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ST鼎龙(002502) - 2015年6月30日投资者关系活动记录表
2022-12-08 02:58
证券代码:002502 证券简称:骅威股份 骅威科技股份有限公司投资者关系活动记录表 编号:HW-IR2015-02 | --- | --- | --- | |----------------|---------------------------|----------------------------------| | | | | | 投 资 者 关 系 | √ | 特定对象调研 □分析师会议 | | 活动类别 | □ | 媒体采访 □业绩说明会 | | | □ 新闻发布会 □路演活动 | | | | □ 现场参观 | | | | | □其他 (请文字说明其他活动内容) | | 参 与 单 位 名 | 博时基金 蒋娜 | | | 称 及 人 员 姓 | 比邻投资 阚成 | | | 名 | 广发基金 陶玉鸣 | | | | 招商证券 王京乐、濮冬燕 | | | | 广发证券 杨琳琳、饶小飞 | | | | 摩根华鑫基金 缪东航、徐达 | | | | 中金公司 樊俊豪、王海量 | | | | 嘉得天晟 丁赞、邹同 | | | | 国泰基金 张琰 | | | | 华泰柏瑞基金 姜捷 | | | | 华润元大基金 ...
ST鼎龙(002502) - 2015年1月21日投资者关系活动记录表
2022-12-07 09:20
证券代码:002502 证券简称:骅威股份 骅威科技股份有限公司投资者关系活动记录表 | --- | --- | --- | |---------------------------|-------------------------|------------------------------------------------------------| | | | | | 投 资 者 关 系 | √ | 特定对象调研 □分析师会议 | | 活动类别 | □ | 媒体采访 □业绩说明会 | | | □新闻发布会 □路演活动 | | | | □ 现场参观 | | | | □ | 其他 (请文字说明其他活动内容) | | 参 与 单 位 名 | 东方证券 孟玮 | | | 称 及 人 员 姓 | 泰康资产 陈虎 | | | 名 | 新华资产 兰宏阳 | | | | 齐鲁证券 康雅雯 | | | | 方正富邦基金 巩显峰 | | | 时间 | 2015 年 1 月 21 | 日下午 2:30-4:30 | | 地点 | 公司深圳办事处会议室 | | | 上 市 公 司 接 待人员姓名 | 董事会秘书 / | 副总 ...
ST鼎龙(002502) - 2016年7月14日投资者关系活动记录表
2022-12-06 23:46
证券代码:002502 证券简称:骅威文化 骅威文化股份有限公司投资者关系活动记录表 编号:HW-IR2016-05 | --- | --- | --- | |----------------|---------------------------|----------------------------------| | | | | | 投 资 者 关 系 | √ | 特定对象调研 □分析师会议 | | 活动类别 | □ | 媒体采访 □业绩说明会 | | | □ 新闻发布会 □路演活动 | | | | □ 现场参观 | | | | | □其他 (请文字说明其他活动内容) | | 参 与 单 位 名 | 天风证券 焦娟 | | | 称 及 人 员 姓 | 上海世诚投资 邹文俊、刘琛 | | | 名 | 华安基金 张杰伟 | | | | 华夏基金 罗浩 | | | | 农银汇理 姜斌宇 | | | | 广发证券资管 湖泽 | | | | 华泰柏瑞基金 孙婕衎 | | | | 安信证券 王晓岩 | | | | 中欧基金 龙宇飞 | | | | 东吴基金 朱冰兵 | | | | 汇丰晋信 唐铭延 | | | | ...
ST鼎龙(002502) - 2016年5月25日投资者关系活动记录表
2022-12-06 23:34
证券代码:002502 证券简称:骅威文化 骅威文化股份有限公司投资者关系活动记录表 编号:HW-IR2016-04 | --- | --- | --- | |----------------|---------------------------|----------------------------------| | | | | | 投 资 者 关 系 | √ | 特定对象调研 □分析师会议 | | 活动类别 | □ | 媒体采访 □业绩说明会 | | | □ 新闻发布会 □路演活动 | | | | □ 现场参观 | | | | | □其他 (请文字说明其他活动内容) | | 参 与 单 位 名 | 海通证券 钟奇/孙小雯/徐枭 | | | 称 及 人 员 姓 | 招商证券 何怀志 | | | 名 | 金元证券 李新宇/李晓宇 | | | | 广发资管 胡泽 | | | | 合象资产 杨振永 | | | | 老鹰投资 李闫 | | | | 平安大华基金 何思璇 | | | | 前海名商 陆嘉荣 | | | | 中植鑫荞 谭斌 / | 鲁娜 | | | 裕晋投资 唐琴 | | | | 汇金资本 谭云云 | ...
