Beijing In-To Digital Technology Stock (835508)
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殷图网联(835508) - 2022 Q4 - 年度财报
2023-04-25 16:00
Financial Performance - The company's operating revenue for 2022 was ¥73,396,358.54, a decrease of 19.16% compared to ¥90,792,996.85 in 2021[32]. - The net profit attributable to shareholders for 2022 was ¥6,481,475.36, down 19.11% from ¥8,013,180.82 in 2021[32]. - The gross profit margin for 2022 was 32.45%, slightly down from 32.60% in 2021[32]. - The company's main business revenue for 2022 was 73,396,358.54 yuan, a decrease of 19.16% year-on-year[52]. - The net profit for 2022 was 6,481,475.36 yuan, down 19.11% year-on-year, primarily due to the decline in operating income[52]. - The company's operating revenue decreased by CNY 17.40 million, a change of -19.16%, primarily due to significant impacts from the pandemic on both upstream supply chains and downstream customer operations[63]. - The main business income was CNY 73.13 million, down 19.45% from CNY 90.70 million in the previous year[66]. - The company reported a basic earnings per share of ¥0.13 for 2022, down 18.75% from ¥0.16 in 2021[32]. - The company's total assets increased by 4.08% to ¥269,736,213.02 in 2022 from ¥259,170,771.33 in 2021[34]. - The total liabilities rose by 23.51% to ¥47,721,232.68 in 2022 compared to ¥38,637,266.35 in 2021[34]. - The company's cash and cash equivalents increased by 137.04 million yuan, a growth rate of 17,830.87% compared to the previous year[58]. - The net cash flow from operating activities for 2022 was ¥22,739,179.68, an increase of 80.21% from ¥12,618,102.61 in 2021[36]. - The net cash inflow from operating activities increased by 10,121,100 CNY, representing an increase of 80.21% compared to the previous period, primarily due to enhanced collection of accounts receivable and significant contract payments received from various subsidiaries of the State Grid Corporation[78]. - The net cash inflow from investment activities surged by 1,214,962,000 CNY, a staggering increase of 6038.98%, attributed to the redemption of matured financial products and increased purchases of bank financial products[78]. - The company’s asset-liability ratio (consolidated) was 17.69% at the end of 2022, up from 14.91% at the end of 2021[34]. Research and Development - The company continues to invest significantly in R&D for technologies such as intelligent analysis and big data, enhancing product management and functionality[15]. - Research and development expenses amounted to 11.06 million yuan, representing 15.07% of operating revenue, down 17.36% year-over-year[61]. - The company has developed a smart warehouse system software that significantly improves the accuracy of power safety equipment inventory checks[51]. - The company is actively investing in artificial intelligence, IoT, and new energy sectors for future growth[54]. - The company has maintained a total of 5 patents, with no change in the number of invention patents held[89]. - The top five R&D projects had a total expenditure of 29,741,526.72 yuan, with the highest individual project expenditure being 14,589,452.45 yuan[169]. - The company has developed three new software copyright registrations as of December 22, 2022, enhancing its intellectual property portfolio[165]. - The company has established a technical management committee to oversee R&D direction and project feasibility, ensuring effective technology and product development[167]. - The company’s R&D strategy is focused on meeting customer needs and enhancing core competitiveness through continuous investment in new technologies[170]. Market and Customer Concentration - The company faces market risks due to fluctuations in the power industry, which could directly impact business performance[15]. - The company relies heavily on a single customer, with 38.86% of sales coming from State Grid Corporation subsidiaries[16]. - The company’s sales to its top five customers accounted for 76.49% of total sales in 2022, indicating a high customer concentration risk[16]. - The company is actively exploring new customer markets, successfully expanding into several provincial power companies and listed companies[50]. - The company aims to strengthen its marketing management system and establish sales channels across