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开曼群岛
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不适用
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(国家或其他司法
公司或组织) |
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(I.R.S.雇主
识别号码) |
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Page(s)
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| | | | | F-2 | | | |
| | | | | F-5 | | | |
| | | | | F-6 | | | |
| | | | | F-8 | | | |
| | | | | F-9 | | | |
| | | | | 歼10 | | | |
| | | | | F-12 | | | |
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截至12月31日,
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| | | |
笔记
|
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2023
|
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2024
|
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| 物业、厂房及设备 | | | | | | | | | | | | | | | | |
| 流动资产: | | | | | | | | | | | | | | | | |
|
现金及现金等价物
|
| | | | | | | 102,278,832 | | | | | | 90,431,392 | | |
|
短期投资,净额
|
| |
4
|
| | | | 75,070,642 | | | | | | 40,051,450 | | |
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应收账款,净额
|
| |
5
|
| | | | — | | | | | | 1,645,518 | | |
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预付款项和其他流动资产,净额
|
| |
6
|
| | | | 158,067 | | | | | | 26,966,209 | | |
|
比特币抵押品的应收款项,截至2023年12月31日和2024年12月31日分别净减零美元和302,006美元
|
| |
7
|
| | | | — | | | | | | 84,536,567 | | |
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已终止经营业务的流动资产
|
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3
|
| | | | 369,545,163 | | | | | | 230,113,402 | | |
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流动资产总额
|
| | | | | | | 547,052,704 | | | | | | 473,744,538 | | |
| 非流动资产: | | | | | | | | | | | | | | | | |
|
矿机,净额
|
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8
|
| | | | — | | | | | | 242,806,713 | | |
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物业及设备净额
|
| | | | | | | 1,225 | | | | | | 65,460 | | |
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经营租赁使用权资产净额
|
| | | | | | | 100,385 | | | | | | 184,381 | | |
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其他非流动资产,净额
|
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9
|
| | | | — | | | | | | 44,621,402 | | |
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终止经营的非流动资产
|
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3
|
| | | | 107,588,712 | | | | | | 56,357,205 | | |
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非流动资产合计
|
| | | | | | | 107,690,322 | | | | | | 344,035,161 | | |
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总资产
|
| | | | | | | 654,743,026 | | | | | | 817,779,699 | | |
| 负债和股东权益 | | | | | | | | | | | | | | | | |
|
流动负债(包括截至2023年12月31日和2024年12月31日对公司无追索权的可变利益实体(“VIE”)的流动负债分别为64,053,517美元和19,062,366美元):
|
| | | | | | | | | | | | | | | |
|
短期债务
|
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10
|
| | | | — | | | | | | 17,067,978 | | |
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短期租赁负债
|
| | | | | | | 94,515 | | | | | | 180,236 | | |
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应计费用和其他流动负债
|
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11
|
| | | | 1,531,633 | | | | | | 170,990,519 | | |
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应交所得税
|
| | | | | | | 48,609,811 | | | | | | 48,609,811 | | |
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已终止经营业务的流动负债
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3
|
| | | | 64,097,279 | | | | | | 20,517,367 | | |
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流动负债合计
|
| | | | | |
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114,333,238
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| | | |
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257,365,911
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非流动负债(包括截至2023年12月31日和2024年12月31日VIE对公司无追索权的非流动负债分别为7,584,510美元和6,546,889美元):
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递延税项负债
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| | | | | | | 1 | | | | | | 1 | | |
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长期租赁负债
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| | | | | | | 5,825 | | | | | | — | | |
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终止经营业务的非流动负债
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3
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| | | | 7,584,510 | | | | | | 6,546,889 | | |
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非流动负债合计
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| | | | | | | 7,590,336 | | | | | | 6,546,890 | | |
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负债总额
|
| | | | | |
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121,923,574
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| | | |
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263,912,801
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承诺与或有事项
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17
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截至12月31日,
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笔记
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2023
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2024
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| 股东权益 | | | | | | | | | | | | | | | | |
|
A类普通股(每股面值0.0001美元;
截至2023年12月31日授权的420,674,280股及 分别为2024年;已发行股份229,831,213股及144,857,131 截至2023年12月31日的流通股;222,055,327股 截至12月31日已发行134,586,659股流通股, 2024) |
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18
|
| | | | 22,983 | | | | | | 22,206 | | |
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B类普通股(每股面值0.0001美元;
截至2023年12月31日授权的79,325,720股及 分别为2024年;已发行和流通在外的股份72,978,677股 截至2023年12月31日;已发行在外流通股份72,978,677股 截至2024年12月31日) |
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18
|
| | | | 7,298 | | | | | | 7,298 | | |
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库存股
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19
|
| | | | (114,425,041) | | | | | | (111,567,030) | | |
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额外实收资本
|
| | | | | | | 741,318,327 | | | | | | 728,564,614 | | |