ST鼎龙(002502) - 2016年1月13日投资者关系活动记录表
2022-12-06 11:31
证券代码:002502 证券简称:骅威股份 骅威科技股份有限公司投资者关系活动记录表 编号:HW-IR2016-01 | --- | --- | --- | |----------------|-------------------------|----------------------------------| | | | | | 投 资 者 关 系 | √ | 特定对象调研 □分析师会议 | | 活动类别 | □ | 媒体采访 □业绩说明会 | | | □ 新闻发布会 □路演活动 | | | | □ 现场参观 | | | | | □其他 (请文字说明其他活动内容) | | 参 与 单 位 名 | 安信证券 文浩、 | | | 称 及 人 员 姓 | 兴业全球 邹欣 | | | 名 | 广发证券 杨琳琳、沈明辉 | | | | 中泰证券 康雅雯 | | | | 朴易资产 陈俏宇 | | | | 汇丰证券 刘强 | | | | 领骥资本 刘延青 | | | | 国信证券 尹文伟、胡晓寒 | | | | 汇添富基金 胡听炜 | | | | 海通证券 王幽悠 | | | | 华创证券 傅一帆 | | | | 中 ...
ST鼎龙(002502) - 2016年5月12日投资者关系活动记录表
2022-12-06 09:06
证券代码:002502 证券简称:骅威文化 骅威文化股份有限公司投资者关系活动记录表 编号:HW-IR2016-03 | --- | --- | --- | |---------------------------|-------------------------|--------------------------------------------| | | | | | 投 资 者 关 系 | √ | 特定对象调研 □分析师会议 | | 活动类别 | □ | 媒体采访 □业绩说明会 | | | □ 新闻发布会 □路演活动 | | | | □ 现场参观 | | | | | □其他 (请文字说明其他活动内容) | | 参 与 单 位 名 | 广发证券 杨琳琳、饶小飞 | | | 称 及 人 员 姓 | 青沛资产 姚彦君 | | | 名 | 上海源阡资产 朱珠 | | | | 玖歌投资 陈凯 | | | | 拾贝投资 杨立 | | | | 信达澳银 刘维华 | | | | 上海合象资产 杨振永 | | | | 上海万吨资产 赵莹 | | | 时间 | 2016 年 5 月 12 | 日下午 1:30-3:00 ...
ST鼎龙(002502) - 2017年4月27日投资者关系活动记录表
2022-12-06 07:26
证券代码:002502 证券简称:骅威文化 骅威文化股份有限公司投资者关系活动记录表 编号:HW-IR2017-01 | --- | --- | --- | |----------------|---------------------------|----------------------------------| | | | | | 投 资 者 关 系 | √ | 特定对象调研 □分析师会议 | | 活动类别 | □ 媒体采访 □业绩说明会 | | | | □ 新闻发布会 □路演活动 | | | | □ 现场参观 | | | | | □其他 (请文字说明其他活动内容) | | 参 与 单 位 名 | 招商传媒 林起贤 | | | 称 及 人 员 姓 | 兴全基金 薛怡然 | | | 名 | 博时基金 张鑫、郭晓林 | | | | 长城基金 朱玮琳 | | | | 新沃基金 陈斌斌 | | | | 南方基金 张旭 | | | | 安信基金 叶芊 | | | | 信达澳银 刘维华 | | | | 中欧瑞博 宋伟 | | | | 大成基金 郭玮羚 | | | | 前海联合基金 熊钰、杨荣哲 | | | 时间 ...
ST鼎龙(002502) - 2018年3月7日投资者关系活动记录表
2022-12-04 08:56
证券代码:002502 证券简称:骅威文化 骅威文化股份有限公司投资者关系活动记录表 编号:HW-IR2018-01 | --- | --- | --- | |---------------------------|------------------------|----------------------------------------------------------------| | | | | | 投 资 者 关 系 | √ | 特定对象调研 □分析师会议 | | 活动类别 | □ | 媒体采访 □业绩说明会 | | | □ 新闻发布会 □路演活动 | | | | □ 现场参观 | | | | | □其他 (请文字说明其他活动内容) | | 参 与 单 位 名 | 嘉实基金 季文华 | | | 称 及 人 员 姓 名 | 信璞投资 李蕾、曾旒微 | | | | | | | 时间 | 2018 年 3 月 7 | 日下午 3:00-4:30 | | 地点 | | 骅威文化深圳办事处(深圳市罗湖区沿河北路 1002 号瑞思国际大 | | | 厦 A 座十三层) | | | 上 市 公 司 接 待人 ...