various industries to expand its market presence[104]. Corporate Governance and Compliance - The company has implemented changes in accounting policies effective January 1, 2022, but these changes did not impact the financial statements[96]. - The company has established a comprehensive internal control system that effectively covers all business activities related to financial reporting and fundraising[192]. - The company has implemented a risk control system that assesses market, policy, operational, and legal risks, ensuring proactive management[193]. - The governance mechanisms in place protect shareholder rights and ensure compliance with legal requirements, enhancing the company's operational integrity[184]. - The company has not established specialized committees under the board of directors during the reporting period[185]. - The audit report issued by Da Xin Accounting Firm confirmed no reservations, indicating a clean audit opinion[199]. - The audit opinion confirms that the financial statements comply with the accounting standards applicable to enterprises[200]. - The company’s governance structure effectively protects shareholder rights and ensures compliance with legal requirements[177]. Employee and Talent Management - The company emphasizes the need for continuous recruitment of high-quality technical and management talent to support its growth[16]. - The company has a total of 98 employees at the end of the reporting period, down from 105 at the beginning, with a net decrease of 7 employees[159]. - The company has implemented a stable employee training program covering various aspects such as safety production and quality detection[160]. - The company has maintained a stable workforce, with no layoffs reported during the reporting period[160]. - The company is focused on enhancing its talent acquisition and retention strategies to mitigate risks associated with human resources in a technology-intensive industry[112]. Financial Management and Investments - The company approved the use of idle funds to purchase wealth management products, with a maximum investment of 200 million yuan on April 28, 2022, and 55 million yuan on August 23, 2022[120][121]. - The total investment amount for the reporting period was 842,770,000 CNY, reflecting a 127.07% increase compared to the previous year's investment of 371,150,000 CNY[80]. - The company has not made any changes to the use of raised funds during the reporting period[137]. - The total amount of raised funds is CNY 101,008,000, with an actual investment of CNY 11,169,302.49, indicating a cumulative investment of CNY 42,385,495.36[142]. - The company plans to extend the construction period of the fundraising project to July 31, 2024, due to delays in the actual progress compared to the original schedule[142]. Social Responsibility - The company emphasizes social responsibility by ensuring employee rights and providing health benefits, including annual health check-ups and commercial accident insurance[98]. - The company has made commitments regarding profit distribution policies and the payment of social insurance and housing funds, which are currently being fulfilled[124].
殷图网联(835508) - 拟续聘会计师事务所公告
2023-04-25 16:00
(一)机构信息 公司拟聘任大信会计师事务所(特殊普通合伙)为 2023 年年度的审计机构。 1.基本信息 会计师事务所名称:大信会计师事务所(特殊普通合伙) 证券代码:835508 证券简称:殷图网联 公告编号:2023-020 北京殷图网联科技股份有限公司拟续聘会计师事务所公告 本公司及董事会全体成员保证公告内容的真实、准确和完整,没有虚假记载、 误导性陈述或者重大遗漏,并对其内容的真实性、准确性和完整性承担个别及连 带法律责任。 涉及会计师事务所提供的资料、信息,会计师事务所保证其提供、报送或披 露的资料、信息真实、准确、完整,不得有虚假记载、误导性陈述或者重大遗漏。 一、拟续聘会计师事务所的基本情况 成立日期:2012 年 3 月 6 日 组织形式:特殊普通合伙 注册地址:北京市海淀区知春路 1 号 22 层 2206 首席合伙人:谢泽敏 2021 年度末合伙人数量:166 人 2021 年度末注册会计师人数:941 人 2021 年度末签署过证券服务业务审计报告的注册会计师人数:500 人 2021 年收入总额(经审计):186,317.76 万元 2021 年审计业务收入(经审计):163,576. ...
殷图网联(835508) - 北京殷图网联科技股份有限公司控股股东及其他关联方占用资金情况审核报告
2023-04-25 16:00
北京殷图网联科技股份有限公司 控股股东及其他关联方占用资金情况 审核 报告 大信专审字[2023]第 1-03925 号 大信会计师事务所(特殊普通合伙) WUYIGE CERTIFIED PUBLIC ACCOUNTANTS LLP. 您可使用手机"扫一扫"或进入"注册会计师行业统一监管平台(http://acc.mof.gov.cn)" 进行 报告编码:京232 我们接受委托,审计了北京殷图网联科技股份有限公司(以下简称"贵公司")的财务报 表,包括 2022年 12 月 31 日资产负债表、2022年度利润表、股东权益变动表、现金流量表 以及财务报表附注,并于 2023年 4 月 25 日出具大信审字[2023]第 1-04709 号审计报告。在 对上述财务报表审计基础上,我们审核了贵公司编制的《上市公司 2022年度非经营性资金占 用及其他关联资金往来情况汇总表》(以下简称"非经营性资金占用及其他关联资金往来情况 汇总表")。 一、管理层和治理层的责任 按照中国证券监督管理委员会等四部门联合发布的《上市公司监管指引第 8 号—上市公 司资金往来、对外担保的监管要求》的规定,编制非经营性资金占用及其他关 ...