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累计其他综合损失
|
| | | | | | | (38,866,587) | | | | | | (49,574,973) | | |
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累计赤字
|
| | | | | | | (55,237,528) | | | | | | (13,585,217) | | |
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灿谷有限公司的股权合计
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| | | | | |
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532,819,452
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| | | |
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553,866,898
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股东权益合计
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| | | | | |
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532,819,452
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| | | |
|
553,866,898
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负债总额和股东权益
|
| | | | | | | 654,743,026 | | | | | | 817,779,699 | | |
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截至12月31日止年度,
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笔记
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2022
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2023
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2024
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| 收入 | | | | | | | | | | | | | | | | | | | | | | |
|
比特币挖矿收入
|
| | | | | | | — | | | | | | — | | | | | | 89,908,403 | | |
|
总收入
|
| | | | | | | — | | | | | | — | | | | | | 89,908,403 | | |
| 营业成本和费用 | | | | | | | | | | | | | | | | | | | | | | |
|
收益成本
|
| |
12
|
| | | | — | | | | | | — | | | | | | 75,087,112 | | |
|
一般和行政
|
| | | | | | | 23,875,917 | | | | | | 7,023,689 | | | | | | 15,807,334 | | |
|
信用损失准备
|
| | | | | | | — | | | | | | — | | | | | | 711,224 | | |
|
比特币应收款项公允价值变动损失
抵押品 |
| | | | | | | — | | | | | | — | | | | | | 3,417,442 | | |
|
总运营成本和费用
|
| | | | | | | 23,875,917 | | | | | | 7,023,689 | | | | | | 95,023,112 | | |
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持续经营亏损
|
| | | | | | | (23,875,917) | | | | | | (7,023,689) | | | | | | (5,114,709) | | |
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利息收入
|
| | | | | | | 4,395,754 | | | | | | 9,271,662 | | | | | | 9,454,145 | | |
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股本证券净亏损
|
| | | | | | | (2,294,534) | | | | | | (6,489) | | | | | | — | | |
|
利息支出
|
| | | | | | | — | | | | | | (37) | | | | | | (93,276) | | |
|
汇兑损失,净额
|
| | | | | | | (69,137) | | | | | | (26,320) | | | | | | (125) | | |
|
其他收益
|
| | | | | | | 3,674,894 | | | | | | 726,930 | | | | | | 511,292 | | |
|
其他费用
|
| | | | | | | (1,295) | | | | | | — | | | | | | — | | |
|
收入前持续经营净收入(亏损)
税收 |
| | | | | | | (18,170,235) | | | | | | 2,942,057 | | | | | | 4,757,327 | | |
|
所得税费用
|
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13
|
| | | | 236,061 | | | | | | — | | | | | | — | | |
|
持续经营净(亏损)收入
|
| | | | | | | (17,934,174) | | | | | | 2,942,057 | | | | | | 4,757,327 | | |
|
终止经营业务净(亏损)收入,净额
税 |
| | | | | | | (148,467,129) | | | | | | (8,418,800) | | | | | | 36,894,984 | | |
|
净(亏损)收入
|
| | | | | | | (166,401,303) | | | | | | (5,476,743) | | | | | | 41,652,311 | | |
|
归属于灿谷有限公司的净(亏损)收益
股东 |
| | | | | | | (166,401,303) | | | | | | (5,476,743) | | | | | | 41,652,311 | | |
|
归属于灿谷有限公司股东的持续经营业务净(亏损)收益
|
| | | | | |
|
(17,934,174)
|
| | | |
|
2,942,057
|
| | | |
|
4,757,327
|
| |
|
归属于灿谷有限公司股东的已终止经营业务净(亏损)收益,税后净额
|
| | | | | |
|
(148,467,129)
|
| | | |
|
(8,418,800)
|
| | | |
|
36,894,984
|
| |
| A类和B类普通股每股收益(亏损): | | | | | | | | | | | | | | | | | | | | | | |
|
基本
|
| |
14
|
| | | | | | | | | | | | | | | | | | |
|
持续经营
|
| | | | | | | (0.07) | | | | | | 0.01 | | | | | | 0.02 | | |
|
已终止经营
|
| | | | | | | (0.54) | | | | | | (0.03) | | | | | | 0.18 | | |
|
摊薄
|
| |
14
|
| | | | | | | | | | | | | | | | | | |
|
持续经营
|
| | | | | | | (0.07) | | | | | | 0.01 | | | | | | 0.02 | | |
|
已终止经营
|
| | | | | | | (0.54) | | | | | | (0.03) | | | | | | 0.16 | | |
|
用于计算A类和B类份额每股收益(亏损)的加权平均份额:
|
| | | | | | | | | | | | | | | | | | | | | |
|
基本
|
| |
14
|
| | | | 274,084,890 | | | | | | 243,048,785 | | | | | | 208,197,617 | | |
|
摊薄
|
| |
14
|
| | | | 274,084,890 | | | | | | 243,048,785 | | | | | | 233,032,722 | | |
| 其他综合(亏损)收益,税后净额 | | | | | | | | | | | | | | | | | | | | | | |
|
外币折算调整
|
| | | | | | | 38,000,987 | | | | | | (11,635,202) | | | | | | (10,708,386) | | |
|
综合(亏损)收益总额,税后净额
|
| | | | | | | (128,400,316) | | | | | | (17,111,945) | | | | | | 30,943,925 | | |
|
归属于灿谷有限公司股东的全面(亏损)收益总额
|
| | | | | | | (128,400,316) | | | | | | (17,111,945) | | | | | | 30,943,925 | | |
| | | |
归属于灿谷有限公司
|
| | | | | | | |||||||||||||||||||||||||||||||||||||||
| | | |
A类和B类
普通股 |
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财政部
股份 |
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额外
实缴 资本 |
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累计
其他 综合 (亏损)收入 |
| |
保留
收益 (累计 赤字) |
| |
合计
灿谷有限公司的 股权 |
| |
合计
股东’ 股权 |
| |||||||||||||||||||||||||||
| | | |
数量
股份 |
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金额
|
| ||||||||||||||||||||||||||||||||||||||||||
|
2022年1月1日余额
|
| | | | 279,485,132 | | | | | | 30,281 | | | | | | (74,264,717) | | | | | | 720,583,584 | | | | | | (65,232,372) | | | | | | 432,461,101 | | | | | | 1,013,577,877 | | | | | | 1,013,577,877 | | |
|
回购普通股
|
| | | | (11,718,250) | | | | | | — | | | | | | (15,482,335) | | | | | | — | | | | | | — | | | | | | — | | | | | | (15,482,335) | | | | | | (15,482,335) | | |
|
行使购股权
|
| | | | 1,817,288 | | | | | | — | | | | | | 4,548,057 | | | | | | (3,711,260) | | | | | | — | | | | | | — | | | | | | 836,797 | | | | | | 836,797 | | |
|
股份补偿(附注16)
|
| | | | — | | | | | | — | | | | | | — | | | | | | 23,912,997 | | | | | | — | | | | | | — | | | | | | 23,912,997 | | | | | | 23,912,997 | | |
|
净亏损
|
| | | | — | | | | | | — | | | | | | — | | | | | | — | | | | | | | | | | | | (166,401,303) | | | | | | (166,401,303) | | | | | | (166,401,303) | | |
|
其他综合收益
|
| | | | — | | | | | | — | | | | | | — | | | | | | — | | | | | | 38,000,987 | | | | | | | | | | | | 38,000,987 | | | | | | 38,000,987 | | |
|
给股东的股息
|