ST鼎龙(002502) - 2022 Q2 - 季度财报
2022-08-12 16:00
Financial Performance - The company's operating revenue for the first half of 2022 was ¥232,169,865.94, representing a 2.75% increase compared to ¥225,946,458.58 in the same period last year[22]. - The net profit attributable to shareholders of the listed company was -¥60,422,690.10, a significant decrease of 12,018.39% from ¥506,970.14 in the previous year[22]. - Basic and diluted earnings per share were both -¥0.0704, a decline of 11,833.33% from ¥0.0006 in the previous year[22]. - The company achieved operating revenue of CNY 232.17 million, a year-on-year increase of 2.75%[30]. - The net profit attributable to shareholders was a loss of CNY 60.42 million, a significant decline from the previous profit due to increased management expenses[30]. - The company reported a net cash outflow from operating activities of CNY 103.26 million, a 29.74% improvement from the previous period[36]. - The company reported a total of CNY 101,681,965.28 in accounts payable, down from CNY 109,178,904.96[140]. - The company reported a total comprehensive income attributable to the parent company of -60,513,371.44 CNY, compared to 8,010,281.18 CNY in the first half of 2021[149]. Assets and Liabilities - Total assets at the end of the reporting period were ¥2,549,604,599.36, a slight decrease of 0.15% from ¥2,553,516,203.16 at the end of the previous year[22]. - The company's cash and cash equivalents decreased to approximately ¥60.95 million, down 4.43% from ¥174.22 million at the end of the previous year[45]. - Accounts receivable increased to approximately ¥171.76 million, representing 6.74% of total assets, up from 5.58% the previous year[45]. - Inventory rose to approximately ¥96.53 million, accounting for 3.79% of total assets, an increase attributed to higher production costs in film and titanium mining[45]. - The total assets of the company amounted to 8.4 billion yuan, with a slight increase of 0.1% compared to the end of 2021[162]. - Total liabilities increased to CNY 811,166,168.18 from CNY 788,201,948.92, reflecting a rise of approximately 2.0%[145]. Operational Costs and Expenses - Total operating costs increased to CNY 283,320,823.01 from CNY 226,132,035.57, indicating a rise of about 25.3%[147]. - Management expenses surged by 189.19% to CNY 95.52 million, largely due to stock incentive plan costs[36]. - The company reported a significant increase in management expenses, which rose to CNY 95,515,086.08 from CNY 33,028,655.45, an increase of approximately 189.5%[148]. - Research and development expenses decreased by 12.63% to CNY 5.03 million[36]. Business Segments - The titanium ore business saw a revenue increase of 344.62%, contributing CNY 69.15 million to total revenue[39]. - The gaming business generated CNY 154.80 million, a decrease of 24.28% compared to the previous year, primarily due to the decline in profits from major game projects[39]. - The company's revenue from the cultural education and entertainment sector was approximately ¥160.21 million, a decrease of 23.18% compared to the same period last year[40]. - The black metal mining sector saw a revenue increase of 344.62%, reaching approximately ¥69.15 million, with a gross margin of 72.28%[40]. - Revenue from game development and operation was approximately ¥154.80 million, down 24.28% year-over-year, with a gross margin of 5.91%[40]. Cash Flow - The company reported a net cash flow from operating activities of -103,262,989.03 CNY, an improvement from -146,971,308.56 CNY in the previous year[154]. - The total cash inflow from investment activities was 12,940,916.63 yuan, while cash outflow was 88,111.00 yuan, resulting in a net cash flow of 12,852,805.63 yuan[157]. - The cash inflow from sales of goods and services was 85,758.00 yuan, a sharp decline from 738,450.00 yuan in the previous year[156]. Strategic Plans and Risks - The company has outlined potential risks and corresponding measures in the report, emphasizing the importance of risk awareness for investors[4]. - The management has indicated that future business plans and industry trends are subject to change and do not constitute a substantive commitment to investors[4]. - The company is focusing on integrating titanium resources and building production lines to achieve large-scale production of titanium concentrate, aiming for stable external supply[61]. - The company faces risks related to policy changes affecting the titanium mining industry, which could impact project construction and production timelines[60]. - The company is actively monitoring policy changes and regulatory requirements to ensure compliance and facilitate smooth operations[66]. Shareholder Information - The total number of shareholders at the end of the reporting period is 34,068[123]. - The top 10 shareholders include Hangzhou Dinglong Enterprise Management Co., Ltd. with 12.86% ownership (118,290,557 shares) and Guo Xiangbin with 10.71% ownership (98,563,119 shares)[124]. - The report highlights that the company has a significant concentration of ownership among its top shareholders, with the top three holding over 27% of total shares[124]. Corporate Governance - The company appointed a new CFO, Fang Fang, on January 7, 2022, following the resignation of the previous CFO[107]. - The semi-annual financial report was not audited, which may affect the reliability of the financial data presented[137]. - The company did not experience any changes in its controlling shareholder or actual controller during the reporting period[129]. Research and Development - The company has allocated 2.2 million yuan for research and development in new technologies during this period[161]. - The R&D expenditure for new technologies was reported at 84.32 million yuan, indicating a commitment to innovation despite the overall decline in revenue[170]. Compliance and Legal Matters - There were no major litigation or arbitration matters during the reporting period[89]. - The company reported a total of 3,266.32 thousand yuan involved in non-major litigation matters, with no significant impact[90].
