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Qutoutiao Inc. Reports Fourth Quarter and Fiscal Year 2021 Unaudited Financial Results

Qutoutiao Inc. Reports Fourth Quarter and Fiscal Year 2021 Unaudited Financial Results

趣头条公司公布第四季度和2021财年未经审计的财务业绩
GlobeNewswire ·  2022/05/02 07:07

SHANGHAI, China, May 02, 2022 (GLOBE NEWSWIRE) -- Qutoutiao Inc. ("Qutoutiao", the "Company" or "We", and together with its subsidiaries and controlled affiliated entities, the "Group") (NASDAQ: QTT), a leading operator of mobile content platforms in China, today announced its unaudited financial results in the fourth quarter and fiscal year ended December 31, 2021.

中国上海,2022年5月2日(环球通讯社)--中国领先的移动内容平台运营商趣头条股份有限公司(“趣头条”,“我们”及其子公司和控股关联实体)(纳斯达克股票代码:QTT)今天公布了截至2021年12月31日的第四季度未经审计的财务业绩。

Fourth Quarter 2021 Highlights

2021年第四季度亮点

  • Net revenues was RMB881.1 million (US$138.3 million), representing a decrease of 32.3% from RMB1,302.4 million in the fourth quarter of 2020, and a decrease of 8.7% quarter-over-quarter from RMB965.5 million in the third quarter of 2021.
  • Net loss was RMB298.0 million (US$46.8 million), compared to net loss of RMB81.8 million in the fourth quarter of 2020 and net loss of RMB583.6 million in the third quarter of 2021. Net loss margin was 33.8%, compared to 6.3% in the fourth quarter of 2020 and 60.4% in the third quarter of 2021.
  • Non-GAAP net income/(loss)1 was RMB273.5 million (US$42.9 million), compared to non-GAAP net income of RMB50.8 million in the fourth quarter of 2020 and non-GAAP net loss of RMB525.1 million in the third quarter of 2021. Non-GAAP net loss margin was 31.0%, compared to non-GAAP net income margin of 3.9% in the fourth quarter of 2020 and non-GAAP net loss margin of 54.4% in the third quarter of 2021.
  • Combined average MAUs2 were 97.6 million, representing a decrease of 21.7% from 124.7 million in the fourth quarter of 2020; and a decrease of 17.6% from 118.5 million in the third quarter of 2021.
  • Combined average DAUs3 were 25.0 million, representing a decrease of 22.6% from 32.3 million in the fourth quarter of 2020; and a decrease of 5.7% from 26.5 million in the previous quarter.
  • Average daily time spent per DAU was 43.2 minutes, compared to 50.3 minutes in the fourth quarter of 2020 and 51.9 minutes in the third quarter of 2021.
  • 净收入为人民币8.811亿元(1.383亿美元),较2020年第四季度的人民币13.024亿元下降32.3%,较2021年第三季度的人民币9.655亿元环比下降8.7%。
  • 净亏损为人民币2.98亿元(4,680万美元),而2020年第四季度净亏损人民币8180万元,2021年第三季度净亏损人民币5.836亿元。净亏损率为33.8%,而2020年第四季度和2021年第三季度分别为6.3%和60.4%。
  • 非公认会计准则净收益/(亏损)1为人民币2.735亿元(4,290万美元),而2020年第四季度的非GAAP净收益为人民币5080万元,2021年第三季度的非GAAP净亏损为人民币5.251亿元。非GAAP净亏损利润率为31.0%,而2020年第四季度非GAAP净收益利润率为3.9%,2021年第三季度非GAAP净亏损利润率为54.4%。
  • 综合平均MAU29760万美元,比2020年第四季度的1.247亿美元下降21.7%;比2021年第三季度的1.185亿美元下降17.6%。
  • 组合平均DAU3为2,500万,较2020年第四季的3,230万下降22.6%;较上一季度的2,650万下降5.7%。
  • 每个DAU平均每天花费的时间为43.2分钟,而2020年第四季度为50.3分钟,2021年第三季度为51.9分钟。

Fourth Quarter 2021 Financial Results

2021年第四季度财务业绩

Net revenues in the fourth quarter of 2021 were RMB881.1 million (US$138.3 million), a decrease of 32.3% from RMB1,302.4 million in the fourth quarter of 2020, and a decrease of 8.7% from RMB965.5 million in the third quarter of 2021.

