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金马游乐(300756) - 关于2024年年度报告、2025年第一季度报告披露的提示性公告
2025-04-23 10:08
本公司及董事会全体成员保证信息披露内容的真实、准确和完整,没有虚 假记载、误导性陈述或重大遗漏 为使投资者全面了解广东金马游乐股份有限公司(以下简称"公司")2024 年度以及 2025 年第一季度的经营成果、财务状况等相关情况,公司《2024 年年 度报告》《2024 年年度报告摘要》及《2025 年第一季度报告》于 2024 年 4 月 24 日在巨潮资讯网(http://www.cninfo.com.cn)上披露。其中,公司《2025 年第一季度报告》未经审计。敬请投资者注意查阅。 特此公告。 证券代码:300756 证券简称:金马游乐 公告编号:2025-015 广东金马游乐股份有限公司 关于 2024 年年度报告、2025 年第一季度报告披露的 提示性公告 2025 年 4 月 23 日 广东金马游乐股份有限公司 董 事 会 ...
金马游乐(300756) - 关于2025年度日常关联交易预计的公告
2025-04-23 10:08
证券代码:300756 证券简称:金马游乐 公告编号:2025-017 广东金马游乐股份有限公司 关于 2025 年度日常关联交易预计的公告 本公司及董事会全体成员保证信息披露内容的真实、准确和完整,没有虚 假记载、误导性陈述或重大遗漏。 一、日常关联交易基本情况 (一)日常关联交易概述 因日常经营需要,广东金马游乐股份有限公司(以下简称"公司")及全资、 控股子公司预计 2025 年度与长沙市云顶星河游乐园有限公司、中山市天伦游乐 投资有限公司、中山市金马游乐投资经营有限公司等关联方发生总额不超过 94.00 万元的日常关联交易。2024 年度公司及全资、控股子公司与上述关联方预 计发生日常关联交易总额为 154.06 万元,实际发生日常关联交易总额为 114.25 万元。 公司于 2025 年 4 月 23 日召开第四届董事会第十次会议,审议通过了《关于 2025 年度日常关联交易预计的议案》,关联董事邓志毅、李勇回避表决。独立董 事召开第四届董事会独立董事第五次专门会议审议通过了该议案事项。 根据《深圳证券交易所创业板股票上市规则》及《公司章程》等相关规定, 本次关联交易预计事项无需提交公司股东大会审议 ...
金马游乐(300756) - 关于2024年度计提资产减值准备的公告
2025-04-23 10:08
证券代码:300756 证券简称:金马游乐 公告编号:2025-023 根据《企业会计准则》《深圳证券交易所创业板股票上市规则》《深圳证券 交易所上市公司自律监管指引第 2 号——创业板上市公司规范运作》及公司会计 政策等相关规定,为了更加真实、公允地反映公司截至 2024 年 12 月 31 日的财 务状况、资产价值及经营成果,基于谨慎性原则,公司及下属子公司对各类资产 进行了全面清查及资产减值测试后,对存在减值迹象的资产计提相应减值准备。 (二)本次计提资产减值准备的范围和金额 2024 年度,公司及下属子公司计提信用减值损失、资产减值损失合计为 2,260.10万元,计入公司2024年度损益。2024年度计提资产减值准备情况如下: 单位:万元 广东金马游乐股份有限公司 关于 2024 年度计提资产减值准备的公告 本公司及董事会全体成员保证信息披露内容的真实、准确和完整,没有虚 假记载、误导性陈述或重大遗漏。 一、本次计提资产减值准备情况概述 (一)本次计提资产减值准备的原因 | 项目 | 2024 年计提金额 | | | --- | --- | --- | | 一、坏账准备 | | | | 应收款项 | ...
金马游乐(300756) - 关于召开2024年年度股东大会的通知
2025-04-23 10:07
1、股东大会届次:2024 年年度股东大会。 证券代码:300756 证券简称:金马游乐 公告编号:2025-021 广东金马游乐股份有限公司 关于召开 2024 年年度股东大会的通知 本公司及董事会全体成员保证信息披露内容的真实、准确和完整,没有虚 假记载、误导性陈述或重大遗漏。 广东金马游乐股份有限公司(以下简称"公司")于 2025 年 4 月 23 日召开 第四届董事会第十次会议,会议决定于 2025 年 5 月 15 日召开公司 2024 年年度 股东大会。现将本次股东大会的有关事项通知如下: 一、召开会议的基本情况 (1)现场会议召开日期与时间:2025 年 5 月 15 日(星期四)下午 15:00。 (2)网络投票日期与时间:2025 年 5 月 15 日,其中通过深圳证券交易所 交易系统进行网络投票的具体时间为 2025 年 5 月 15 日 09:15-09:25、 09:30-11:30、13:00-15:00;通过深圳证券交易所互联网投票的具体时间为 2025 年 5 月 15 日 09:15-15:00。 5、会议的召开方式:本次股东大会采取现场表决与网络投票相结合的方式。 (1)现 ...