ST鼎龙(002502) - 2022 Q1 - 季度财报
2022-08-12 16:00
Financial Performance - The company's revenue for Q1 2022 was ¥129,678,544.16, representing a 12.52% increase compared to ¥115,247,903.60 in the same period last year[4] - The net profit attributable to shareholders was -¥11,207,953.54, a significant decline of 604.95% from -¥1,589,901.61 year-over-year[4] - Total operating revenue for Q1 2022 was CNY 129,678,544.16, an increase from CNY 115,247,903.60 in the previous period[20] - Net profit for Q1 2022 was a loss of CNY 3,867,103.69, slightly improved from a loss of CNY 3,955,314.15 in the previous period[22] - The total equity attributable to shareholders of the parent company was CNY 1,317,483,396.06, down from CNY 1,326,711,463.69 in the previous period[21] - Basic earnings per share for Q1 2022 were CNY -0.0131, compared to CNY -0.0019 in the previous period[22] Cash Flow and Liquidity - The net cash flow from operating activities improved by 35.53%, reaching -¥73,296,144.81 compared to -¥113,692,492.31 in the previous year[4] - The net cash flow from investment activities was -36,519,546.74, a decrease from -89,173,799.49 in the previous period[25] - Cash inflow from financing activities totaled 34,000,000.00, with a net cash flow of 21,745,237.43 after outflows[25] - The ending balance of cash and cash equivalents was 72,667,401.27, down from 193,634,556.89 at the beginning of the period[25] - The net increase in cash and cash equivalents was -88,162,420.13, reflecting a significant decrease in liquidity[25] Assets and Liabilities - Total assets at the end of the reporting period were ¥2,569,184,105.22, a slight increase of 0.61% from ¥2,553,516,203.16 at the end of the previous year[4] - The company reported a total liability of CNY 559,873,455.07, an increase from CNY 552,666,703.44 in the previous period[21] - The company reported a total current liabilities of RMB 274,620,640.09, compared to RMB 261,456,308.22 at the beginning of the year, marking an increase of about 5.1%[17] - The total non-current assets were reported at RMB 1,777,877,093.33, a slight decrease from RMB 1,790,864,674.19 at the beginning of the year[17] Operational Metrics - The company's cash and cash equivalents decreased by 45.52% to ¥94,919,478.40, primarily due to increased operational expenditures in the gaming sector and investments in titanium mine production[7] - Accounts receivable increased by 16.40% to ¥165,792,662.17, mainly due to higher receivables from the titanium business[7] - Inventory rose by 43.53% to ¥88,482,771.18, attributed to increased production costs for film and television projects[7] - The company reported a significant increase in management expenses by 126.72%, totaling ¥37,894,252.92, mainly due to increased stock incentive amortization[8] - The company experienced a 100% increase in short-term borrowings, amounting to ¥34,000,000.00, indicating a rise in short-term financing needs[7] Corporate Governance and Regulatory Issues - The company appointed Fang Fang as the new CFO following the resignation of the previous CFO, with the appointment effective from January 7, 2022[12] - The company is currently addressing regulatory issues as per the administrative measures decided by the Guangdong Securities Regulatory Bureau[13] - The company has not disclosed any new product developments or market expansion strategies in the current report[12]