| | | | — | | | | | | — | | | | | | — | | | | | | — | | | | | | | | | | | | (271,329,762) | | | | | | (271,329,762) | | | | | | (271,329,762) | | |
|
2022年12月31日余额
|
| | | | 269,584,170 | | | | | | 30,281 | | | | | | (85,198,995) | | | | | | 740,785,321 | | | | | | (27,231,385) | | | | | | (5,269,964) | | | | | | 623,115,258 | | | | | | 623,115,258 | | |
|
由于采用ASC 326而进行的调整
|
| | | | — | | | | | | — | | | | | | — | | | | | | — | | | | | | — | | | | | | (44,490,821) | | | | | | (44,490,821) | | | | | | (44,490,821) | | |
|
回购普通股
|
| | | | (53,034,002) | | | | | | — | | | | | | (34,168,869) | | | | | | — | | | | | | — | | | | | | — | | | | | | (34,168,869) | | | | | | (34,168,869) | | |
|
行使购股权
|
| | | | 1,285,640 | | | | | | — | | | | | | 4,942,823 | | | | | | (4,937,768) | | | | | | — | | | | | | — | | | | | | 5,055 | | | | | | 5,055 | | |
|
股份补偿(附注16)
|
| | | | — | | | | | | — | | | | | | — | | | | | | 5,470,774 | | | | | | — | | | | | | — | | | | | | 5,470,774 | | | | | | 5,470,774 | | |
|
净亏损
|
| | | | — | | | | | | — | | | | | | — | | | | | | — | | | | | | — | | | | | | (5,476,743) | | | | | | (5,476,743) | | | | | | (5,476,743) | | |
|
其他综合损失
|
| | | | — | | | | | | — | | | | | | — | | | | | | — | | | | | | (11,635,202) | | | | | | — | | | | | | (11,635,202) | | | | | | (11,635,202) | | |
|
2023年12月31日余额
|
| | | | 217,835,808 | | | | | | 30,281 | | | | | | (114,425,041) | | | | | | 741,318,327 | | | | | | (38,866,587) | | | | | | (55,237,528) | | | | | | 532,819,452 | | | | | | 532,819,452 | | |
|
回购普通股
|
| | | | (11,463,914) | | | | | | — | | | | | | (12,635,418) | | | | | | — | | | | | | — | | | | | | — | | | | | | (12,635,418) | | | | | | (12,635,418) | | |
|
普通股的退休
|
| | | | — | | | | | | (777) | | | | | | 9,719,857 | | | | | | (9,719,080) | | | | | | — | | | | | | — | | | | | | — | | | | | | — | | |
|
行使购股权
|
| | | | 1,193,442 | | | | | | — | | | | | | 5,773,572 | | | | | | (5,412,983) | | | | | | — | | | | | | — | | | | | | 360,589 | | | | | | 360,589 | | |
|
股份补偿(附注16)
|
| | | | — | | | | | | — | | | | | | — | | | | | | 2,378,350 | | | | | | — | | | | | | — | | | | | | 2,378,350 | | | | | | 2,378,350 | | |
|
净收入
|
| | | | — | | | | | | — | | | | | | — | | | | | | — | | | | | | — | | | | | | 41,652,311 | | | | | | 41,652,311 | | | | | | 41,652,311 | | |
|
其他综合损失
|
| | | | | | | | | | — | | | | | | — | | | | | | — | | | | | | (10,708,386) | | | | | | — | | | | | | (10,708,386) | | | | | | (10,708,386) | | |
|
2024年12月31日余额
|
| | | | 207,565,336 | | | | | | 29,504 | | | | | | (111,567,030) | | | | | | 728,564,614 | | | | | | (49,574,973) | | | | | | (13,585,217) | | | | | | 553,866,898 | | | | | | 553,866,898 | | |
| | | |
截至12月31日止年度,
|
| |||||||||||||||
| | | |
2022
|
| |
2023
|
| |
2024
|
| |||||||||
| 经营活动产生的现金流量: | | | | | | | | | | | | | | | | | | | |
|
持续经营净(亏损)收入
|
| | | | (17,934,174) | | | | | | 2,942,057 | | | | | | 4,757,327 | | |
|
调整净(亏损)收入与经营活动提供(用于)的现金净额:
|
| | | | | | | | | | | | | | | | | | |
|
比特币挖矿收入
|
| | | | — | | | | | | — | | | | | | (89,908,403) | | |
|
折旧及摊销
|
| | | | 1,748 | | | | | | 1,512 | | | | | | 11,540,658 | | |
|
租赁使用权资产摊销
|
| | | | — | | | | | | 107,448 | | | | | | 305,028 | | |
|
股份补偿费用
|
| | | | 19,650,331 | | | | | | 3,502,433 | | | | | | 1,404,008 | | |
|
信用损失准备
|
| | | | — | | | | | | — | | | | | | 711,224 | | |
|
净投资损失
|
| | | | 2,294,534 | | | | | | 6,489 | | | | | | — | | |
|
比特币抵押品的应收款项公允价值变动损失
|
| | | | — | | | | | | — | | | | | | 3,417,442 | | |
|
汇兑损失,净额
|
| | | | 69,137 | | | | | | 26,320 | | | | | | 125 | | |
| 经营性资产负债变动情况: | | | | | | | | | | | | | | | | | | | |
|
经营租赁使用权资产
|
| | | | (207,833) | | | | | | — | | | | | | (389,024) | | |
|
其他流动和非流动资产
|
| | | | 4,069 | | | | | | 563,316 | | | | | | (71,808,830) | | |
|
短期和长期经营租赁负债
|
| | | | 207,833 | | | | | | (107,493) | | | | | | 79,896 | | |
|
应计费用、其他流动负债、其他非流动负债
|
| | | | 326,086 | | | | | | 243,010 | | | | | | 60,208,964 | | |
|
持续经营活动提供(使用)的现金净额
|
| | | | 4,411,731 | | | | | | 7,285,092 | | | | | | (79,681,585) | | |
|
终止经营活动提供的现金净额(用于)
|
| | |
|
(89,339,436)
|
| | | |
|
139,019,378
|
| | | |
|
38,850,280
|
| |
|
经营活动提供(使用)的现金净额
|
| | | | (84,927,705) | | | | | | 146,304,470 | | | | | | (40,831,305) | | |
| 投资活动产生的现金流量: | | | | | | | | | | | | | | | | | | | |
|
购买持有至到期投资
|
| | | | — | | | | | | — | | | | | | (319,036,644) | | |
|
持有至到期投资期限
|
| | | | — | | | | | | — | | | | | | 354,032,774 | | |
|
赎回其他短期投资所得款项,净额
|
| | | | 286,984,194 | | | | | | 290,032,930 | | | | | | — | | |
|
购置财产和设备及无形资产
|
| | | | — | | | | | | — | | | | | | (65,110) | | |
|
购买其他短期投资
|
| | | | (131,531,099) | | | | | | (177,135,598) | | | | | | | | |
|
购买矿机
|
| | | | — | | | | | | — | | | | | | (128,028,596) | | |
|
持续投资活动提供(用于)的现金净额
|
| | | | 155,453,095 | | | | | | 112,897,332 | | | | | | (93,097,576) | | |
|
已(终止)投资活动提供(使用)的现金净额
|
| | | | 143,868,276 | | | | | | 190,070,347 | | | | | | (85,570,858) | | |
|
投资活动提供(使用)的现金净额
|
| | |
|
299,321,371
|
| | | |
|
302,967,679
|
| | | |
|
(178,668,434)
|
| |
| | | |
截至12月31日止年度,
|
| |||||||||||||||
| | | |
2022
|
| |
2023
|
| |
2024
|
| |||||||||
| 筹资活动产生的现金流量: | | | | | | | | | | | | | | | | | | | |
|
支付回购库存股
|
| | | | (15,482,334) | | | | | | (34,168,869) | | | | | | (12,635,418) | | |
|
行使购股权所得款项
|
| | | | 1,256,683 | | | | | | 563,081 | | | | | | 360,589 | | |
|
分配予股东
|
| | | | (271,329,762) | | | | | | — | | | | | | — | | |
|
用于持续筹资活动的现金净额
|
| | | | (285,555,413) | | | | | | (33,605,788) | | | | | | (12,274,829) | | |
|
用于已终止融资活动的现金净额
|
| | | | (162,026,994) | | | | | | (136,619,066) | | | | | | (5,426,532) | | |
|
筹资活动使用的现金净额
|
| | | | (447,582,407) | | | | | | (170,224,854) | | | | | | (17,701,361) | | |
|
汇率变动对现金、现金等价物和限制性现金的影响
|
| | | | 9,521,305 | | | | | | (1,838,794) | | | | | | (8,412,771) | | |
|
现金、现金等价物和受限制现金净增加(减少)额
|
| | | | (223,667,436) | | | | | | 277,208,501 | | | | | | (245,613,871) | | |
|
年初现金、现金等价物和限制性现金
|
| | | | 409,610,012 | | | | | | 185,942,576 | | | | | | 463,151,077 | | |
|
年末现金、现金等价物和受限制现金
|
| | | | 185,942,576 | | | | | | 463,151,077 | | | | | | 217,537,206 | | |
|
减:年末已终止经营业务的现金、现金等价物及受限制现金
|
| | |
|
170,213,575
|
| | | |
|
360,872,245
|
| | | |
|
127,105,814
|
| |
|
持续经营业务的现金、现金等价物和受限制现金