金马游乐:2024年报净利润0.07亿 同比下降84.78%
Tong Hua Shun Cai Bao· 2025-04-23 10:07
Group 1 - The core viewpoint of the articles indicates a significant decline in financial metrics for the year 2024 compared to previous years, particularly highlighting an 83.87% decrease in one key metric [1] - The financial performance shows a mixed trend, with some metrics experiencing slight declines while others remain stable or show minor changes [1][2] - The overall financial landscape reflects a challenging environment, with notable reductions in revenue and profitability across various sectors [2] Group 2 - Specific financial figures for 2024 include a revenue of 4506.41 million, representing a 34.33% change, and a notable loss of 186.82 million [2] - Several individual metrics show varying degrees of decline, such as a 21.82% decrease in one category and an 84.78% drop in another, indicating volatility in performance [1][2] - The data suggests that the industry is facing significant headwinds, impacting overall financial health and future outlook [2]
金马游乐(300756) - 监事会决议公告
2025-04-23 10:06
证券代码:300756 证券简称:金马游乐 公告编号:2025-012 广东金马游乐股份有限公司 第四届监事会第十次会议决议公告 本公司及监事会全体成员保证信息披露内容的真实、准确和完整,没有虚 假记载、误导性陈述或重大遗漏。 (一)审议并通过了《关于<2024 年年度报告全文及摘要>的议案》 经审议,监事会认为:公司董事会编制和审核《2024 年年度报告全文及摘 要》的程序符合法律、行政法规和中国证监会的规定,报告内容真实、准确、完 整地反映了公司的实际情况,不存在任何虚假记载、误导性陈述或者重大遗漏。 具体内容详见公司在巨潮资讯网上披露的《2024 年年度报告》《2024 年年 度报告摘要》。 表决结果:同意 3 票,反对 0 票,弃权 0 票。 一、监事会会议召开情况 广东金马游乐股份有限公司(以下简称"公司")于 2025 年 4 月 23 日以现 场会议方式召开第四届监事会第十次会议。会议通知已于 2025 年 4 月 12 日以直 接送达方式发出。本次会议由监事会主席梁煦龙先生主持,会议应出席监事 3 名,实际出席监事 3 名。本次监事会的召集、召开、表决符合《公司法》等法律 法规及《公司章程》的 ...
金马游乐(300756) - 董事会决议公告
2025-04-23 10:06
证券代码:300756 证券简称:金马游乐 公告编号:2025-011 广东金马游乐股份有限公司 第四届董事会第十次会议决议公告 本公司及董事会全体成员保证信息披露内容的真实、准确和完整,没有虚 假记载、误导性陈述或重大遗漏。 一、董事会会议召开情况 广东金马游乐股份有限公司(以下简称"公司")于 2025 年 4 月 23 日以现 场会议方式召开第四届董事会第十次会议,本次会议由董事长邓志毅先生召集, 会议通知已于 2025 年 4 月 12 日以直接送达方式发出。本次董事会应出席董事 5 人,实际出席董事 5 人。会议由董事长邓志毅先生主持,公司全体监事及高级管 理人员列席了会议。本次会议的召集、召开、表决等符合《公司法》等法律法规 及《公司章程》的规定,会议合法有效。 二、董事会会议审议情况 本次会议以记名投票方式进行表决,审议及表决情况如下: (一)审议并通过了《关于<2024 年年度报告全文及摘要>的议案》 根据《深圳证券交易所创业板股票上市规则》《公开发行证券的公司信息披 露内容与格式准则第 2 号——年度报告的内容与格式》及其他相关法律法规的规 定,公司编制了《2024 年年度报告全文及摘要》, ...
金马游乐(300756) - 关于2024年度利润分配预案的公告
2025-04-23 10:06
证券代码:300756 证券简称:金马游乐 公告编号:2025-016 广东金马游乐股份有限公司 本公司及董事会全体成员保证信息披露内容的真实、准确和完整,没有虚 假记载、误导性陈述或重大遗漏。 一、审议程序 广东金马游乐股份有限公司(以下简称"公司")于 2025 年 4 月 23 日召开 第四届董事会第十次会议、第四届监事会第十次会议,审议通过了《关于 2024 年度利润分配预案的议案》,该议案事项尚需提交公司 2024 年年度股东大会审 议。 二、2024 年度利润分配预案的基本情况 经致同会计师事务所(特殊普通合伙)审计,公司 2024 年度合并报表实现 归属于上市公司股东的净利润 735.32 万元,本年度未分配利润 52,139.45 万元; 母公司 2024 年度实现净利润 1,974.36 万元,母公司本年度未分配利润 56,594.32 万元。 根据《公司法》《公司章程》的相关规定,经综合考虑公司目前发展所处阶 段、长远发展规划及投资者合理回报等因素,在符合利润分配政策、保证公司正 常经营和长远发展的前提下,董事会拟定 2024 年度利润分配预案为:以公司总 股本 157,598,176 股 ...