殷图网联(835508) - 2022年年度报告及2023年第一季度报告披露的提示性公告
2023-04-25 16:00
2022 年年度报告及 2023 年第一季度报告披露的提示性公告 证券代码:835508 证券简称:殷图网联 公告编号:2023-010 北京殷图网联科技股份有限公司 2023 年 4 月 26 日 本公司及董事会全体成员保证公告内容的真实、准确和完整,没有虚假 记载、误导性陈述或者重大遗漏,并对其内容的真实性、准确性和完整性承 担个别及连带法律责任。 北京殷图网联科技股份有限公司《2022 年年度报告》、《2022 年年度报告摘 要》及《2023 年第一季度报告》于 2023 年 4 月 26 日在北京证券交易所官方信 息披露平台(www.bse.cn)披露,敬请投资者注意查阅。 特此公告。 北京殷图网联科技股份有限公司 董事会 ...
殷图网联(835508) - 募集资金存放与实际使用情况的专项报告
2023-04-25 16:00
证券代码:835508 证券简称:殷图网联 公告编号:2023-014 一、募集资金基本情况 (一)扣除发行费用后的实际募集资金金额、资金到账时间 北京殷图网联科技股份有限公司于 2020 年 5 月 8 日召开的第二届董事会 第十三次会议决议,并经中国证券监督管理委员会"证监许可[2020]1335 号"文《关于核准北京殷图网联科技股份有限公司向不特定合格投资者公开 发行股票的批复》的核准,本次向不特定合格投资者公开发行不超过 1,000 万股新股,每股面值 1 元,按照发行价格人民币 9.98 元/股计算,募集资金 总额为人民币 99,800,000.00 元,缴存银行账户为中国农业银行,账号 11251401040004117。截至 2020 年 7 月 15 日止,贵公司实际已发行人民币普 通股 1,000 万股,募集资金总额为人民币 99,800,000.00 元,扣除各项发行 费用人民币 12,453,773.58(不含增值税进项税额人民币 747,226.42 元), 实际募集资金净额人民币 86,599,000.00 元,上述募集资金经大信会计师事 务所(特殊普通合伙)审验并出具了大信验字【2 ...
殷图网联(835508) - 北京殷图网联科技股份有限公司审计报告
2023-04-25 16:00
您可使用手机"扫一扫"或进入"注册会计师行业统一监管平台(http://acc.mof.gov.cn) WUYIGE Certified Public Accountants 1 号 Room 2206 22/F,Xueyuan International Tov No.1 Zhichun Road,Haidian Dist. Beijing.China.100083 北京殷图网联科技股份有限公司 审 计 报 告 大信审字[2023]第 1-04709 号 大信会计师事务所(特殊普通合伙) WUYIGE CERTIFIED PUBLIC ACCOUNTANTS LLP. 审计报告 大信审字[2023]第 1-04709 号 北京殷图网联科技股份有限公司全体股东: 一、审计意见 我们审计了北京殷图网联科技股份有限公司(以下简称"贵公司")的财务报表,包括 2022年12月 31 目的资产负债表,2022年度的利润表、现金流量表、股东权益变动表,以及 财务报表附注。 我们认为,后附的财务报表在所有重大方面按照企业会计准则的规定编制,公允反映了 贵公司 2022年12月 31日的财务状况以及 2022年度的经营成果 ...
殷图网联(835508) - 关于治理专项自查及规范活动相关情况的报告
2023-04-25 16:00
证券代码:835508 证券简称:殷图网联 公告编号:2023-015 北京殷图网联科技股份有限公司 公司属性为民营企业。 公司存在实际控制人,公司的实际控制人为郑三立、阳琳,实际控制人能够实际支 配的公司有表决权股份总数占公司有表决权股份总数的比例为 50.58%。 公司存在控股股东,控股股东为郑三立,控股股东持有公司有表决权股份总数占公 司有表决权股份总数的比例为 48.78%。 公司控股股东、实际控制人及其控制的其他企业不存在接受他人表决权委托的情况。 公司控股股东、实际控制人及其控制的其他企业不存在与他人签署一致行动协议的情况。 公司控股股东不存在股份被冻结的情形。公司控股股东不存在股权质押的情形。 公司不存在控股子公司持有公司股份的情形。 二、 内部制度建设情况 公司内部制度建设情况如下: | | | 关于治理专项自查及规范活动相关情况的报告 本公司及董事会全体成员保证公告内容的真实、准确和完整,没有虚假记载、误 导性陈述或者重大遗漏,并对其内容的真实性、准确性和完整性承担个别及连带法律 责任。 根据公司治理专项自查及规范活动的相关要求,北京殷图网联科技股份有限公司 (以下简称"公司"或"上市公司" ...