年底 |
| | | | 15,729,001 | | | | | | 102,278,832 | | | | | | 90,431,392 | | |
|
现金、现金等价物和受限制现金与合并资产负债表的对账
|
| | | | | | | | | | | | | | | | | | |
|
现金及现金等价物
|
| | | | 15,729,001 | | | | | | 102,278,832 | | | | | | 90,431,392 | | |
|
现金流量表中显示的现金、现金等价物和限制性现金总额
|
| | | | 15,729,001 | | | | | | 102,278,832 | | | | | | 90,431,392 | | |
| 补充披露现金流信息: | | | | | | | | | | | | | | | | | | | |
|
支付所得税的现金
|
| | | | 5,062,012 | | | | | | 1,118,526 | | | | | | 367,726 | | |
|
支付利息的现金
|
| | | | 12,443,634 | | | | | | 2,440,699 | | | | | | — | | |
| 非现金投融资交易 | | | | | | | | | | | | | | | | | | | |
|
就购买矿机承担的负债
|
| | | | — | | | | | | — | | | | | | 126,317,900 | | |
|
库存股注销
|
| | | | — | | | | | | — | | | | | | 9,719,080 | | |
|
以加密货币形式收到的短期债务
|
| | | | — | | | | | | — | | | | | | 17,067,978 | | |
|
以经营租赁负债换取的经营租赁使用权资产
|
| | | | 758,648 | | | | | | 73,094 | | | | | | 394,603 | | |
|
经营租赁使用权资产解除质押换取经营租赁负债
|
| | | | 302,838 | | | | | | 3,322,447 | | | | | | 37,094 | | |
|
实体
|
| |
成立日期
|
| |
地点
合并 |
| |
百分比
合法所有权 由公司 |
| |
主要活动
|
|
| 子公司 | | | | | | | | | | | | | |
| 灿谷集团有限公司 (“灿谷HK”) |
| |
2017年10月31日
|
| | 香港(“HK”) | | |
100%
|
| | 投资控股,主要从事比特币业务 | |
| Express Group Development Limited(“Express Limited”) | | | 2016年6月30日 | | | HK | | |
100%
|
| | 投资控股 | |
| Can Gulong(Shanghai)信息技术咨询服务有限公司(“Cangulong”或外商独资企业“WFOE”) | | |
2018年1月25日
|
| | 中国 | | |
100%
|
| | 投资控股 | |
| VIE | | | | | | | | | | | | | |
| 上海灿谷投资管理咨询服务有限公司(“上海灿谷”) | | | 2010年8月30日 | | | 中国 | | |
21.5%
|
| | 提供汽车融资便利化、汽车交易交易和后市场服务便利化。 | |
| 上海云谷好车电子科技有限公司(“上海云谷”) | | | 2022年3月15日 | | | 中国 | | |
无
|
| | 提供汽车交易交易。 | |
| | | |
截至12月31日,
|
| |||||||||
| | | |
2023
|
| |
2024
|
| ||||||
|
现金及现金等价物
|
| | | | 41,327,948 | | | | | | 85,939,485 | | |
|
其他流动资产
|
| | | | 317,263,335 | | | | | | 314,762,264 | | |
|
流动资产总额
|
| | | | 358,591,283 | | | | | | 400,701,749 | | |
|
应收融资租赁款项–非流动
|
| | | | 5,130,582 | | | | | | 1,275,359 | | |
|
其他非流动资产
|
| | | | 102,458,130 | | | | | | 55,078,566 | | |
|
非流动资产合计
|
| | | | 107,588,712 | | | | | | 56,353,925 | | |
|
总资产
|
| | | | 466,179,995 | | | | | | 457,055,674 | | |
| | | |
截至12月31日,
|
| |||||||||
| | | |
2023
|
| |
2024
|
| ||||||
|
短期债务
|
| | | | 5,503,106 | | | | | | — | | |
|
其他流动负债
|
| | | | 58,550,411 | | | | | | 19,062,366 | | |
|
流动负债合计
|
| | | | 64,053,517 | | | | | | 19,062,366 | | |
|
长期债务
|
| | | | 100,286 | | | | | | — | | |
|
其他非流动负债
|
| | | | 7,484,224 | | | | | | 6,546,889 | | |
|
非流动负债合计
|
| | | | 7,584,510 | | | | | | 6,546,889 | | |
|
负债总额
|
| | | | 71,638,027 | | | | | | 25,609,255 | | |
| | |||||||||||||
|
类别
|
| |
预计使用寿命
|
| |
估计数
剩余价值 |
|
| 办公和电子设备–已停止运营 | | |
3 – 5年
|
| |
5%
|
|
| 机动车辆–停产 运营 |
| |
4年
|
| |
5%
|
|
| 租赁权改善 | | |
在租赁物改良的预期年限或租赁期限中较短者
|
| |
无
|
|
| | | |
截至本年度
2024年12月31日 |
| |||||||||
| | | |
比特币
采矿业务 |
| |
合计
|
| ||||||
|
收入
|
| | | | 89,908,403 | | | | | | 89,908,403 | | |
| 减:营业成本及其他相关费用 | | | | | | | | | | | | | |
|
采矿服务成本–托管费用
|
| | | | 63,547,329 | | | | | | 63,547,329 | | |
|
收入成本–折旧
|
| | | | 11,539,783 | | | | | | 11,539,783 | | |
|
信用损失准备
|
| | | | 711,224 | | | | | | 711,224 | | |
|
比特币应收款项公允价值变动损失
抵押品 |
| | | | 3,417,442 | | | | | | 3,417,442 | | |
|
利息支出
|
| | | | 93,276 | | | | | | 93,276 | | |
|
所得税前可报告分部收入
|
| | | | 10,599,349 | | | | | | 10,599,349 | | |
| | | |
截至本年度
2024年12月31日 |
| ||||||
| | | |
比特币
采矿业务 |
| |
合计
|
| |||
| 与所得税前收入的对账 | | | | | | | | | | |
|
一般和行政费用–员工成本
|
| | | | | | | 10,124,393 | | |
|
一般和行政费用–其他
|
| | | | | | | 5,682,941 | | |
|
利息收入
|
| | | | | | | (9,454,145) | | |
|
外汇收益,净额
|
| | | | | | | 125 | | |
|
其他收益
|
| | | | | | | (511,292) | | |
|
来自持续经营业务的所得税前净收入
|
| | | | | | | 4,757,327 | | |
| | | |
截至2024年12月31日
|
| |||||||||
| | | |
比特币
采矿业务 |
| |
合计
|
| ||||||
| 分部资产: | | | | | | | | | | | | | |
| 流动资产 | | | | | | | | | | | | | |
|
应收账款,净额
|
| | | | 1,645,518 | | | | | | 1,645,518 | | |
|
预付款项和其他流动资产,扣除备抵
|
| | | | 26,966,209 | | | | | | 26,966,209 | | |
|
比特币抵押品的应收款项,净额
|
| | | | 84,536,567 | | | | | | 84,536,567 | | |
| | | |
截至2024年12月31日
|
| |||||||||
| | | |
比特币
采矿业务 |
| |
合计
|
| ||||||
| 非流动资产 | | | | | | | | | | | | | |
|
矿机,净额
|
| | | | 242,806,713 | | | | | | 242,806,713 | | |
|
其他非流动资产,净额
|
| | | | 44,621,402 | | | | | | 44,621,402 | | |
|
分部资产合计
|
| | |
|
400,576,409
|
| | | |
|
400,576,409
|
| |
| 与总资产的对账 | | | | | | | | | | | | | |
|
现金及现金等价物
|
| | | | | | | | | | 90,431,392 | | |
|
短期投资
|
| | | | | | | | | | 40,051,450 | | |
|
经营租赁使用权资产净额
|
| | | | | | | | | | 184,381 | | |
|
物业及设备净额
|
| | | | | | | | | | 65,460 | | |
|
持续经营资产总额
|
| | | | | | | | | | 531,309,092 | | |
| | |||||||||||||
| | | |
结束的那些年
|
| |||||||||
| | | |
12月31日,
2022 |
| |
12月31日,
2023 |
| ||||||
| 一般和行政费用 | | | | | | | | | | | | | |
|
员工成本
|
| | | | 22,256,765 | | | | | | 5,527,744 | | |
|
其他
|
| | | | 1,619,152 | | | | | | 1,495,945 | | |
| 合计 | | | | | 23,875,917 | | | | | | 7,023,689 | | |
| | | |
截至本年度
2024年12月31日 |
| |||||||||
| | | |
比特币
采矿业务 |
| |
合计
|
| ||||||
|
英属维尔京群岛
|
| | | | 89,908,403 | | | | | | 89,908,403 | | |
| 合计 | | | | | 89,908,403 | | | | | | 89,908,403 | | |
| | | |
截至2024年12月31日
|
| |||||||||||||||
| | | |
比特币
采矿业务 |
| |
和解
项目 |
| |
合计
|
| |||||||||
|
亚洲
|
| | | | 37,289,109 | | | | | | 249,841 | | | | | | 37,538,950 | | |
|
北美洲
|
| | | | 92,809,899 | | | | | | — | | | | | | 92,809,899 | | |
|
非洲
|
| | | | 90,541,946 | | | | | | — | | | | | | 90,541,946 | | |
|
其他
|
| | | | 22,165,759 | | | | | | — | | | | | | 22,165,759 | | |
| 合计 | | | | | 242,806,713 | | | | | | 249,841 | | | | | | 243,056,554 | | |
| | 子公司 | |
| | Stonebridge Investment First Limited(英属维尔京群岛) | |
| | Stonebridge Investments Holdings Limited(英属维尔京群岛) | |
| | Crystal Peak Investments Limited(毛里求斯) | |
| | 灿谷集团有限公司(香港) | |
| | 快运集团发展有限公司(香港) | |
| | 灿谷龙(上海)信息技术咨询服务有限公司(中国) | |
| | VIE | |
| | 上海灿谷投资管理咨询服务有限公司(“上海灿谷”)及其子公司 | |
| | 上海云谷好车电子科技有限公司(“上海云谷”)及其子公司 |
|
| | | |
截至12月31日,
|
| |||||||||
| | | |
2023
|
| |
2024
|
| ||||||
| 物业、厂房及设备 | | | | | | | | | | | | | |
| 当前资产: | | | | | | | | | | | | | |
|
现金及现金等价物
|
| | | | 41,470,262 | | | | | | 86,247,191 | | |
|
受限制现金–流动–为短期投资而持有的银行存款
|
| | | | 235,215,536 | | | | | | — | | |
|
受限制现金–流动–其他
|
