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Nature of Operations and Reorganization (Tables)
12 Months Ended
Dec. 31, 2024
Nature of Operations and Reorganization  
Schedule of ownership structure of the major subsidiaries and VIE

Percentage of

  Direct or Indirect 

Place and year of 

Economic

Major subsidiaries

    

Incorporation

    

Ownership

    

Principal activities

36Kr Holding Limited (“36Kr BVI” or “BVI Subsidiary”)

British Virgin Islands, established in 2018

100

%  

Investment holding

36Kr Holdings (HK) Limited (“36Kr HK” or “HK Subsidiary”)

Hong Kong, established in 2018

100

%  

Investment holding

Tianjin Duoke Investment Co., Ltd. (“Tianjin Duoke”)

The PRC, established in 2019

100

%  

Investment holding

Tianjin Dake Information Technology Co., Ltd. (“Tianjin Dake”)

 

The PRC, established in 2019

 

100

%  

Management consulting

Beijing Dake

 

The PRC, established in 2019

 

100

%  

Management consulting

Nanjing Dake Information Technology Co., Ltd. (“Nanjing Dake”)

The PRC, established in 2021

100

%  

Management consulting

 

Percentage of

Place and year of 

 Economic

VIE

    

Incorporation

    

Ownership

    

Principal activities

Beijing Duoke

 

The PRC, established in 2016

 

99

%  

36Kr Business

Percentage of

Place and year of 

 Economic

VIE Major subsidiaries

    

Incorporation

    

Ownership

    

Principal activities

Zhejiang Pinxin Technology Co., Ltd.

 

The PRC, established in 2019

 

99

%  

Investment holding

Schedule of financial information of the Group's VIE and the VIE's subsidiaries included in the accompanying consolidated financial statements

December 31, 

December 31, 

2023

2024

    

RMB’000

    

RMB’000

Current assets:

 

  

 

  

Cash and cash equivalents

 

27,413

 

23,868

Restricted cash

822

Short‑term investments

 

36,850

 

54,867

Accounts receivable, net

 

139,408

 

65,617

Amounts due from the Company and its subsidiaries

19,004

38,442

Receivables due from related parties of the Group

 

 

20

Prepayments and other current assets

 

15,292

 

17,527

Non‑current assets:

 

 

Property and equipment, net

 

7,365

 

5,817

Intangible assets, net

 

2,079

 

1,483

Long-term investments, net

131,467

64,233

Operating lease right-of-use assets, net

 

34,454

 

18,606

Total assets

 

413,332

 

291,302

Current liabilities:

 

 

Accounts payable

 

60,376

 

59,835

Salary and welfare payables

 

25,605

 

19,222

Taxes payable

 

2,841

 

Deferred revenue

 

23,428

 

19,301

Amounts due to the Company and its subsidiaries

141,457

198,175

Amounts due to related parties of the Group

 

261

 

789

Accrued liabilities and other payables

20,634

11,145

Short-term bank loan

9,950

4,000

Operating lease liabilities

8,953

7,860

Non-current liabilities:

Operating lease liabilities

26,826

 

11,743

Other non-current liabilities

174

Total liabilities

 

320,505

 

332,070

For the year Ended December 31,

2022

2023

 

2024

    

RMB’000

    

RMB’000

    

RMB’000

Third-party revenues

 

320,526

 

340,058

231,070

Cost of revenues

(211,698)

(212,747)

(151,908)

Gross profit

108,828

127,311

79,162

Operating expenses

(131,984)

(198,610)

(146,241)

Loss from operations

(23,156)

(71,299)

(67,079)

Gain on disposal of subsidiaries

38,019

3,366

839

Share of income/(loss) from equity method investments

523

(546)

(3,070)

Long-term investments income/(loss), net

15,964

(8,079)

(62,763)

Short-term investments income

1,262

706

462

Others, net

9,402

7,689

1,121

Income/(Loss) before income tax

42,014

(68,163)

(130,490)

Income tax (expense)/credit

(361)

43

(64)

Net income/(loss)

 

41,653

 

(68,120)

(130,554)

For the year Ended December 31,

2022

2023

 

2024

    

RMB’000

    

RMB’000

    

RMB’000

Net cash provided/(used in) by operating activities

 

77,322

 

(123,798)

23,276

Purchase of short-term investments

(417,490)

(312,270)

(160,034)

Proceeds from maturities of short-term investments

494,709

296,221

141,242

Investment in long-term investments

(38,970)

(9,500)

(4,050)

Cash received from disposal of an equity investee

5,450

Loan collected from related parties

2,000

Loan collected from inter-company entities

100

Loan paid to inter-Company entities

(17,000)

Cash received from customer in relation to advertisement agent services

70,208

68,838

15,984

Cash paid on behalf of the customer in relation to advertisement agent services

(64,054)

Net cash upon disposal of subsidiaries

(2,992)

Others

(3,361)

(4,571)

(1,674)

Net cash provided/(used in) by investing activities

43,142

38,718

(23,074)

Capital injection from noncontrolling interest shareholders

174

255

Proceeds from loans provided by inter-company entities

25,400

8,000

Repayments of loans provided by inter-company entities

(65,876)

(15,147)

(1,300)

Dividends to non-controlling shareholder of a subsidiary

(3,675)

Others

4,950

226

(5,950)

Net cash (used in)/provided by financing activities

(60,752)

10,734

(2,925)

Increase/(Decrease) in cash, cash equivalents and restricted cash

 

59,712

 

(74,346)

(2,723)

Cash, cash equivalents and restricted cash at beginning of year

 

42,047

 

101,759

27,413

Cash, cash equivalents and restricted cash at end of year

101,759

27,413

24,690