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直真科技:独立董事关于控股股东及其他关联方占用公司资金、公司对外担保情况的专项说明和独立意见
2023-08-14 11:12
截止 2023 年 6 月 30 日,公司不存在对外担保的情形。 一、关于公司控股股东及其他关联方占用公司资金、公司对外担保情况的专 项说明的独立意见 经核查,我们认为:报告期内,公司与控股股东及其他关联方的资金往来严 格遵守《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》 和深圳证券交易所的相关规定,公司不存在被控股股东及其他关联方非经营性资 金占用的情况,也不存在以前年度发生并累计至 2023 年 6 月 30 日的关联方占用 资金等情况。 报告期内,公司未发生为控股股东、实际控制人及其关联方提供担保的情况, 也不存在以前期间发生并延续到报告期的为控股股东、实际控制人及其关联方担 保事项。 北京直真科技股份有限公司独立董事 关于控股股东及其他关联方占用公司资金、公司对外担保情 况的专项说明的独立意见 根据《中华人民共和国公司法》《上市公司独立董事规则》等法律、法规和 规范性文件,以及《公司章程》和《独立董事工作制度》等有关规定,我们作为 北京直真科技股份有限公司(以下简称"公司")的独立董事,在查阅公司提供 的有关资料、了解有关情况后,基于审慎、客观、独立判断的立场,就公司控股 股东 ...
直真科技:半年度非经营性资金占用及其他关联资金往来情况汇总表
2023-08-14 11:12
| 非经营性资金占用 | 资金占用方名称 | 占用方与上 市公司的关 | 上市公司核算 | 年期初 2023 | 2023 年半年度占用累 计发生金额(不含利 | | 2023 年半年度占 用资金的利息(如 | 2023 年半年度 偿还累计发生 | 2023年6月30 日占用资金余 | 占用形成原因 | 占用性质 | | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | | | | 联关系 | 的会计科目 | 占用资金余额 | 息) | | 有) | 金额 | 额 | | | | 控股股东、实际控制人及其 | | | | | | | | | | | 非经营性占用 | | 附属企业 | 无 | | | | | | | | | | | | 小计 | | | | | | | | | | | | | 前控股股东、实际控制人及 | | | | | | | | | | | 非经营性占用 | | 其附属企业 | 无 | | | | | | | | | | | | 小计 | | | | | | | | | | | | | 其他关联方 ...
直真科技:半年报监事会决议公告
2023-08-14 11:11
证券代码:003007 证券简称:直真科技 公告编号:2023-033 北京直真科技股份有限公司 第五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信息披露的内容真实、准确、完整,没有虚假 记载、误导性陈述或重大遗漏。 一、监事会会议召开情况 北京直真科技股份有限公司(以下简称"公司")第五届监事会第六次会议于 2023年 8月 12日 13:00在北京市朝阳区望京东园融科望京中心 A座 11层会议室以现 场结合通讯方式召开。会议通知已于 2023 年 8 月 1 日以邮件方式通知全体监事。 本次会议应出席监事 3 名,实际出席监事 3 名,其中监事聂俊平、张欣以通讯 方式出席了本次会议。会议由公司监事会主席聂俊平召集并主持。本次会议的召 集和召开符合《中华人民共和国公司法》等有关法律、法规、规范性文件及《公 司章程》的有关规定。 二、监事会会议审议情况 经全体监事认真审议,通过了以下议案: (一)审议通过《关于<2023 年半年度报告>及其摘要的议案》。 经审核,监事会认为:董事会编制和审议《2023年半年度报告》及其摘要的 程序符合法律、行政法规和中国证监会、深圳证券交易所的有关规定,报告内容 真 ...
直真科技:关于召开2022年度业绩说明会的公告
2023-05-08 08:01
北京直真科技股份有限公司 关于召开 2022 年度业绩说明会的公告 本公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有虚假记 载、误导性陈述或重大遗漏。 证券代码:003007 证券简称:直真科技 公告编号:2023-020 欢迎广大投资者积极参与本次网上业绩说明会。 特此公告。 北京直真科技股份有限公司(以下简称"公司")《2022年年度报告》已于2023 年4月25日披露,为使广大投资者进一步了解公司2022年年度财务和经营情况,公司 定于2023年5月18日(星期四)下午15:00至17:00在全景网举办2022年度业绩说明会。 (问题征集专题页面二维码) 北京直真科技股份有限公司董事会 2023年5月9日 本次年度业绩说明会将采用网络远程的方式举行,投资者可登陆全景网"投资 者关系互动平台"(http://ir.p5w.net)参与本次年度业绩说明会。出席本次年度业绩说 明会的人员有:公司董事长袁隽先生、独立董事杨文川先生、董事会秘书兼财务总 监饶燕女士。为充分尊重投资者、提升交流的针对性,现就公司2022年度业绩说明 会提前向投资者公开征集问题,广泛听取大家的意见和建议。投资者可于202 ...