殷图网联(835508) - 万联证券关于殷图网联2022年度公司治理专项自查及规范活动专项核查报告
2023-04-25 16:00
万联证券股份有限公司 关于北京殿图网联科技股份有限公司 2022 年度 公司治理专项自查及规范活动的专项核查报告 万联证券股份有限公司(以下简称"万联证券"、"保荐机构")作 为北京殷图网联科技股份有限公司(以下简称"殷图网联"、"公司") 向不特定合格投资者公开发行股票的保荐机构,根据公司治理专项自 查及规范活动的相关要求,已对殷图网联 2022年度公司治理情况进 行了专项核查。现将相关情况汇总报告如下: 一、公司基本情况 殷图网联为民营企业,控股股东为郑三立,持有公司有表决权股 份总数占公司有表决权股份总数的比例为 48. 78%;公司实际控制人为 郑三立、阳琳,实际控制人能够实际支配的公司有表决权股份总数占 公司有表决权股份总数的比例为 50.58%。 公司控股股东、实际控制人及其控制的其他企业不存在接受他人 表决权委托的情况,不存在与他人签署一致行动协议的情况。公司控 股股东不存在股份被冻结的情形,不存在股权质押的情形。公司不存 在控股子公司持有公司股份的情形。 二、公司内部制度建设情况 公司内部制度建设情况如下: | 章项 | 是否制定或完善 | | --- | --- | | 对照《北京证券交易所 ...
殷图网联(835508) - 第三届监事会第六次会议决议公告
2023-04-25 16:00
证券代码:835508 证券简称:殷图网联 公告编号:2023-013 北京殷图网联科技股份有限公司 第三届监事会第六次会议决议公告 本公司及监事会全体成员保证公告内容的真实、准确和完整,没有虚假记载、 误导性陈述或者重大遗漏,并对其内容的真实性、准确性和完整性承担个别及连 带法律责任。 一、会议召开和出席情况 (一)会议召开情况 本次会议的召集、召开和表决程序符合有关法律、法规和《公司章程》的规 定。 (二)会议出席情况 会议应出席监事 3 人,出席和授权出席监事 3 人。 监事路士超、于佳因工作原因以通讯方式参与表决。 二、议案审议情况 (一)审议通过《关于<2022 年度监事会工作报告>的议案》议案 1.议案内容: 2022 年度公司监事会严格按照《中华人民共和国公司法》《中华人民共和国 1.会议召开时间:2023 年 4 月 25 日 2.会议召开地点:公司第一会议室 3.会议召开方式:现场和通讯方式 4.发出监事会会议通知的时间和方式:2023 年 4 月 15 日 以电话方式发出 5.会议主持人:监事会主席路士超先生 6.召开情况合法、合规、合章程性说明: 证券法》等法律法规及《公司章程》《监事会 ...
殷图网联(835508) - 关于公司部分募投项目延期的公告
2023-04-25 16:00
证券代码:835508 证券简称:殷图网联 公告编号:2023-023 北京殷图网联科技股份有限公司 关于公司部分募投项目延期的公告 本公司及董事会全体成员保证公告内容的真实、准确和完整,没有虚假 记载、误导性陈述或者重大遗漏,并对其内容的真实性、准确性和完整性承 担个别及连带法律责任。 一、募集资金基本情况 经中国证券监督管理委员会"证监许可[2020]1335 号"文《关于核准北京殷 图网联科技股份有限公司向不特定合格投资者公开发行股票的批复》的核准,北 京殷图网联科技股份有限公司向不特定合格投资者公开发行不超过 1,000 万股 新股,每股面值 1 元,按照发行价格人民币 9.98 元/股计算,募集资金总额为人 民币 99,800,000.00 元。截至 2020 年 7 月 15 日止,公司实际已发行人民币普通 股 1,000 万股,募集资金总额为人民币 99,800,000.00 元,扣除各项发行费用人 民币 12,453,773.58(不含增值税进项税额人民币 747,226.42 元),实际募集资 金净额人民币 86,599,000.00 元,上述募集资金经大信会计师事务所(特殊普通 合伙)审验 ...