| | | | 2,019,034 | | | | | | 1,481,477 | | |
| | | |
截至12月31日,
|
| |||||||||
| | | |
2023
|
| |
2024
|
| ||||||
|
短期投资
|
| | | | 14,377,152 | | | | | | 128,618,388 | | |
|
应收账款,净额
|
| | | | 9,125,721 | | | | | | 1,497,641 | | |
|
融资租赁应收款
|
| | | | 28,234,121 | | | | | | 2,833,899 | | |
|
应收融资款
|
| | | | 4,158,092 | | | | | | 778,855 | | |
|
短期合约资产,净额
|
| | | | 24,031,775 | | | | | | 4,619,614 | | |
|
预付款项和其他流动资产,净额
|
| | | | 10,913,470 | | | | | | 4,036,337 | | |
|
已终止经营业务流动资产合计
|
| | | | 369,545,163 | | | | | | 230,113,402 | | |
| 非流动资产: | | | | | | | | | | | | | |
|
受限制现金–非流动
|
| | | | 82,167,413 | | | | | | 39,377,146 | | |
|
物业及设备净额
|
| | | | 1,159,219 | | | | | | 843,464 | | |
|
无形资产
|
| | | | 6,813,222 | | | | | | 6,497,283 | | |
|
长期合同资产
|
| | | | 5,114,265 | | | | | | 2,404,483 | | |
|
融资租赁应收款
|
| | | | 5,130,582 | | | | | | 1,275,359 | | |
|
经营租赁使用权资产
|
| | | | 6,541,250 | | | | | | 5,403,686 | | |
|
其他非流动资产
|
| | | | 662,761 | | | | | | 555,784 | | |
|
终止经营的非流动资产合计
|
| | | | 107,588,712 | | | | | | 56,357,205 | | |
|
终止经营业务总资产
|
| | | | 477,133,875 | | | | | | 286,470,607 | | |
| | |||||||||||||
| | | |
截至12月31日,
|
| |||||||||
| | | |
2023
|
| |
2024
|
| ||||||
| 负债 | | | | | | | | | | | | | |
| 流动负债: | | | | | | | | | | | | | |
|
短期债务
|
| | | | 5,503,106 | | | | | | — | | |
|
长期债务–当前
|
| | | | 130,458 | | | | | | — | | |
|
短期租赁负债
|
| | | | 976,399 | | | | | | 903,762 | | |
|
应计费用和其他流动负债
|
| | | | 27,606,470 | | | | | | 13,723,267 | | |
|
递延担保收入
|
| | | | 12,143,676 | | | | | | 1,614,910 | | |
|
或有风险保证负债
|
| | | | 17,625,740 | | | | | | 4,273,071 | | |
|
应交所得税
|
| | | | 111,430 | | | | | | 2,357 | | |
|
已终止经营业务流动负债合计
|
| | | | 64,097,279 | | | | | | 20,517,367 | | |
| 非流动负债: | | | | | | | | | | | | | |
|
长期债务
|
| | | | 100,286 | | | | | | — | | |
|
递延税项负债
|
| | | | 1,510,462 | | | | | | 1,469,199 | | |
|
长期租赁负债
|
| | | | 5,941,925 | | | | | | 5,075,071 | | |
|
其他非流动负债
|
| | | | 31,837 | | | | | | 2,619 | | |
|
终止经营的非流动负债合计
|
| | | | 7,584,510 | | | | | | 6,546,889 | | |
|
终止经营负债总额
|
| | | | 71,681,789 | | | | | | 27,064,256 | | |
| | | |
截至12月31日止年度,
|
| |||||||||||||||
| | | |
2022
|
| |
2023
|
| |
2024
|
| |||||||||
| 收入 | | | | | | | | | | | | | | | | | | | |
|
汽车贸易收入
|
| | | | 238,939,437 | | | | | | 186,744,953 | | | | | | 873,418 | | |
|
贷款便利化收入及其他相关收入
|
| | | | 21,917,846 | | | | | | 2,846,456 | | | | | | 2,192,365 | | |
|
担保收入
|
| | | | — | | | | | | 30,247,050 | | | | | | 10,343,326 | | |
|
租赁收入
|
| | | | 23,278,954 | | | | | | 8,189,213 | | | | | | 1,602,950 | | |
|
后市场服务收入
|
| | | | 10,695,839 | | | | | | 9,323,955 | | | | | | 5,729,180 | | |
|
其他
|
| | | | 1,607,471 | | | | | | 5,330,535 | | | | | | 310,197 | | |
|
总收入
|
| | | | 296,439,547 | | | | | | 242,682,162 | | | | | | 21,051,436 | | |
| 营业成本和费用 | | | | | | | | | | | | | | | | | | | |
|
收益成本
|
| | | | 273,932,710 | | | | | | 215,581,508 | | | | | | 11,675,910 | | |
|
销售与市场营销
|
| | | | 19,874,787 | | | | | | 5,549,957 | | | | | | 1,820,336 | | |
|
一般和行政
|
| | | | 20,828,112 | | | | | | 15,321,448 | | | | | | 18,822,734 | | |
|
研究与开发
|
| | | | 6,879,242 | | | | | | 4,294,079 | | | | | | 759,722 | | |
|
或有风险保证负债净亏损(收益)
|
| | | | 44,884,353 | | | | | | 3,654,895 | | | | | | (3,863,348) | | |
|
信用损失净拨备(拨备净回收)
|
| | | | 47,802,613 | | | | | | (19,461,865) | | | | | | (38,223,001) | | |
|
商誉减值损失
|
| | | | — | | | | | | 21,197,627 | | | | | | — | | |
|
总运营成本和费用
|
| | | | 414,201,817 | | | | | | 246,137,649 | | | | | | (9,007,647) | | |
|
利息收入
|
| | | | 2,002,231 | | | | | | 1,903,232 | | | | | | 5,284,670 | | |
|
股本证券净收益
|
| | | | 718,118 | | | | | | 3,442,198 | | | | | | 1,165,910 | | |
|
利息支出
|
| | | | (2,516,055) | | | | | | (584,601) | | | | | | — | | |
|
外汇收益,净额
|
| | | | 952,076 | | | | | | 184,020 | | | | | | 229,512 | | |
|
其他收益
|
| | | | 4,163,399 | | | | | | 3,649,819 | | | | | | 633,357 | | |
|
其他费用
|
| | | | (369,113) | | | | | | (231,684) | | | | | | (293,897) | | |
|
(亏损)已终止经营业务税前收入
|
| | | | (112,811,614) | | | | | | 4,907,497 | | | | | | 37,078,635 | | |
|
所得税费用
|
| | | | (35,655,515) | | | | | | (13,326,297) | | | | | | (183,651) | | |
|
终止经营业务净(亏损)收入,税后净额
|
| | | | (148,467,129) | | | | | | (8,418,800) | | | | | | 36,894,984 | | |
|
终止经营提供的现金净额(用于)
活动 |
| | | | (89,339,436) | | | | | | 139,019,378 | | | | | | 38,850,280 | | |
|
终止投资提供(使用)的现金净额
活动 |
| | | | 143,868,276 | | | | | | 190,070,347 | | | | | | (85,570,858) | | |
|
(用于)已终止融资活动的现金净额
|
| | | | (162,026,994) | | | | | | (136,619,066) | | | | | | (5,426,532) | | |
| | | |
截至12月31日,
|
| |||||||||
| | | |
2023
|
| |
2024
|
| ||||||
| 债务证券: | | | | | | | | | | | | | |
|
持有至到期定期存款
|
| | | | 75,034,886 | | | | | | 40,074,501 | | |
| 股本证券: | | | | | | | | | | | | | |
|
有价证券
|
| | | | 35,756 | | | | | | — | | |
|
减:短期投资备抵
|
| | | | — | | | | | | (23,051) | | |
|
短期投资总额
|
| | | | 75,070,642 | | | | | | 40,051,450 | | |
| | | |
截至12月31日,
|
| |||||||||
| | | |
2023
|
| |
2024
|
| ||||||
|
截至1月1日的余额
|
| | | | — | | | | | | — | | |
|
加法
|
| | | | — | | | | | | 23,051 | | |
|
截至12月31日余额
|
| | | | — | | | | | | 23,051 | | |
| | | |
截至12月31日,
|
| |||||||||
| | | |
2023
|
| |
2024
|
| ||||||
|
应收账款
|
| | | | — | | | | | | 1,652,243 | | |
|
减:应收账款备抵
|
| | | | — | | | | | | (6,725) | | |
|
应收账款,净额
|
| | | | — | | | | | | 1,645,518 | | |
| | | |
截至12月31日,
|
| |||||||||
| | | |
2023
|
| |
2024
|
| ||||||
|
截至1月1日的余额
|
| | | | — | | | | | | — | | |
|
加法
|
| | | | — | | | | | | 6,725 | | |
|
截至12月31日余额
|
| | | | — | | | | | | 6,725 | | |
| | | | | | | | | |
截至12月31日,
|
| |||||||||
| | | |
笔记
|
| |
2023
|
| |
2024
|
| |||||||||
|
预付矿机托管费用
|
| | | | i | | | | | | — | | | | | | 25,004,141 | | |
|
应收利息
|
| | | | | | | | | | 74,402 | | | | | | 1,877,373 | | |
|
第三方持有的存款
|
| | | | | | | | | | 83,665 | | | | | | 84,695 | | |
|
预付款项和其他流动资产
|
| | | | | | | | | | 158,067 | | | | | | 26,966,209 | | |
|
减:预付款项和其他流动资产备抵
|
| | | | | | | | | | — | | | | | | — | | |
|
预付款项和其他流动资产,净额
|
| | | | | | | | | | 158,067 | | | | | | 26,966,209 | | |
| | | |
截至12月31日,
2024 |
| |||
|
比特币抵押品的应收款项
|
| | | | 84,838,573 | | |
|
减:比特币抵押品应收账款备抵
|
| | | | (302,006) | | |
|
比特币抵押品的应收款项总额,净额
|
| | | | 84,536,567 | | |