直真科技(003007) - 2022 Q4 - 年度财报
2023-04-24 16:00
北京直真科技股份有限公司2022年年度报告全文 北京直真科技股份有限公司 2022 年年度报告 ...
直真科技(003007) - 2023 Q1 - 季度财报
2023-04-24 16:00
Financial Performance - The company's revenue for Q1 2023 was ¥45,993,566.95, a decrease of 3.44% compared to ¥47,633,671.03 in the same period last year[5] - The net loss attributable to shareholders was ¥25,843,733.38, showing an improvement of 7.88% from a loss of ¥28,054,028.88 in the previous year[5] - The company's basic and diluted earnings per share were both -¥0.25, an improvement of 7.41% from -¥0.27 in the same period last year[5] - The company reported a comprehensive loss of CNY 27,667,776.07, compared to a comprehensive loss of CNY 30,563,071.06 in the previous year[21] - Net loss for the period was CNY 27,364,642.89, compared to a net loss of CNY 30,515,529.51 in the same period last year[20] Cash Flow - The net cash flow from operating activities was -¥21,846,874.84, which is a decline of 8.94% compared to -¥20,053,945.69 in the same period last year[5] - Cash flow from operating activities showed a net outflow of CNY 21,846,874.84, slightly worse than the outflow of CNY 20,053,945.69 in the prior period[22] - The net cash flow from investment activities was 18,401,335.55 CNY, a significant improvement compared to -36,356,175.48 CNY in the previous year[23] - The net cash flow from financing activities was -2,273,536.46 CNY, compared to -11,989,562.83 CNY in the same period last year, indicating reduced outflows[23] - The company reported a decrease in cash and cash equivalents by 6,154,693.66 CNY during the quarter[23] Assets and Liabilities - The total assets at the end of Q1 2023 were ¥938,577,764.08, down 7.27% from ¥1,012,211,446.38 at the end of the previous year[5] - Total current assets decreased from 707,597,598.11 CNY at the beginning of the year to 585,803,509.51 CNY at the end of the reporting period, a decline of approximately 17.2%[16] - Total current liabilities decreased from 177,343,822.29 CNY to 133,204,683.72 CNY, a decrease of about 25.0%[16] - The company recorded a total liability of CNY 138,002,957.03, down from CNY 183,968,863.25 in the previous period[20] - Total equity attributable to shareholders was CNY 794,835,482.49, a decrease from CNY 820,982,349.05 year-over-year[20] Shareholder Information - Total number of common shareholders at the end of the reporting period is 15,444[12] - The largest shareholder, Wang Feixue, holds 23.95% of shares, amounting to 24,906,513 shares, with 2,900,000 shares pledged[12] Operational Metrics - The company reported a significant increase in prepayments, which rose by 86.59% to ¥2,102,862.25 due to increased advance payments to suppliers[9] - The company experienced a 36.31% decrease in contract assets, down to ¥28,568,503.33, primarily due to the recovery of software development contract final payments[9] - The company recorded a 120.26% increase in taxes and surcharges, amounting to ¥744,275.26, attributed to higher VAT payments[9] - The company reported a substantial increase in other operating income, which rose to ¥586,980.02, a staggering increase of 2,467,239.30% compared to the previous year[9] Research and Development - Research and development expenses increased to CNY 36,709,464.97, up from CNY 30,808,202.22 year-over-year[19] - The company has not disclosed any new product or technology developments in the current report[14] Inventory and Receivables - Accounts receivable decreased from 236,086,360.34 CNY to 195,412,975.46 CNY, a decline of approximately 17.2%[15] - Inventory increased from 37,618,502.39 CNY to 45,938,721.44 CNY, an increase of about 22.0%[15] Audit Information - The company did not undergo an audit for the first quarter report[24]
直真科技(003007) - 直真科技调研活动信息
2022-12-03 08:42
证券代码:003007 证券简称:直真科技 北京直真科技股份有限公司 投资者关系活动记录表 编号:2020-002 | --- | --- | --- | |---------|------------------|--------------------------------------| | | | | | 投资 | R 特定对象调研 | □ 分析师会议 | | | □ 媒体采访 | □ 业绩说明会 | | 者关 | □ 新闻发布会 | □ 路演活动 | | 系活 | □ 现场参观 | | | | □ | 其他 (请文字说明其他活动内容) | | 动类 别 | | | | 参与 | | 农行汇理基金梁国柱、申万菱信基金付娟 | | 单位 | | | | 名称 | | | | 及人 | | | | 员姓 | | | | --- | --- | |-------|----------------------------------------------------------------------| | 名 | | | 时间 | 2020 年 12 月 4 日 | | 地点 | 公司会议室 | | 上市 ...
