300895SZSE

Beijing Tongniu Information Technology Co., Ltd. 2025 Annual Financial Report

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This report details Beijing Tongniu Information Technology Co., Ltd.'s 2025 financial performance. The company reported a decrease in operating revenue and net profit attributable to shareholders. Key figures show a significant increase in net cash flow from operating activities, alongside a decrease in total assets and owner's equity.

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Beijing Tongniu Information Technology Co., Ltd. 2025 Annual Financial Report

Beijing Tongniu Information Technology Co., Ltd.

2025 Annual Financial Report

I. Audit of the Company's 2025 Financial Statements

The 2025 financial report of Beijing Tongniu Information Technology Co., Ltd. (hereinafter referred to as the "Company" or "Tongniu Information") has been audited by Uni-Trust Qing Certified Public Accountants (Special General Partnership), which issued a standard unqualified audit report. The auditors' opinion is that the financial statements of Tongniu Information are prepared in accordance with the requirements of the Accounting Standards for Business Enterprises in all material respects, and fairly reflect the consolidated and company financial position of Tongniu Information as of December 31, 2025, and the consolidated and company operating results and cash flows for 2025.

II. Key Accounting Data and Financial Indicators

Table 1 Key Accounting Data and Financial Indicators Unit: RMB

Item20252024Year-on-Year Change
Operating Revenue (RMB)260,152,944.86277,894,297.06-6.38%
Net Profit Attributable to Shareholders of the Parent Company (RMB)-78,171,675.50-126,705,896.9738.30%
Net Profit Attributable to Shareholders of the Parent Company, Excluding Recurring Gains and Losses (RMB)-82,202,897.38-126,528,621.9635.03%
Net Cash Flow from Operating Activities (RMB)35,765,336.353,063,354.251067.52%
Basic Earnings Per Share (RMB/share)-0.5552-0.899938.30%
Diluted Earnings Per Share (RMB/share)-0.5552-0.899938.30%
Weighted Average Return on Equity-9.75%-14.01%4.26%
ItemEnd of 2025Beginning of 2025Year-on-Year Change
Total Assets (RMB)930,872,752.26993,981,689.64-6.35%
Net Assets Attributable to Shareholders of the Parent Company (RMB)762,867,578.61841,034,278.07-9.29%

III. Analysis of Financial Position, Operating Results, and Cash Flows

(I) Analysis of Balance Sheet

Table 2 Balance Sheet Analysis Unit: RMB

ItemDecember 31, 2025January 1, 2025Change (%)
Cash and Cash Equivalents162,215,354.73136,373,364.2518.95%
Notes Receivable03,798,100.00-100.00%
Accounts Receivable111,995,097.46127,990,756.56-12.50%
Advance Payments4,588,754.163,072,807.4349.33%
Other Receivables1,655,206.951,991,971.71-16.91%
Inventory30,741,305.8845,922,162.43-33.06%
Contract Assets215,417.2526,250.00720.64%
Other Current Assets28,411,618.5521,493,983.0732.18%
Total Current Assets339,822,754.98340,669,395.45-0.25%
Construction in Progress9,578,407.8518,892,257.68-49.30%
Deferred Tax Assets39,622,883.6340,796,830.30-2.88%
Other Non-current Assets2,989,695.0012,145,394.73-75.38%
Total Non-current Assets591,049,997.28653,312,294.19-9.53%
Total Assets930,872,752.26993,981,689.64-6.35%
Short-term Borrowings6,000,000.005,500,000.009.09%
Accounts Payable76,520,691.0479,522,948.54-3.78%
Taxes Payable1,169,112.47475,973.69145.63%
Other Payables4,875,551.203,663,864.4233.07%
Other Current Liabilities6,868,169.554,861,200.7341.29%
Total Current Liabilities144,789,274.56126,388,553.1514.56%
Total Non-current Liabilities1,271,594.851,935,290.69-34.29%
Total Liabilities146,060,869.41128,323,843.8413.82%

The company's total assets decreased by 6.35% from the beginning of the year, and total liabilities increased by 13.82% from the beginning of the year. The main reasons are as follows:

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