金马游乐(300756) - 2024 Q4 - 年度财报
2025-04-23 10:05
Financial Performance - The company reported a significant decline in overall revenue and product gross margin due to market fluctuations and the need for new market expansion, primarily delivering small and medium-sized machinery products[5]. - The company's operating revenue for 2024 was ¥576,868,212.49, a decrease of 21.88% compared to ¥738,455,355.95 in 2023[22]. - The net profit attributable to shareholders for 2024 was ¥7,353,245.04, down 84.07% from ¥46,164,835.39 in 2023[22]. - The net profit after deducting non-recurring gains and losses for 2024 was ¥874,112.14, a decrease of 97.38% from ¥33,373,517.61 in 2023[22]. - The company reported a basic earnings per share of ¥0.05 for 2024, a decline of 83.87% from ¥0.31 in 2023[22]. - The domestic market revenue decreased by 30.22% to CNY 505.62 million, while overseas revenue surged to CNY 71.25 million[71]. - The amusement equipment manufacturing business generated revenue of ¥522,027,870.36, a decrease of 27.34% year-over-year, with a gross margin of 31.13%[73]. - The amusement investment operation business saw revenue increase by 174.31% to ¥54,840,342.13, with a gross margin of 29.82%[73]. Cash Flow and Investments - The net cash flow from operating activities increased significantly by 654.68% to ¥154,988,100.89 in 2024, compared to ¥20,536,950.39 in 2023[22]. - Operating cash inflow increased by 37.00% to ¥776,580,398.73 in 2024 compared to ¥566,840,354.18 in 2023[87]. - Total cash and cash equivalents increased by 528.06% to ¥117,966,861.90 in 2024[87]. - The net cash flow from investment activities improved by 75.21% to -¥66,644,966.15 in 2024, reflecting better cash management[87]. - The company raised a total of RMB 53,860.00 million from its initial public offering, with a net amount of RMB 45,044.00 million after deducting issuance costs[97]. Market Expansion and Strategy - New orders in both domestic and international markets increased significantly year-on-year, contributing to a notable rise in product and project receivables, laying a solid foundation for long-term high-quality development[5]. - The company is actively expanding into international markets, including developed countries in Europe and North America, as well as emerging markets in Southeast Asia, the Middle East, and Africa, leveraging its technological advancements[50]. - The company is focusing on upgrading products and services to meet the demand for high-quality and specialized tourism offerings[32]. - The company plans to maintain and enhance its technological leadership in amusement equipment manufacturing, aiming for import substitution and international market expansion[110]. - The company aims to capture opportunities in both domestic and international markets, focusing on customer needs and market demand[113]. Technological Innovation and R&D - The company has achieved important breakthroughs in leading technological innovation, high-quality project delivery, and market expansion[5]. - The company has established a comprehensive product matrix with 13 categories of large amusement facilities and 8 series of virtual immersive amusement projects, achieving domestic leadership and international advanced levels in core technology[38]. - The company holds 231 valid patents, including 65 invention patents, and has established several technology innovation platforms, ensuring its competitive edge in the industry[54]. - New product development initiatives are underway, with an investment of 50 million RMB allocated for R&D in innovative amusement equipment[160]. - R&D investment amounted to ¥27,057,999.97 in 2024, a decrease of 8.00% from ¥29,396,298.77 in 2023[85]. Risk Management - The company acknowledges potential risks and has described its risk management measures in the report[7]. - The company emphasizes effective risk management and safeguarding its rights while promoting management transformation to enhance efficiency[5]. - The company is exposed to accounts receivable risks due to long production cycles and uncertain payment timelines, which may lead to increased bad debt provisions[121]. - The company has implemented a robust customer credit management system to mitigate accounts receivable risks and improve contract quality[122]. - Increased market competition is a risk, with potential impacts on gross margin and new orders; the company plans to enhance product quality and innovate to maintain a competitive edge[120]. Corporate Governance - The company held 1 extraordinary general meeting and 1 annual general meeting during the reporting period, ensuring equal treatment of all shareholders[130]. - The board of directors consists of 5 members, including 2 independent directors, and held 6 meetings during the reporting period[132]. - The company maintains an independent business system, ensuring no interference from the controlling shareholder in its operations[131]. - The company has established a fair and transparent performance evaluation and incentive mechanism for its non-independent directors and senior management, enhancing management efficiency and promoting long-term stable development[135]. - The company has a fully independent financial accounting system and does not share bank accounts with its controlling shareholders or their controlled enterprises[142]. Environmental and Social Responsibility - The company is classified as a key pollutant discharge unit by environmental protection authorities, adhering to relevant environmental laws and standards[197]. - The company obtained the national pollutant discharge permit from the Zhongshan Ecological Environment Bureau, valid from April 11, 2022, to April 10, 2027[198]. - The company has established partnerships with local governments to promote cultural tourism, enhancing community engagement and brand visibility[162]. - The company’s wastewater treatment includes production wastewater primarily from quenching, treated by a third-party facility[200]. - Domestic sewage is pre-treated in a three-chamber septic tank before being processed in the company's self-built underground sewage treatment facility[200].