直真科技(003007) - 2022 Q3 - 季度财报
2022-10-26 16:00
北京直真科技股份有限公司 2022 年第三季度报告 证券代码:003007 证券简称:直真科技 公告编号:2022-067 北京直真科技股份有限公司 2022 年第三季度报告 1.董事会、监事会及董事、监事、高级管理人员保证季度报告的真实、准确、完整,不存在虚假记载、误导性陈述或重 大遗漏,并承担个别和连带的法律责任。 2.公司负责人、主管会计工作负责人及会计机构负责人(会计主管人员)声明:保证季度报告中财务信息的真实、准确、 完整。 3.第三季度报告是否经过审计 □是 否 1 北京直真科技股份有限公司 2022 年第三季度报告 一、主要财务数据 (一) 主要会计数据和财务指标 本公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有虚假记载、误导性陈述或重大遗漏。 重要内容提示: 公司是否需追溯调整或重述以前年度会计数据 □是 否 | | 本报告期 | 本报告期比上年同期 | 年初至报告期末 | 年初至报告期末比上 | | --- | --- | --- | --- | --- | | | | 增减 | | 年同期增减 | | 营业收入(元) | 78,739,770.78 | 40.74% | 20 ...
直真科技(003007) - 2022 Q2 - 季度财报
2022-08-24 16:00
Financial Performance - The company's operating revenue for the first half of 2022 was ¥130,905,155.52, representing a 45.69% increase compared to ¥89,854,653.44 in the same period last year[23]. - The net loss attributable to shareholders was ¥42,723,827.34, an improvement of 30.27% from a loss of ¥61,269,404.56 in the previous year[23]. - The net cash flow from operating activities improved significantly, with a net outflow of ¥15,332,633.11, a 71.59% reduction from ¥53,971,946.29 in the same period last year[23]. - The total assets at the end of the reporting period were ¥941,187,378.64, down 6.97% from ¥1,011,699,560.22 at the end of the previous year[23]. - The net assets attributable to shareholders decreased by 6.60%, from ¥811,688,282.63 to ¥758,119,537.07[23]. - The basic and diluted earnings per share were both -¥0.41, an improvement of 30.51% from -¥0.59 in the same period last year[23]. - The weighted average return on net assets was -5.46%, an improvement of 1.50% from -6.96% in the previous year[23]. - The company achieved operating revenue of RMB 130.91 million, a year-on-year increase of 45.69%[51]. - The net profit attributable to shareholders was a loss of RMB 42.72 million, an improvement compared to the previous year's loss[51]. - The company reported a total comprehensive loss of CNY 34,495,735.38 for the first half of 2022, compared to a loss of CNY 53,816,836.72 in the same period of 2021[169]. Research and Development - R&D expenditure totaled RMB 79.43 million, representing a year-on-year growth of 14.76%[51]. - The company focused on the next-generation OSS system planning and construction for telecom operators, enhancing product R&D and market capabilities[51]. - The company has committed to several projects, with a total commitment of 408.16 million yuan, of which 370.79 million yuan has been utilized, representing 90.91% of the total commitment[88]. - The company has allocated 1.2 million yuan for research and development in new technologies, aiming for a 5% increase in innovation output[176]. - R&D investment for the first half of 2022 showed a growth trend compared to the same period last year, emphasizing the company's commitment to innovation[96]. Market and Product Development - The company focuses on software development, technical services, system integration, and third-party hardware sales in the ICT operation management sector[31]. - The company has enhanced its products' automation and intelligent operation capabilities, integrating AI technologies for predictive maintenance and fault identification, which reduces customer costs and improves response times[34]. - The company has developed a new generation of enterprise business support systems based on cloud architecture, supporting various 5G vertical industries and IoT applications[37]. - The company is actively exploring SaaS operations, developing an IT service market-oriented SaaS platform, and enhancing its VideoPro cloud video service for seamless communication[39]. - The company is expanding its market share by capturing opportunities in provincial telecom operators and promoting cloud-based business systems[36]. Financial Management - The company reported a net cash outflow from investment activities of ¥52,309,868.46, which is a 63.10% decrease from ¥141,749,969.13 in the prior year[67]. - Cash and cash equivalents decreased to ¥192,530,556.45, making up 20.46% of total assets, down by 6.44% from the previous year[77]. - The company reported a credit impairment loss of ¥3,811,323.48, representing -8.33% of total profit, mainly due to the write-off of previously accrued bad debt provisions, which is sustainable[75]. - The company has maintained a stable supplier management system and strong relationships with key suppliers[47]. - The company has not engaged in any securities or derivative investments during the reporting period[83][84]. Operational Challenges - The management highlighted the importance of