| | | |
截至12月31日,
2024 |
| |||
|
截至1月1日的余额
|
| | | | — | | |
|
加法
|
| | | | 302,006 | | |
|
截至12月31日余额
|
| | | | 302,006 | | |
| | | |
截至12月31日,
2024 |
| |||
|
矿机
|
| | | | 254,346,496 | | |
|
减:累计折旧
|
| | | | (11,539,783) | | |
|
矿机,净额
|
| | | | 242,806,713 | | |
| | | |
截至12月31日,
|
| |||||||||
| | | |
2023
|
| |
2024
|
| ||||||
|
向矿机托管服务商缴纳的服务保证金
|
| | | | — | | | | | | 44,992,599 | | |
|
其他非流动资产合计
|
| | | | — | | | | | | 44,992,599 | | |
|
减:其他非流动资产备抵
|
| | | | — | | | | | | (371,197) | | |
|
其他非流动资产,净额
|
| | | | — | | | | | | 44,621,402 | | |
| | | |
截至12月31日,
2024 |
| |||
|
截至1月1日的余额
|
| | | | — | | |
|
加法
|
| | | | 371,197 | | |
|
截至12月31日余额
|
| | | | 371,197 | | |
|
姓名
|
| |
固定/浮动年利率(%)
|
| |
任期
|
| |
截至2024年12月31日
|
|
|
算力融资贷款(一)
|
| |
浮动,上限为每年10.0%。
|
| |
未指定
|
| |
17,067,978美元
|
|
| | | |
截至12月31日,
|
| |||||||||
| | | |
2023
|
| |
2024
|
| ||||||
|
矿机采购到期付款
|
| | | | — | | | | | | 126,317,900 | | |
|
托管费用到期付款
|
| | | | — | | | | | | 40,109,274 | | |
|
应付雇员
|
| | | | — | | | | | | 2,000,000 | | |
|
客户预付款
|
| | | | 1,529,182 | | | | | | 1,637,864 | | |
|
应计专业服务费
|
| | | | — | | | | | | 781,798 | | |
|
应付利息
|
| | | | — | | | | | | 63,640 | | |
|
其他
|
| | | | 2,451 | | | | | | 80,043 | | |
| | | | | | 1,531,633 | | | | | | 170,990,519 | | |
| | | |
结束的那些年
12月31日, |
| |||||||||||||||
| | | |
2022
|
| |
2023
|
| |
2024
|
| |||||||||
|
采矿服务成本–托管费用
|
| | | | — | | | | | | — | | | | | | 63,547,329 | | |
|
采矿服务成本–折旧
|
| | | | — | | | | | | — | | | | | | 11,539,783 | | |
| | | | | | — | | | | | | — | | | | | | 75,087,112 | | |
| | | |
截至12月31日止年度,
|
| |||||||||||||||
| | | |
2022
|
| |
2023
|
| |
2024
|
| |||||||||
|
开曼群岛
|
| | | | (15,847,036) | | | | | | 4,032,849 | | | | | | 3,832,955 | | |
|
香港
|
| | | | (2,323,199) | | | | | | (1,090,792) | | | | | | 924,372 | | |
|
来自持续经营业务的所得税前净收入(亏损)
|
| | | | (18,170,235) | | | | | | 2,942,057 | | | | | | 4,757,327 | | |
| | | |
结束的那些年
12月31日, |
| |||||||||||||||
| | | |
2022
|
| |
2023
|
| |
2024
|
| |||||||||
|
当期所得税费用(收益)
|
| | | | — | | | | | | — | | | | | | — | | |
|
递延所得税(福利)费用
|
| | | | (236,061) | | | | | | — | | | | | | — | | |
|
所得税费用总额
|
| | | | (236,061) | | | | | | — | | | | | | — | | |
| | | |
截至12月31日,
|
| |||||||||
| | | |
2023
|
| |
2024
|
| ||||||
| 非流动递延所得税资产 | | | | | | | | | | | | | |
|
租赁负债
|
| | | | 25,096 | | | | | | 45,059 | | |
|
经营亏损结转净额
|
| | | | 2,171,976 | | | | | | 2,019,455 | | |
|
减:估值备抵
|
| | | | (2,171,976) | | | | | | (2,019,455) | | |
|
非流动递延所得税资产,净额
|
| | | | 25,096 | | | | | | 45,059 | | |
| 非流动递延所得税负债 | | | | | | | | | | | | | |
|
经营租赁使用权资产
|
| | | | (25,096) | | | | | | (45,059) | | |
|
其他
|
| | | | (1) | | | | | | (1) | | |
|
非流动递延所得税负债
|
| | | | (25,097) | | | | | | (45,060) | | |
|
非流动递延所得税负债,扣除递延所得税资产
|
| | | | (1) | | | | | | (1) | | |
| | | |
截至12月31日止年度,
|
| |||||||||||||||
| | | |
2022
|
| |
2023
|
| |
2024
|
| |||||||||
|
所得税拨备前收入(亏损)
|
| | | | (18,170,235) | | | | | | 2,942,057 | | | | | | 4,757,327 | | |
|
香港法定所得税率
|
| | | | 16.5% | | | | | | 16.5% | | | | | | 16.5% | | |
|
按法定税率征收所得税
|
| | | | (2,998,089) | | | | | | 485,439 | | | | | | 784,959 | | |
|
税率差异
|
| | | | 2,378,700 | | | | | | (665,420) | | | | | | (632,438) | | |
|
估值备抵变动
|
| | | | 383,328 | | | | | | 179,981 | | | | | | (152,521) | | |
|
所得税费用
|
| | | | (236,061) | | | | | | — | | | | | | — | | |
| | | |
截至12月31日止年度,
|
| |||||||||||||||||||||||||||||||||
| | | |
2022
|
| |
2023
|
| |
2024
|
| |||||||||||||||||||||||||||
|
基本EPS –持续经营
|
| |
A类
普通 股份 |
| |
乙类
普通 股份 |
| |
A类
普通 股份 |
| |
乙类
普通 股份 |
| |
A类
普通 股份 |
| |
乙类
普通 股份 |
| ||||||||||||||||||
| 分子: | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
|
应占净(亏损)收入
Cango Inc的股东 |
| | | | (13,158,795) | | | | | | (4,775,380) | | | | | | 2,058,653 | | | | | | 883,404 | | | | | | 3,089,749 | | | | | | 1,667,578 | | |
| 分母: | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
|
用于基本EPS计算的股数(百万股)
|
| | | | 201.10 | | | | | | 72.98 | | | | | | 170.07 | | | | | | 72.98 | | | | | | 135.22 | | | | | | 72.98 | | |
|
基本EPS
|
| | | | (0.07) | | | | | | (0.07) | | | | | | 0.01 | | | | | | 0.01 | | | | | | 0.02 | | | | | | 0.02 | | |
| | | |
截至12月31日止年度,
|
| |||||||||||||||||||||||||||||||||
| | | |
2022
|
| |
2023
|
| |
2024
|
| |||||||||||||||||||||||||||
|
基本EPS –已终止经营业务
|
| |
A类
普通 股份 |
| |
乙类
普通 股份 |
| |
A类
普通 股份 |
| |
乙类
普通 股份 |
| |
A类
普通 股份 |
| |
乙类
普通 股份 |
| ||||||||||||||||||
| 分子: | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
|
归属于Cango Inc股东的净(亏损)收入
|
| | | | (108,934,397) | | | | | | (39,532,732) | | | | | | (5,890,909) | | | | | | (2,527,891) | | | | | | 23,962,247 | | | | | | 12,932,737 | | |
| 分母: | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
|
用于基本EPS计算的股数(百万股)
|
| | | | 201.1 | | | | | | 72.98 | | | | | | 170.07 | | | | | | 72.98 | | | | | | 135.22 | | | | | | 72.98 | | |
|
基本EPS
|
| | | | (0.54) | | | | | | (0.54) | | | | | | (0.03) | | | | | | (0.03) | | | | | | 0.18 | | | | | | 0.18 | | |
| | | |
截至12月31日止年度,
|
| |||||||||||||||||||||||||||||||||
| | | |
2022
|
| |
2023
|
| |
2024
|
| |||||||||||||||||||||||||||
|
稀释EPS –持续经营
|
| |
A类
普通 股份 |
| |
乙类
普通 股份 |
| |
A类
普通 股份 |
| |
乙类
普通 股份 |
| |
A类
普通 股份 |
| |
乙类
普通 股份 |
| ||||||||||||||||||
| 分子: | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
|
归属于普通股股东的净(亏损)收入
|
| | | | (13,158,795) | | | | | | (4,775,380) | | | | | | 2,096,337 | | | | | | 845,720 | | | | | | 3,267,498 | | | | | | 1,489,829 | | |
|
因此重新分配净收入
B类转换为A类 股份 |
| | | | (4,775,380) | | | | | | | | | | | | 845,720 | | | | | | | | | | | | 1,489,829 | | | | | | | | |
|
摊薄后每股收益归属于普通股股东的净(亏损)收益
|
| | | | (17,934,175) | | | | | | (4,775,380) | | | | | | 2,942,057 | | | | | | 845,720 | | | | | | 4,757,327 | | | | | | 1,489,829 | | |
| 分母:(百万股) | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| | | |
截至12月31日止年度,
|
| |||||||||||||||||||||||||||||||||
| | | |
2022
|
| |
2023
|
| |
2024
|
| |||||||||||||||||||||||||||
|
稀释EPS –持续经营
|
| |
A类
普通 股份 |
| |
乙类
普通 股份 |
| |
A类
普通 股份 |
| |
乙类
普通 股份 |
| |
A类
普通 股份 |
| |
乙类
普通 股份 |
| ||||||||||||||||||
|
用于基本EPS的股数
计算 |
| | | | 201.1 | | | | | | 72.98 | | | | | | 170.07 | | | | | | 72.98 | | | | | | 135.22 | | | | | | 72.98 | | |