净收入2021年第四季度为人民币8.811亿元(1.383亿美元),较2020年第四季度的人民币13.024亿元减少32.3%,较2021年第三季度的人民币9.655亿元减少8.7%。

Advertising and marketing revenues were RMB821.8 million (US$129.0 million) in the fourth quarter of 2021, a decrease of 33.8% from RMB1,241.9 million in the fourth quarter of 2020, primarily due to the tightening regulatory environment in internet and technology sector which, to some extent, resulted in constrained budgets of advertisers.

广告和营销收入于2021年第四季录得人民币8.218亿元(1.29亿美元),较2020年第四季的人民币12.419亿元减少33.8%,主要是由于互联网及科技行业的监管环境收紧,在一定程度上导致广告商的预算紧张。

Other revenues were RMB59.4 million (US$9.3 million) in the fourth quarter of 2021, a slight decrease of 1.8% from RMB60.5 million in the fourth quarter of 2020.

其他收入于2021年第四季为人民币5,940万元(930万美元),较2020年第四季的人民币6,050万元轻微下降1.8%。

Cost of revenues were RMB199.1million (US$31.2 million) in the fourth quarter of 2021, a decrease of 54.9% from RMB441.7 million in the fourth quarter of 2020, primarily attributable to decreases in IT infrastructure costs; gaming revenue sharing; integrated marketing service costs which are in line with the decrease in integrated marketing service revenues; and costs related to live-streaming revenue sharing and compensation expenses.

收入成本于2021年第四季为人民币1.991亿元(3,120万美元),较2020年第四季的人民币4.417亿元减少54.9%,主要由于资讯科技基础设施成本下降;博彩收入分成;整合营销服务成本与整合营销服务收入减少一致;以及与直播收入分成及薪酬开支相关的成本。

Gross profit was RMB682.0 million (US$107.0 million) in the fourth quarter of 2021, a decrease of 20.8% from RMB860.7 million in the fourth quarter of 2020. Gross margin was 77.4%, compared to 66.1% in the fourth quarter of 2020. The improved gross margin was primarily attributed to changes in product mix.

毛利2021年第四季度为人民币6.82亿元(1.07亿美元),较2020年第四季度的人民币8.607亿元减少20.8%。毛利率为77.4%,而2020年第四季度为66.1%。毛利率的提高主要归因于产品结构的变化。

Research and development expenses were RMB88.7 million (US$13.9 million) in the fourth quarter of 2021, a decrease of 55.6% from RMB199.7 million in the fourth quarter of 2020 primarily due to a reduction in overall research and development headcount and consequentially the decrease in compensation expenses, including share-based compensations.

研发费用于二零二一年第四季的总利润为人民币88,700,000元(13,900,000美元),较二零二零年第四季的人民币199,700,000元减少55.6%,主要是由于整体研发员工人数减少及相应的薪酬开支(包括股份薪酬)减少所致。

Sales and marketing expenses were RMB796.0 million (US$124.9 million) in the fourth quarter of 2021, an increase of 17.0% from RMB680.3 million in the fourth quarter of 2020, primarily due to the expansion of Midu Novels. Sales and marketing expenses as a percentage of net revenues were 90.3% in the fourth quarter of 2021, compared to 52.2% in the fourth quarter of 2020.

销售和市场营销费用于2021年第四季度录得人民币7.96亿元(1.249亿美元),较2020年第四季度的人民币6.803亿元增长17.0%,主要由于弥渡小说的扩张。2021年第四季度,销售和营销费用占净收入的比例为90.3%,而2020年第四季度为52.2%。

User engagement expenses were RMB156.5 million (US$24.6 million) in the fourth quarter of 2021, representing a decrease of 4.1% year-over-year. User engagement expenses per DAU per day were RMB 0.07 in the fourth quarter of 2021, compared to RMB0.05 in the fourth quarter of 2020.

用户参与度费用2021年第四季度为人民币1.565亿元(合2460万美元),同比下降4.1%。2021年第四季度,每个DAU每天的用户参与度费用为0.07元人民币,而2020年第四季度为0.05元人民币。

User acquisition expenses were RMB599.8 million (US$94.1 million) in the fourth quarter of 2021, an increase of 51.0% year-over-year. User acquisition expenses consist of the costs of both word-of-mouth referrals and third-party marketing. The year-over-year increase was primarily due to the expansion of Midu Novels. User acquisition expenses per new installed user4 in the fourth quarter of 2021 were RMB8.26, compared to RMB7.89 in the fourth quarter of 2020.