risk awareness regarding future plans and performance forecasts due to uncertainties in macroeconomic and market conditions[4]. - Recent local COVID-19 outbreaks have impacted the company's operations, particularly in project execution and contract signings, necessitating remote collaboration strategies[101]. - The company faces risks related to the concentration of clients, primarily relying on major telecom operators, which could impact performance if competitive advantages are not maintained[95]. - The company has implemented measures to mitigate risks from potential changes in tax policies that could negatively affect profitability[100]. Corporate Governance - The company plans not to distribute cash dividends or issue bonus shares[5]. - The company has appointed new directors and management personnel as of June 30, 2022, including a new chairman and general manager[106]. - The company has not reported any non-operating fund occupation by controlling shareholders or related parties during the reporting period[116]. - The company has not engaged in any related party transactions during the reporting period[122]. - The company has not conducted any asset or equity acquisitions or sales during the reporting period[123]. Future Outlook - Future guidance suggests a revenue target of 1.2 billion yuan for the next half-year, indicating a projected growth of 20%[176]. - The company is exploring potential mergers and acquisitions to enhance its competitive edge in the market[176]. - The company plans to expand its market presence by launching new products and enhancing its technology development initiatives[176].
直真科技(003007) - 2021 Q4 - 年度财报
2022-04-25 16:00
Financial Performance - The company reported a significant operating loss for the year 2021, with a focus on the risks associated with concentrated customers and seasonal performance fluctuations [6]. - The company's operating revenue for 2021 was ¥334,359,784.18, a decrease of 24.62% compared to ¥443,560,210.30 in 2020 [24]. - The net profit attributable to shareholders was -¥70,251,275.76 in 2021, representing a decline of 205.77% from ¥66,419,520.22 in 2020 [24]. - The net cash flow from operating activities was -¥41,217,943.56, down 168.35% from ¥60,302,805.72 in the previous year [24]. - The total assets at the end of 2021 were ¥1,011,699,560.22, a decrease of 6.73% from ¥1,084,745,907.13 at the end of 2020 [25]. - The net assets attributable to shareholders decreased by 11.41% to ¥811,688,282.63 in 2021 from ¥916,237,816.29 in 2020 [25]. - The company reported a basic earnings per share of -¥0.68 in 2021, a decline of 186.08% from ¥0.79 in 2020 [24]. - The total revenue for 2021 was approximately ¥334.36 million, a decrease of 24.62% compared to ¥443.56 million in 2020 [84]. - The net profit attributable to shareholders for Q4 2021 was 24,285,780.27 CNY, compared to a loss of 33,267,651.47 CNY in Q3 2021 [87]. - The company reported a significant decline in revenue from third-party software and hardware sales, which dropped by 92.02% to ¥3.11 million [84]. Research and Development - The company is actively investing in research and development, although there are risks that the outcomes may not meet expectations [6]. - The company increased R&D investment by 41.47% in 2021, totaling CNY 135.49 million [60]. - R&D expenses increased by CNY 39.72 million, representing a growth of 41.47% compared to the previous year, primarily due to a substantial increase in R&D personnel [68]. - The company holds 21 invention patents and 164 software copyrights as of the end of the reporting period [64]. - The number of R&D personnel rose to 569 in 2021, a 30.80% increase from 435 in 2020, with a notable rise in high-skilled personnel [104]. - The company capitalized ¥23,568,819.99 of its R&D expenses in 2021, reflecting a shift from research to development phase for certain projects [106]. - The company is focused on expanding its market presence and developing new technologies [186]. - The company plans to focus on R&D investment in AI, big data, and cloud computing to improve product experience and customer satisfaction [147]. Market Expansion and Strategy - The company aims to expand its market presence and enhance its product offerings through new technologies and innovations [6]. - The company aims to increase its market share in the next-generation OSS core system market, focusing on product R&D and technological innovation [37]. - The company is actively pursuing market expansion and product development in response to the evolving demands of the telecommunications sector [37]. - The