金马游乐(300756) - 2025 Q1 - 季度财报
2025-04-23 10:05
Financial Performance - The company's revenue for Q1 2025 was ¥118,609,573.12, representing a 22.72% increase compared to ¥96,649,045.14 in the same period last year[7] - The net profit attributable to shareholders was -¥664,360.44, a decrease of 106.83% from ¥9,727,464.96 in the previous year[7] - The net profit for the quarter was a loss of ¥1,877,201.45, compared to a profit of ¥10,329,359.67 in the same period last year, indicating a substantial decline in profitability[25] - The total comprehensive income attributable to the parent company was -664,360.44 CNY, compared to 9,727,464.96 CNY in the previous period[26] - The weighted average return on equity was -0.05%, a decrease of 0.75% from 0.70% in the previous year[7] Cash Flow - The net cash flow from operating activities was -¥41,596,969.86, a decline of 222.29% compared to ¥34,015,749.28 in the same period last year[15] - The net cash flow from investment activities was 39,955,945.56 CNY, down from 58,923,365.46 CNY in the previous period[28] - The net cash flow from financing activities was -2,300,120.89 CNY, compared to -717,542.40 CNY in the previous period[29] - Cash inflow from investment activities was 242,418,382.22 CNY, up from 215,760,039.39 CNY in the previous period[28] - The ending balance of cash and cash equivalents was 720,266,383.34 CNY, compared to 698,106,223.08 CNY in the previous period[29] Assets and Liabilities - The total assets at the end of the reporting period were ¥2,332,943,878.33, down 1.02% from ¥2,357,103,389.09 at the end of the previous year[7] - Total liabilities decreased to ¥934,864,460.81 from ¥957,528,390.11, reflecting improved financial leverage[22] - Non-current assets totaled ¥921,423,990.35, a slight increase from ¥912,276,113.46, indicating stable long-term asset management[21] - The company had a total equity attributable to shareholders of ¥1,380,553,277.56, a slight decrease of 0.02% from ¥1,380,836,018.00 at the end of the previous year[7] - The total equity attributable to shareholders was ¥1,380,553,277.56, showing stability compared to ¥1,380,836,018.00 in the previous period[23] Operating Costs and Expenses - The company's operating costs increased by 30.57% to ¥80,959,156.43, primarily due to higher revenue[13] - Total operating costs amounted to ¥120,446,420.73, up from ¥94,276,794.12, reflecting a significant increase in operating expenses[23] - Financial expenses rose by 137.46% to ¥1,225,970.27, mainly due to decreased interest income and increased interest expenses[13] - The company reported a significant decrease in other income, which fell by 93.06% to ¥526,485.31, attributed to a high base of government subsidies received in the previous year[13] - The company reported a significant increase in research and development expenses to ¥6,596,311.33 from ¥6,061,156.61, highlighting a focus on innovation[23] Shareholder Information - The number of ordinary shareholders at the end of the reporting period was 8,459[16] - The company reported basic and diluted earnings per share of 0.00 CNY, down from 0.06 CNY in the previous period[26] Inventory and Cash Management - The company’s cash and cash equivalents decreased slightly to ¥742,737,854.06 from ¥748,122,066.26 at the beginning of the period[20] - Inventory levels increased to ¥318,331,576.46 from ¥302,285,627.47, suggesting a potential buildup of stock[20] - The company paid 103,417,566.87 CNY for goods and services, compared to 72,374,603.35 CNY in the previous period[27] - The company paid 56,189,195.53 CNY to employees, slightly up from 53,125,568.60 CNY in the previous period[28] Future Plans - The company has indicated plans for market expansion and new product development, although specific details were not disclosed in the financial report[25]