|
稀释性证券的加权平均效应:
|
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
|
B类转换为A类普通股
|
| | | | 72.98 | | | | | | | | | | | | 72.98 | | | | | | | | | | | | 72.98 | | | | | | | | |
|
稀释性购股权调整(百万股)
|
| | | | | | | | | | | | | | | | 10.83 | | | | | | | | | | | | 24.84 | | | | | | | | |
|
用于摊薄每股收益计算的股数
|
| | | | 274.08 | | | | | | 72.98 | | | | | | 253.88 | | | | | | 72.98 | | | | | | 233.04 | | | | | | 72.98 | | |
|
稀释EPS
|
| | | | (0.07) | | | | | | (0.07) | | | | | | 0.01 | | | | | | 0.01 | | | | | | 0.02 | | | | | | 0.02 | | |
| | |||||||||||||||||||||||||||||||||||||
| | | |
截至12月31日止年度,
|
| |||||||||||||||||||||||||||||||||
| | | |
2022
|
| |
2023
|
| |
2024
|
| |||||||||||||||||||||||||||
|
稀释EPS –终止经营
|
| |
A类
普通 股份 |
| |
乙类
普通 股份 |
| |
A类
普通 股份 |
| |
乙类
普通 股份 |
| |
A类
普通 股份 |
| |
乙类
普通 股份 |
| ||||||||||||||||||
| 分子: | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
|
归属于普通股股东的净(亏损)收入
|
| | | | (108,934,397) | | | | | | (39,532,732) | | | | | | (5,890,909) | | | | | | (2,527,891) | | | | | | 25,340,762 | | | | | | 11,554,222 | | |
|
因B类转换为A类份额而重新分配净收益
|
| | | | (39,532,732) | | | | | | | | | | | | (2,527,891) | | | | | | | | | | | | 11,554,222 | | | | | | | | |
|
摊薄后每股收益归属于普通股股东的净(亏损)收益
|
| | | | (148,467,129) | | | | | | (39,532,732) | | | | | | (8,418,800) | | | | | | (2,527,891) | | | | | | 36,894,984 | | | | | | 11,554,222 | | |
|
分母:(百万股)
|
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
|
用于基本EPS计算的股份数量
|
| | | | 201.1 | | | | | | 72.98 | | | | | | 170.07 | | | | | | 72.98 | | | | | | 135.22 | | | | | | 72.98 | | |
|
稀释剂的加权平均效应
证券: |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
|
B类转换为A类普通股
|
| | | | 72.98 | | | | | | | | | | | | 72.98 | | | | | | | | | | | | 72.98 | | | | | | | | |
|
稀释性购股权调整(百万股)
|
| | | | | | | | | | | | | | | | | | | | | | | | | | | | 24.84 | | | | | | | | |
|
用于稀释的股份数量
EPS计算 |
| | | | 274.08 | | | | | | 72.98 | | | | | | 243.05 | | | | | | 72.98 | | | | | | 233.04 | | | | | | 72.98 | | |
|
稀释EPS
|
| | | | (0.54) | | | | | | (0.54) | | | | | | (0.03) | | | | | | (0.03) | | | | | | 0.16 | | | | | | 0.16 | | |
| | | |
截至2023年12月31日
|
| |||||||||||||||||||||
| | | |
市场活跃
(1级) |
| |
可观察
输入 (2级) |
| |
不可观测
输入 (三级) |
| |
合计
|
| ||||||||||||
| 资产: | | | | | | | | | | | | | | | | | | | | | | | | | |
|
短期投资
|
| | | | 35,756 | | | | | | 75,034,886 | | | | | | — | | | | | | 75,070,642 | | |
| | | |
截至2024年12月31日
|
| |||||||||||||||||||||
| | | |
活跃
市场 (1级) |
| |
可观察
输入 (2级) |
| |
不可观测
输入 (三级) |
| |
合计
|
| ||||||||||||
| 资产: | | | | | | | | | | | | | | | | | | | | | | | | | |
|
短期投资
|
| | | | — | | | | | | 40,074,501 | | | | | | — | | | | | | 40,074,501 | | |
|
比特币抵押品的应收款项
|
| | | | — | | | | | | 84,838,573 | | | | | | — | | | | | | 84,838,573 | | |
| | | |
截至
5月25日, 2018, (日期 成立) |
| |
截至
2月15日, 2019, (日期 成立) |
| |
截至
10月15日, 2020, (日期 成立) |
| |
截至
5月1日, 2021, (日期 成立) |
| |
截至
6月16日, 2022, (日期 成立) |
| |
截至
8月1日, 2022, (日期 成立) |
| |
截至
8月1日, 2022, (日期 成立) |
| |
截至
12月23日, 2024, (日期 成立) |
| ||||||||||||||||||||||||
| | | |
第1批
|
| |
第2批
|
| |
第3批
|
| |
第4批
|
| | | | | | | |
第5-1批
|
| |
第5-2批
|
| |
第6批
|
| |||||||||||||||||||||
|
无风险利息
率(%) |
| | | | 2.93 | | | | | | 2.66 | | | | | | 0.74 | | | | | | 0.74 | | | | | | 3.20 | | | | | | 2.59 | | | | | | 2.59 | | | | | | 4.53 | | |
|
波动率(%)
|
| | | | 38.70 | | | | | | 38.70 | | | | | | 37.60 | | | | | | 38.00 | | | | | | 47.80 | | | | | | 48.10 | | | | | | 48.10 | | | | | | 50.00 | | |
|
预期行权倍数
|
| | | | 2.80 | | | | | | 2.30 | | | | | | 2.30 | | | | | | 2.30 | | | | | | 2.80 | | | | | | 2.80 | | | | | | 2.20 | | | | | | 2.80 | | |
|
股息收益率
|
| | | | 无 | | | | | | 无 | | | | | | 无 | | | | | | 无 | | | | | | 无 | | | | | | 无 | | | | | | 无 | | | | | | 无 | | |
|
预期寿命(年)
|
| | | | 10.00 | | | | | | 10.00 | | | | | | 10.00 | | | | | | 10.00 | | | | | | 10.00 | | | | | | 10.00 | | | | | | 10.00 | | | | | | 10.00 | | |
|
行权价格(美元)
|
| | | | 1.7951 | | | | | | 1.7951 | | | | | | 1.7951 | | | | | | 1.2951 | | | | | | 0.7951 | | | | | | 0.7951 | | | | | | 0.7951 | | | | | | 0.2951 | | |
|
普通股公允价值(美元)
|
| | | | 5.92 | | | | | | 3.96 | | | | | | 2.83 | | | | | | 3.36 | | | | | | 1.57 | | | | | | 1.28 | | | | | | 1.28 | | | | | | 2.43 | | |
| | | |
数量
选项 |
| |
加权
平均 行权价格 |
| |
加权
平均 授予日期 公允价值 |
| |
聚合
内在 价值 |
| ||||||||||||
|
余额,2021年12月31日
|
| | | | 25,946,770 | | | | | | 1.30 | | | | | | 3.92 | | | | | | | | |
|
已获批
|
| | | | 13,613,000 | | | | | | 0.80 | | | | | | 1.54 | | | | | | | | |
|
已锻炼
|
| | | | (1,817,288) | | | | | | 0.56 | | | | | | 3.84 | | | | | | 734,831 | | |
|
没收
|
| | | | (1,687,224) | | | | | | 0.92 | | | | | | 3.12 | | | | | | | | |
|
余额,2022年12月31日
|
| | | | 36,055,258 | | | | | | 0.30 | | | | | | 3.00 | | | | | | | | |
|
已获批
|
| | | | — | | | | | | — | | | | | | — | | | | | | | | |
|
已锻炼
|
| | | | (1,285,640) | | | | | | 0.30 | | | | | | 3.33 | | | | | | 381,706 | | |
|
没收
|
| | | | (856,922) | | | | | | 0.30 | | | | | | 1.94 | | | | | | | | |
|
余额,2023年12月31日
|
| | | | 33,912,696 | | | | | | 0.30 | | | | | | 3.00 | | | | | | | | |
|
已获批
|
| | | | 42,906 | | | | | | 0.30 | | | | | | 2.42 | | | | | | | | |
|
已锻炼
|
| | | | (1,221,920) | | | | | | 0.30 | | | | | | 3.22 | | | | | | 1,646,534 | | |
|
没收
|
| | | | (262,902) | | | | | | 0.30 | | | | | | 2.00 | | | | | | | | |
|
余额,2024年12月31日
|
| | | | 32,470,780 | | | | | | 0.30 | | | | | | 3.00 | | | | | | | | |
|
于2024年12月31日归属或预期归属
|
| | | | 32,298,296 | | | | | | 0.30 | | | | | | | | | | | | 61,525,024 | | |
|
2024年12月31日可行使
|
| | | | 30,345,598 | | | | | | 0.30 | | | | | | | | | | | | 57,805,330 | | |
| | | |
截至12月31日止年度,
|
| |||||||||||||||
| | | |
2022
|
| |
2023
|
| |
2024
|
| |||||||||
|
一般和行政----持续业务
|
| | | | 19,650,331 | | | | | | 3,502,433 | | | | | | 1,404,008 | | |
|
一般和行政–已终止的业务
|
| | | | 4,262,666 | | | | | | 1,968,341 | | | | | | 974,328 | | |
| | | |
截至12月31日,
|
| |||||||||
| | | |
2023
|
| |
2024
|
| ||||||
| 物业、厂房及设备 | | | | | | | | | | | | | |
| 流动资产 | | | | | | | | | | | | | |
|
现金及现金等价物
|
| | | | 95,970,807 | | | | | | 84,699,267 | | |
|
短期投资,净额
|
| | | | 51,589,440 | | | | | | 40,051,450 | | |
|
应收子公司短期款项(WFOE除外)