用户获取费用2021年第四季度为人民币5.998亿元(合9410万美元),同比增长51.0%。用户获取费用包括口碑推荐和第三方营销的成本。同比增长主要是由于弥渡小说的扩张。每位新安装用户的用户获取费用42021年第四季度为人民币8.26元,而2020年第四季度为人民币7.89元。

Other sales and marketing expenses were RMB39.7 million (US$6.2 million) in the fourth quarter of 2021, representing a decrease of 66.9% year-over-year from RMB119.9 million in the fourth quarter of 2020, primarily due to an overall headcount reduction in sales personnel and consequentially the decrease in compensations as well as ESOP expenses and decrease in brand promotion expenses.

其他销售和营销费用于2021年第四季为人民币3,970万元(620万美元),较2020年第四季的人民币1199万元按年减少66.9%,主要由于销售人员整体裁员及相应减少薪酬及员工持股计划开支及品牌推广开支所致。

General and administrative expenses were RMB62.6 million (US$9.8 million) in the fourth quarter of 2021, a decrease of 33.7% from RMB94.4 million in the fourth quarter of 2020, mainly due to a reduction in overall administrative headcount and consequentially the decrease in compensations as well as ESOP expenses. The decrease was partially offset by an increase in additional expected credit loss provision recorded in the fourth quarter of 2021 under ASC 326, Measurement of Credit Losses on Financial Instruments.

一般和行政费用本集团于2021年第四季录得人民币62,600,000元(9,800,000美元),较2020年第四季的人民币9,440万元减少33.7%,主要由于整体行政人手减少及相应的薪酬及员工持股计划开支减少所致。这一减幅被2021年第四季度在ASC 326(金融工具信贷损失计量)项下录得的额外预期信贷损失准备金的增加部分抵消。

Loss from operations was RMB247.8 million (US$38.9 million) in the fourth quarter of 2021, compared to RMB90.1 million in the fourth quarter of 2020. Operating loss margin was 28.1%, compared to 6.9% in the fourth quarter of 2020.

运营亏损2021年第四季度为人民币2.478亿元(合3890万美元),而2020年第四季度为人民币9010万元。营业亏损率28.1%,而2020年第四季度为6.9%。

Non-operating loss was RMB45.2 million (US$7.1 million) in the fourth quarter of 2021, which mainly included investment loss of RMB36.8 million due to impairment loss on certain investments as well as net interest expenses of RMB8.3 million. Non-operating gain for the fourth quarter of 2020 was RMB7.9 million, which mainly included RMB20.0 million gain associated with fair value changes on long-term investments, offset by net interest expenses of RMB9.5 million.

营业外亏损于2021年第四季度为人民币4520万元(710万美元),主要包括因若干投资减值损失而产生的投资亏损人民币3680万元及利息支出净额人民币830万元。2020年第四季度营业外收益为人民币790万元,主要包括与长期投资公允价值变动相关的收益人民币2000万元,被净利息支出人民币950万元所抵消。

Non-GAAP loss from operations was RMB223.3 million (US$35.0 million) in the fourth quarter of 2021, compared to a Non-GAAP gain from operations of RMB42.5 million in the fourth quarter of 2020.

非公认会计准则运营损失2021年第四季度为人民币2.233亿元(合3500万美元),而2020年第四季度的非公认会计准则运营收益为人民币4250万元。

Non-GAAP operating loss margin was 25.3% in the fourth quarter of 2021, compared to a Non-GAAP operating gain margin of 3.3% in the fourth quarter of 2020.

非公认会计准则营业亏损利润率2021年第四季度为25.3%,而2020年第四季度非GAAP运营利润率为3.3%。

Net loss was RMB298.0 million (US$46.8 million) in the fourth quarter of 2021, compared to RMB81.8 million in the fourth quarter of 2020. Net loss margin was 33.8%, compared to 6.3% in the fourth quarter of 2020.

净亏损2021年第四季度为人民币2.98亿元(合4680万美元),而2020年第四季度为人民币8180万元。净亏损率为33.8%,而2020年第四季度为6.3%。

Non-GAAP net loss was RMB273.5 million (US$42.9 million) in the fourth quarter of 2021, compared to a Non-GAAP net gain of RMB50.8 million in the fourth quarter of 2020. Non-GAAP net loss margin was 31.0%, compared to a Non-GAAP net gain margin of 3.9% in the fourth quarter of 2020.

非公认会计准则净亏损2021年第四季度的净收益为人民币2.735亿元(合4290万美元),而2020年第四季度的非公认会计准则净收益为人民币5080万元。非GAAP净亏损利润率为31.0%,而2020年第四季度非GAAP净利润率为3.9%。

Net loss attributable to Qutoutiao Inc.'s ordinary shareholders was RMB326.3 million (US$51.2 million) in the fourth quarter of 2021, compared to RMB78.7 million in the fourth quarter of 2020.