company has become a core supplier for China Mobile's next-generation OSS system, establishing a foundation for sustainable development [38]. - The company is actively exploring new business opportunities in the digital transformation sector, particularly in SaaS services and video solutions for healthcare and education [74]. - The company plans to enhance its market share in the government and enterprise service sector through a three-tier support system [100]. - The company aims to leverage opportunities in OSS system upgrades driven by 5G network construction, focusing on cloud-network integration and operational support for telecom operators [142]. - The company plans to explore SaaS-based IT operation services to provide intelligent IT operation solutions amid the digital transformation wave [145]. Governance and Management - The company has established a dedicated team for investor relations to facilitate communication and transparency [20]. - The company held 4 shareholder meetings during the reporting period, ensuring equal rights for all shareholders, especially minority shareholders [160]. - The board of directors convened 7 meetings, with all directors adhering to legal and regulatory requirements to protect the interests of the company and its shareholders [161]. - The supervisory board held 6 meetings, effectively overseeing the compliance of directors and senior management with their duties [162]. - The company maintains independence in assets, personnel, finance, institutions, and business from its controlling shareholders, ensuring a complete business system [170]. - The company has established an independent financial department with a standardized accounting system, ensuring independent financial decision-making [173]. - The company has independent directors who are also involved in other organizations, ensuring diverse governance [193]. - The company emphasizes transparency in its governance practices, with detailed disclosures available to shareholders [199]. Risks and Challenges - The company emphasizes the importance of risk awareness among investors regarding its future plans and strategies [6]. - The company faces risks related to high customer concentration, particularly reliance on major telecom operators, which could impact performance if competitive advantages are not maintained [152]. - The company acknowledges the risk of seasonal revenue fluctuations, with most income recognized in the fourth quarter due to project timelines [152]. - The company is committed to improving project management and customer satisfaction to mitigate risks associated with large accounts receivable [155]. - The company will continue to adapt to changes in tax policies and focus on new product development to minimize potential negative impacts on performance [156]. Financial Management - The company plans not to distribute cash dividends, issue bonus shares, or increase capital from reserves [7]. - The company’s total financial liabilities remained at ¥0.00, indicating no outstanding debts [122]. - The company reported a net loss of 71,957,875.38 CNY for the year, with significant adjustments made to reconcile net profit to cash flow from operating activities [115]. - The cash outflow from financing activities increased by 36.76% year-on-year, totaling 37,650,514.58 CNY, mainly due to increased cash payments for dividends and interest [113]. - The company has committed investments totaling CNY 40.816 billion, with CNY 20.555 billion utilized and CNY 30.818 billion remaining as of the reporting date [135]. Human Resources - The company intends to optimize human resource management and performance evaluation to strengthen its talent base and employee engagement [149]. - The remuneration structure for senior management includes a fixed basic salary and a performance-based salary, directly linked to individual and company performance [194]. - The company has a total of 16 board members and senior management personnel, including those who left during the reporting period [195]. - The company plans to further improve its core personnel incentive mechanism to enhance performance evaluation and motivation [166]. Future Outlook - Future guidance indicates a projected revenue growth of 20% for the upcoming fiscal year, driven by new technology implementations [181]. - The company is expected to continue its investment in research and development to drive innovation and competitiveness in the industry [200]. - The ongoing board activities suggest a robust governance framework that supports the company's long-term objectives [200].