|
| | | | 59,702,904 | | | | | | 85,552,723 | | |
|
其他流动资产
|
| | | | 53,378 | | | | | | 1,892,087 | | |
|
流动资产总额
|
| | | | 207,316,529 | | | | | | 212,195,527 | | |
| | | |
截至12月31日,
|
| |||||||||
| | | |
2023
|
| |
2024
|
| ||||||
| 非流动资产 | | | | | | | | | | | | | |
|
矿机,净额
|
| | | | | | | | | | 242,806,713 | | |
|
对子公司的投资
|
| | | | 7,083,378 | | | | | | (3,290,339) | | |
|
VIE和VIE子公司的合同权益*
|
| | | | 368,558,513 | | | | | | 406,829,169 | | |
|
非流动资产合计
|
| | | | 375,641,891 | | | | | | 646,345,543 | | |
|
总资产
|
| | | | 582,958,420 | | | | | | 858,541,070 | | |
| 负债 | | | | | | | | | | | | | |
| 流动负债 | | | | | | | | | | | | | |
|
应付VIE和VIE子公司的短期款项*
|
| | | | — | | | | | | 128,028,596 | | |
|
其他流动负债
|
| | | | 50,138,967 | | | | | | 176,645,575 | | |
|
流动负债合计
|
| | |
|
50,138,967
|
| | | |
|
304,674,171
|
| |
|
其他非流动负债
|
| | | | 1 | | | | | | 1 | | |
|
非流动负债合计
|
| | | | 1 | | | | | | 1 | | |
|
负债总额
|
| | |
|
50,138,968
|
| | | |
|
304,674,172
|
| |
| 股东权益 | | | | | | | | | | | | | |
|
A类普通股(每股面值0.0001美元;
截至2023年12月31日及2024年12月31日授权的420,674,280股, 分别;已发行股份229,831,213股及144,857,131股 截至2023年12月31日在外流通;已发行股份222,055,327股 截至2024年12月31日已发行股份134,586,659股) |
| | | | 22,983 | | | | | | 22,206 | | |
|
B类普通股(每股面值0.0001美元;截至2023年12月31日和2024年12月31日分别授权79,325,720股;截至2023年12月31日已发行和流通的72,978,677股;截至2024年12月31日已发行和流通的72,978,677股)
|
| | | | 7,298 | | | | | | 7,298 | | |
|
库存股
|
| | | | (114,425,041) | | | | | | (111,567,030) | | |
|
额外实收资本
|
| | | | 741,318,327 | | | | | | 728,564,614 | | |
|
累计其他综合收益
|
| | | | (38,866,587) | | | | | | (49,574,973) | | |
|
累计赤字
|
| | | | (55,237,528) | | | | | | (13,585,217) | | |
|
股东权益合计
|
| | |
|
532,819,452
|
| | | |
|
553,866,898
|
| |
|
负债总额和股东权益
|
| | | | 582,958,420 | | | | | | 858,541,070 | | |
| | |||||||||||||
| | | |
截至12月31日止年度,
|
| |||||||||||||||
| | | |
2022
|
| |
2023
|
| |
2024
|
| |||||||||
|
收入
|
| | | | — | | | | | | — | | | | | | 11,539,783 | | |
|
收益成本
|
| | | | — | | | | | | — | | | | | | (11,539,783) | | |
|
一般和行政费用
|
| | | | (1,069,043) | | | | | | (959,427) | | | | | | (5,762,969) | | |
|
利息收入
|
| | | | 3,819,069 | | | | | | 7,982,702 | | | | | | 9,117,462 | | |
|
汇兑(亏损)/收益
|
| | | | (63,928) | | | | | | (24,447) | | | | | | 100 | | |
|
净投资损失
|
| | | | (2,294,534) | | | | | | (6,489) | | | | | | — | | |
|
(拨备)信用损失拨备净回收
|
| | | | — | | | | | | 53,871 | | | | | | (29,503) | | |
|
应占附属公司亏损
|
| | | | (1,366,646) | | | | | | (786,956) | | | | | | (9,804,387) | | |
|
VIE和VIE子公司的合同权益*
|
| | | | (169,323,727) | | | | | | (12,462,927) | | | | | | 47,623,743 | | |
|
其他收益
|
| | | | 3,662,663 | | | | | | 726,930 | | | | | | 507,865 | | |
|
其他费用
|
| | | | (1,218) | | | | | | — | | | | | | — | | |
|
所得税前净(亏损)收入
|
| | | | (166,637,364) | | | | | | (5,476,743) | | | | | | 41,652,311 | | |
|
所得税费用
|
| | | | 236,061 | | | | | | — | | | | | | — | | |
|
净(亏损)收入
|
| | | | (166,401,303) | | | | | | (5,476,743) | | | | | | 41,652,311 | | |
|
其他综合收益,税后净额
|
| | | | 38,000,987 | | | | | | (11,635,202) | | | | | | (10,708,386) | | |
|
综合(亏损)收益总额,税后净额
|
| | | | (128,400,316) | | | | | | (17,111,945) | | | | | | 30,943,925 | | |
| | | |
截至12月31日止年度,
|
| |||||||||||||||
| | | |
2022
|
| |
2023
|
| |
2024
|
| |||||||||
|
净亏损
|
| | | | (166,401,303) | | | | | | (5,476,743) | | | | | | 41,652,311 | | |
|
净投资损失
|
| | | | 2,294,534 | | | | | | 6,489 | | | | | | — | | |
|
信贷损失拨备(拨备净回收)
|
| | | | — | | | | | | (53,871) | | | | | | 29,503 | | |
|
应占附属公司亏损
|
| | | | 1,366,646 | | | | | | 786,956 | | | | | | 9,804,387 | | |
|
VIE和VIE子公司的合同权益*
|
| | | | 169,323,727 | | | | | | 12,462,927 | | | | | | (47,623,743) | | |
|
经营资产和负债变动
|
| | | | (2,854) | | | | | | 780,123 | | | | | | (1,545,338) | | |
|
经营活动所产生的现金净额
|
| | | | 6,580,750 | | | | | | 8,505,881 | | | | | | 2,317,120 | | |
|
投资活动提供(使用)的现金净额
|
| | | | 156,920,313 | | | | | | 108,799,498 | | | | | | (130,793,637) | | |
|
筹资活动提供的现金净额(用于)
|
| | | | (285,796,179) | | | | | | (33,789,477) | | | | | | 115,753,767 | | |
|
汇率变动对现金及现金等价物的影响
和受限制的现金 |
| | | | 116,862 | | | | | | 40,077 | | | | | | 1,451,210 | | |
|
现金及现金等价物和受限制现金净增加(减少)额
|
| | | | (122,178,254) | | | | | | 83,555,979 | | | | | | (11,271,540) | | |
|
年初的现金及现金等价物和受限制现金
这一年 |
| | | | 134,621,426 | | | | | | 12,443,172 | | | | | | 95,970,807 | | |
|
期末现金及现金等价物和受限制现金
年 |
| | | | 12,443,172 | | | | | | 95,999,151 | | | | | | 84,699,267 | | |
| |
附件
数 |
| |
文件说明
|
|
| | 1.1** | | | 包销协议的格式 | |
| | 3.1* | | | 第四次经修订及重订的注册人组织章程大纲及细则,日期为2025年7月17日 | |
| | 4.1 | | | 普通股证书样本(通过引用F-1表格(文件编号:333-225813)上的注册人注册声明的附件 4.1并入,经修订,最初于2018年6月22日向SEC提交) | |
| | 4.6** | | | 契约的形式 | |
| | 4.7** | | | 债务担保的形式 | |
| | 4.8** | | | 认股权证的形式 | |
| | 4.9** | | | 认股权证协议的形式 | |
| | 5.1** | | | Ogier关于证券有效性的意见 | |
| | 8.1** | | | Ogier关于开曼群岛某些税务事项的意见(包含在附件 5.1中) | |
| | 23.1** | | | MaloneBailey,LLP的同意 | |
| | 23.2** | | | 安永华明会计师事务所的同意 | |
| | 23.3** | | | Ogier的同意(包含在附件 5.1中) | |
| | 24.1** | | | 授权书(作为本登记声明第二部签署页的一部分包括在内) | |
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107**
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| | 备案费率表 | |
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签名
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标题
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日期
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金鑫
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董事长
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彭宇
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首席执行官兼董事
(首席执行官) |
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Chang-Wei Chiu
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董事
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Chi Ming Lee
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独立董事
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林彦军
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独立董事
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Haitian Lu
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独立董事
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张永毅
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首席财务官
(首席财务会计干事) |
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