趣头条公司普通股股东应占净亏损2021年第四季度为人民币3.263亿元(合5120万美元),而2020年第四季度为人民币7870万元。

Non-GAAP net loss attributable to Qutoutiao Inc.'s ordinary shareholders was RMB301.8 million (US$47.4 million) in the fourth quarter of 2021, compared to RMB54.0 million in the fourth quarter of 2020.

趣头条股份有限公司普通股的非公认会计准则净亏损 股东2021年第四季度为人民币3.018亿元(合4740万美元),而2020年第四季度为人民币5400万元。

Basic and diluted net loss per American Depositary Share ("ADS") was RMB10.69 (US$1.68) in the fourth quarter of 2021. Non-GAAP basic and diluted net loss per ADS was RMB9.88 (US$1.55) in the fourth quarter of 2021.

每股美国存托股份基本及摊薄净亏损(“美国存托股份”)2021年第四季度为人民币10.69元(合1.68美元)。每美国存托股份非公认会计准则基本和摊薄净亏损2021年第四季度为9.88元人民币(1.55美元)。

Balance Sheet

资产负债表

As of December 31, 2021, the Company had cash, cash equivalents, restricted cash and short-term investments of RMB658.9 million (US$103.4 million), compared to RMB985.8 million as of December 31, 2020.

截至2021年12月31日,公司的现金、现金等价物、限制性现金和短期投资为人民币6.589亿元(1.034亿美元),而截至2020年12月31日的现金、现金等价物和短期投资为人民币9.858亿元。

The Group has incurred accumulated and recurring losses from operations, and cash outflows from operating activities. As of December 31, 2021, the Company had a negative working capital. In addition, the convertible loan of the Company with principal amount of US$171.1 million (RMB1,109.3 million) had the original maturity date on April 4, 2022.

本集团已产生经营累积及经常性亏损,以及经营活动的现金流出。截至2021年12月31日,公司营运资金为负。此外,本公司本金为1.711亿美元(人民币11.093亿元)的可转换贷款的到期日为2022年4月4日。

The Company is currently exploring a variety of measures to improve the Group's liquidity and financial position, which include continuing efforts to optimize its user loyalty programs and traffic acquisition strategy to efficiently control and reduce costs and continuing to be selective in its content and better leverage its existing content varieties to attract and maintain users. These measures can in turn lead to savings in user related costs. The Company is also planning to preserve liquidity and manage cash flows by reducing expenditure on developing and maintaining smaller and novel applications and limiting other general and administrative expenses, to obtain additional external financing and funds through, including but not limited to, additional credit facilities obtained from banks in the normal course of business, potential additional issuances of equity and/or debt as a Group or through its subsidiaries, and sale of its assets, including the Group's equity interest in its subsidiaries, to third parties.

本公司目前正探讨多项措施以改善本集团的流动资金及财务状况,包括继续努力优化其用户忠诚度计划及流量获取策略,以有效控制及降低成本,并继续精挑细选其内容,以及更好地利用其现有的内容品种以吸引及维持用户。这些措施反过来可以节省与用户相关的成本。本公司亦正计划透过减少开发及维持较小及新颖应用的开支及限制其他一般及行政开支,以维持流动资金及管理现金流,以获得额外的外部融资及资金,包括但不限于在正常业务过程中从银行取得额外信贷、作为一个集团或其附属公司或透过其附属公司可能额外发行股本及/或债务,以及向第三方出售其资产,包括本集团于其附属公司的股权。

The Company and the creditor entered into two supplemental agreements to the original convertible loan agreement on March 28, 2022 and April 29, 2022, respectively. According to the supplemental agreements, the original convertible loan has been extended to May 28, 2022. The total amount of principal and accumulated interest as of May 28, 2022 will be approximately RMB1.5 billion. The Company cannot assure that it will be able to further extend the maturity date of the convertible loan.

本公司与债权人分别于2022年3月28日及2022年4月29日就原可转换贷款协议订立两项补充协议。根据补充协议,原可转换贷款延期至2022年5月28日。截至2022年5月28日的本金和累计利息总额约为人民币15亿元。公司不能保证能够进一步延长可转换贷款的到期日。

Facts and circumstances including accumulated and recurring losses from operations, net cash used in operating activities, negative working capital and uncertainties on the repayment of the convertible loan, raise substantial doubt about the Group's ability to continue as a going concern. The fourth quarter and fiscal year 2021 unaudited financial information does not include any adjustment that is reflective of this uncertainty.

