例

货币资金    2,476,090,199.43  51.13% 2,464,223,742.86    39.37%    11.76%

应收账款    213,090,745.76    4.40%  264,373,339.31    4.22%    0.18%

预付款项      79,263,672.16    1.64%  107,826,267.10    1.72%    -0.08%

其他应收款    8,849,049.50    0.18%    7,007,464.78    0.11%    0.07%

                                                                        期末余额较年初减少 31%,
存货          16,282,701.44    0.34%    23,690,123.26    0.38%    -0.04% 主要系本期合同履约成本减
                                                                        少所致

其他流动资                                                              期末余额较年初减少 41%,
产            10,025,702.30    0.21%    17,089,063.25    0.27%    -0.06% 主要系预缴企业所得税减少
                                                                        所致

长期股权投

资          1,247,469,446.81  25.76% 1,196,212,300.81    19.11%    6.65%

其他权益工

具投资        93,345,687.56    1.93%    79,170,258.04    1.26%    0.67%

其他非流动

金融资产    251,998,829.34    5.20%  247,797,771.70    3.96%    1.24%

投资性房地

产            64,728,822.51    1.34%    67,053,230.07    1.07%    0.27%

使用权资产    32,531,733.86    0.67%    43,209,276.95    0.69%    -0.02%

固定资产      16,425,902.46    0.34%    18,422,970.63    0.29%    0.05%

无形资产      30,212,296.70    0.62%    27,824,730.65    0.44%    0.18%

                                                                        期末余额较年初减少 85%,
商誉        246,035,314.16    5.08% 1,612,833,769.43    25.77%    -20.69% 主要系本期计提商誉减值准
                                                                        备所致

长期待摊费                                                              期末余额较年初减少 63%,
用            2,499,172.62    0.05%    6,826,462.23    0.11%    -0.06% 主要系装修费摊销所致

递延所得税

资产          50,692,993.85    1.05%    66,397,743.42    1.06%    -0.01%


                  2021 年末                2021 年初

  项目        金额      占总资产      金额      占总资产比 比重增减      重大变动说明

                            比例                      例

                                                                        期末余额较年初减少 67%,
其他非流动                                                              主要系外购版权进入受益
资产          3,175,152.83    0.07%    9,662,861.26    0.15%    -0.08% 期,相应转入无形资产核算
                                                                        所致

应付账款    144,946,168.12    2.99%  174,834,955.63    2.79%    0.20%

预收账款        546,305.67    0.01%      453,866.41    0.01%    0.00%

合同负债    196,533,349.99    4.06%  236,172,624.12    3.77%    0.29%

应付职工薪

酬          207,743,293.20    4.29%  192,245,037.64    3.07%    1.22%

                                                                        期末余额较年初增加 78%,
应交税费      29,625,329.99    0.61%    16,624,654.68    0.27%    0.34% 主要系应交企业所得税增加
                                                                        所致

                                                                        期末余额较年初增加 47%,
其他应付款    10,430,762.33    0.22%    7,072,544.83    0.11%    0.11% 主要系未结算的暂收款增加
                                                                        所致

一年内到期

的非流动负    15,683,565.15    0.32%    13,871,729.84    0.22%    0
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