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首都在线(300846) - 关于召开2025年第四次临时股东会的通知
2025-10-29 10:58
3、会议召开的合法、合规性:本次会议的召开符合有关法律、行政法规、规范性文 件、深圳证券交易所的业务规则和《北京首都在线科技股份有限公司章程》(以下简称 "《公司章程》")的规定。 4、会议时间: (1)现场会议时间:2025 年 11 月 14 日 14:50 证券代码:300846 证券简称:首都在线 公告编号:2025-099 北京首都在线科技股份有限公司 关于召开 2025 年第四次临时股东会的通知 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。 一、召开会议的基本情况 1、股东会届次:2025 年第四次临时股东会 2、股东会的召集人:董事会 (2)网络投票时间:通过深圳证券交易所系统进行网络投票的具体时间为 2025 年 11 月 14 日 9:15-9:25,9:30-11:30,13:00-15:00;通过深圳证券交易所互联网投票系统投 票的具体时间为 2025 年 11 月 14 日 9:15 至 15:00 的任意时间。 5、会议的召开方式:采用现场表决和网络投票相结合的方式。 公司将通过深圳证券交易所交易系统和互联网投票系统(wltp.cn ...
首都在线(300846) - 第六届董事会第十次会议决议公告
2025-10-29 10:56
证券代码:300846 证券简称:首都在线 公告编号:2025-096 北京首都在线科技股份有限公司 第六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公告内容的真实、准确和完整,没有虚假记载、误 导性陈述或重大遗漏。 一、会议召开情况 北京首都在线科技股份有限公司(以下简称"公司"或"首都在线")第六届董事 会第十次会议于 2025 年 10 月 29 日在公司会议室以现场与通讯相结合的方式召开。会 议通知及会议补充通知分别于 2025 年 10 月 24 日、2025 年 10 月 27 日以邮件方式送达 各位董事,各位董事确认收悉。本次会议应出席董事 7 人,实际出席董事 7 人。本次会 议由公司董事长曲宁先生主持,公司高级管理人员列席会议。本次会议的召集、召开、 议案审议程序符合《中华人民共和国公司法》(以下简称"《公司法》")和《北京首 都在线科技股份有限公司章程》(以下简称"《公司章程》")等有关规定,会议程序 和结果合法有效。 公司董事会同意续聘大华会计师事务所(特殊普通合伙)为公司 2025 年度审计机 构,聘期一年,财务报告审计费用 100 万元,内部控制审计费用 25 万元,合计人 ...
莱伯泰科:2025年第三季度归属于上市公司股东的净利润同比增长1.76%
Core Insights - The company reported a revenue of 92,908,661.34 yuan for Q3 2025, representing a year-on-year decline of 4.22% [1] - The net profit attributable to shareholders for the same period was 11,453,748.67 yuan, showing a year-on-year increase of 1.76% [1] Financial Performance - Revenue for Q3 2025: 92.91 million yuan, down 4.22% compared to the previous year [1] - Net profit for Q3 2025: 11.45 million yuan, up 1.76% year-on-year [1]
首都在线2025年前三季度营收达9.26亿元
Core Insights - The company, Beijing Capital Online Technology Co., Ltd., reported a revenue of 926 million yuan for the first three quarters of 2025, representing a year-on-year decline of 12.05% [1] - The net loss attributable to shareholders narrowed to 99.41 million yuan from a loss of 146 million yuan in the same period last year [1] Financial Performance - For Q3, the company generated a revenue of 297 million yuan, down 12.52% year-on-year [1] - The net loss for Q3 was reduced to 28.45 million yuan [1] - Total assets as of the end of Q3 stood at 2.102 billion yuan, an increase of 7.51% compared to the end of the previous year [1] - Shareholders' equity decreased by 8.61% to 851 million yuan compared to the end of the previous year [1] Business Overview - The company's main operations include cloud computing, data centers, and related services, focusing on providing efficient and secure internet infrastructure services to clients [1]
北京首都在线科技股份有限公司 2025年第三季度报告
Zheng Quan Ri Bao· 2025-10-23 23:08
Core Points - The company guarantees the authenticity, accuracy, and completeness of the quarterly report, with all board members assuming legal responsibility for any misrepresentation or omissions [2][3] Financial Data Summary - The company reported a 99.89% increase in trading financial assets compared to the end of the previous year, attributed to the purchase of bank wealth management products [4] - Prepaid accounts increased by 72.43% due to an increase in prepaid resource payments [4] - Other receivables decreased by 60.57% due to a reduction in financing lease deposits [5] - Inventory increased by 31.64% due to project payments leading to higher contract performance costs [5] - Long-term receivables decreased by 59.58% as a result of timely collection of sales proceeds [5] - Long-term equity investments increased by 240.59% due to additional investments in a joint venture [5] - Right-of-use assets increased by 202.25%, and lease liabilities increased by 256.06%, due to equipment acquired through financing leases [5] - Deferred income increased by 1439.53% due to government subsidies received for computing power vouchers and fixed asset investments [5] Profit and Loss Summary - Interest income decreased by 35.17% year-on-year due to a decline in overall market interest rates [5] - Other income increased by 140.99% year-on-year due to government subsidies received [5] - Investment income decreased by 79.44% year-on-year due to reduced wealth management returns [5] - Fair value changes in assets increased by 100% year-on-year due to appreciation in trading financial assets [5] - Asset disposal income increased by 513.46% year-on-year due to higher disposal prices of updated equipment [5] - Non-operating income increased by 39.63% year-on-year due to arbitration compensation received [5] - Non-operating expenses increased by 88.67% year-on-year due to the write-off of unamortized intangible assets [5] - Income tax expenses increased by 49.61% year-on-year due to increased taxable income from subsidiaries [5] Shareholder Information - The company has provided details on the total number of common stock shareholders and the top ten shareholders, although specific numbers are not disclosed [6]
首都在线(300846.SZ)发布前三季度业绩,归母净亏损9941.3万元
智通财经网· 2025-10-23 13:01
Core Viewpoint - Capital Online (300846.SZ) reported a decline in revenue and an increase in net loss for the first three quarters of 2025 compared to the previous year [1] Financial Performance - The company's operating revenue for the first three quarters was 926 million yuan, representing a year-on-year decrease of 12.05% [1] - The net loss attributable to shareholders of the listed company was 99.413 million yuan [1] - The net loss attributable to shareholders after deducting non-recurring gains and losses was 116 million yuan [1] - Basic loss per share was 0.1983 yuan [1]
首都在线审议通过三季度报告 拟增加0.8亿元闲置资金现金管理
Xin Lang Cai Jing· 2025-10-23 12:52
Core Points - The company held its sixth board meeting on October 23, 2025, to review and approve several important proposals, including the third quarter report for 2025 and a proposal to increase the use of idle funds for cash management [1][2][3] Group 1: Third Quarter Report - The board approved the proposal regarding the company's third quarter report for 2025 with a unanimous vote of 7 in favor, 0 against, and 0 abstentions [2] - The report had previously been reviewed and approved by the company's audit committee and does not require submission to the shareholders' meeting [2] Group 2: Cash Management Proposal - The board approved a proposal to increase the use of idle self-owned funds for cash management by up to 80 million yuan, ensuring that normal operational funding needs and fund safety are not affected [3] - The approved fund management limit is valid from the date of approval by the shareholders' meeting until March 30, 2026, allowing for the funds to be used in a rolling manner within this period [3] - The management team will have the authority to make decisions within this limit and handle related agreements and matters [3]
首都在线前三季度营收9.26亿元同比降12.05%,归母净利润-9941.30万元同比增32.11%,销售费用同比增长10.11%
Xin Lang Cai Jing· 2025-10-23 12:22
Core Insights - The company reported a revenue of 926 million yuan for the first three quarters of 2025, representing a year-on-year decline of 12.05% [1] - The net profit attributable to shareholders was -99.41 million yuan, an increase of 32.11% year-on-year [1] - The basic earnings per share stood at -0.20 yuan [2] Financial Performance - The gross margin for the first three quarters was 12.75%, up by 3.99 percentage points year-on-year [2] - The net margin was -9.96%, an improvement of 3.28 percentage points compared to the same period last year [2] - In Q3 2025, the gross margin was 11.91%, showing a year-on-year increase of 5.52% but a quarter-on-quarter decrease of 3.16% [2] - The net margin for Q3 was -9.01%, up 6.05% year-on-year but down 0.28 percentage points from the previous quarter [2] Expense Analysis - Total operating expenses for the period were 222 million yuan, a decrease of 4.87 million yuan year-on-year [2] - The expense ratio was 23.98%, an increase of 2.43 percentage points compared to the same period last year [2] - Sales expenses increased by 10.11% year-on-year, while management expenses decreased by 3.24%, and R&D expenses decreased by 11.99% [2] Shareholder Information - As of the end of Q3 2025, the total number of shareholders was 65,700, a decrease of 22,700 (25.68%) from the end of the previous half [2] - The average market value per shareholder increased from 110,400 yuan to 181,300 yuan, a growth of 64.21% [2] Company Overview - Beijing Capital Online Technology Co., Ltd. was established on July 13, 2005, and listed on July 1, 2020 [3] - The company specializes in high-performance IDC services and cloud services, with revenue composition of 49.89% from cloud hosting and related services, 45.83% from IDC services, and 4.28% from other income [3] - The company belongs to the computer-IT services sector and is involved in various concept sectors including AI training and autonomous driving [3]
首都在线:10月23日召开董事会会议
Mei Ri Jing Ji Xin Wen· 2025-10-23 11:02
Core Viewpoint - Capital Online (SZ 300846) announced the convening of its sixth board meeting on October 23, 2025, to review the proposal for the company's Q3 2025 report [1] Financial Performance - For the first half of 2025, Capital Online's revenue composition is as follows: - Computer software applications: 26.09% - Others: 25.57% - Large models and AIGC: 16.4% - Gaming: 15.62% - Video: 8.03% - E-commerce: 5.43% [1] Market Position - As of the report date, Capital Online has a market capitalization of 10.8 billion yuan [1]
首都在线(300846) - 关于增加使用暂时闲置的自有资金进行现金管理的公告
2025-10-23 10:45
证券代码:300846 证券简称:首都在线 公告编号:2025-093 北京首都在线科技股份有限公司 关于增加使用暂时闲置的自有资金进行现金管理的公告 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、误导性陈述或者重大遗漏。 重要内容提示: 1. 投资种类:流动性好、安全性高的理财产品、结构性存款等投资产品(包 括但不限于银行固定收益型或保本浮动收益型的理财产品、结构性存款及证券公 司保本型收益凭证等) 2. 投资金额:公司及子公司在不影响公司正常经营资金需求和确保资金安 全的前提下,增加使用不超过0.8亿元(含本数)的闲置自有资金进行现金管理。 本次增加后,公司使用闲置资金进行现金管理的总额度不超过5.4亿元(含本数), 其中募集资金现金管理总额不超过3.2亿元(含本数),自有资金现金管理总额 不超过2.2亿元(含本数)。 3. 特别风险提示:尽管公司选择投资流动性好、安全性高的理财产品,但 本次使用暂时闲置自有资金进行现金管理事项尚存在宏观经济波动风险及投资 收益不及预期等风险。敬请投资者注意投资风险。 北京首都在线科技股份有限公司(以下简称"公司")于2025年10月23日召 ...