经营累积及经常性亏损、营运活动所用现金净额、负营运资金及偿还可换股贷款的不确定性等事实及情况,令人对本集团作为持续经营企业的持续经营能力产生重大怀疑。第四季度和2021财年未经审计的财务信息不包括反映这种不确定性的任何调整。

Fiscal Year 2021 Financial Results

2021财年财务业绩

Net revenues in the fiscal year of 2021 were RMB4,339.6 million (US$681.0 million), a decrease of 17.9% from RMB5,285.2 million in the fiscal year of 2020.

净收入2021财年为人民币43.396亿元(合6.81亿美元),较2020财年的人民币52.852亿元减少17.9%。

Advertising and marketing revenues were RMB4,090.4 million (US$641.9 million) in the fiscal year of 2021, a decrease of 19.0% from RMB5,046.8 million in the prior year, primarily due to the tightening regulatory environment in internet and technology sector which, to some extent, resulted in constrained budgets of advertisers.

广告和营销收入于二零二一年财政年度,本集团盈利为人民币4,090,000,000元(641.9,000,000美元),较上一年度的人民币5,046,800,000元减少19.0%,主要是由于互联网及科技行业的监管环境收紧,在一定程度上导致广告商的预算受到限制。

Other revenues were RMB249.2 million (US$39.1 million) in the fiscal year of 2021, an increase of 4.6% from RMB238.4 million in the fiscal year of 2020.

其他收入2021财年为人民币2.492亿元(合3,910万美元),较2020财年的人民币2.384亿元增长4.6%。

Cost of revenues was RMB1,171.6 million (US$183.9 million) in the fiscal year of 2021, a decrease of 30.0% from RMB1,674.4 million in the fiscal year of 2020, primarily attributable to the decrease in bandwidth and IT infrastructure costs, integrated marketing service costs which are in line with the decrease in integrated marketing service revenues, salaries and benefits associated with content management personnel as well as live-streaming and online games revenue share. The decrease was partially offset by an increase in Midu content procurement costs.

收入成本于2021财政年度为人民币11.716亿元(1.839亿美元),较2020财政年度的人民币16.744亿元减少30.0%,主要由于带宽及资讯科技基础设施成本下降、整合营销服务成本与整合营销服务收入、与内容管理人员相关的薪酬及福利、直播及网络游戏收入占比下降所致。MIDU内容采购成本的增加部分抵消了这一减少。

Gross profit was RMB3,168.0 million (US$497.1 million) in the fiscal year of 2021, a decrease of 12.3% from RMB3,610.8 million in the prior year. Gross margin was 73.0%, compared to 68.3% in the fiscal year of 2020.

毛利2021财年为人民币31.68亿元(合4.971亿美元),较上一财年的人民币36.108亿元减少12.3%。毛利率为73.0%,而2020财年为68.3%。

Research and development expenses were RMB551.6 million (US$86.6 million) in the fiscal year of 2021, a decrease of 41.8% from RMB947.9 million in the prior year, primarily due to the reduction in research and development headcount and sequentially a decrease in salaries as well as ESOP expenses.

研发费用本公司于2021财政年度的利润为人民币5.516亿元(合86.6百万美元),较上一年度的人民币9.479亿元减少41.8%,主要是由于研发人手减少及随后的薪酬及员工持股计划开支减少所致。

Sales and marketing expenses were RMB3,483.8 million (US$546.9 million) in the fiscal year of 2021, a slight increase of 3.0% from RMB3,381.6 million in the fiscal year of 2020.

销售和市场营销费用2021财年为人民币34.838亿元(合5.469亿美元),较2020财年的人民币33.816亿元略有增长3.0%。

General and administrative expenses were RMB431.9 million (US$67.8 million) in the fiscal year of 2021, an increase of 10.0% from RMB392.8 million in the fiscal year of 2020, primarily due to an increase in additional expected credit loss provision recorded in 2021 under ASC 326, Measurement of Credit Losses on Financial Instruments, which was partially offset by decrease in salaries as well as other administrative expenses.

一般和行政费用于二零二一年财政年度录得人民币4.319亿元(6,780万美元),较二零二零年财政年度人民币三亿九千二百八十万元增长10.0%,主要是由于根据ASC 326“金融工具信贷损失计量”于二零二一年录得的额外预期信贷损失拨备有所增加,但因薪金及其他行政开支的减少而部分抵销。

Loss from operations was RMB1,193.2 million (US$187.2 million), compared to RMB1,032.2 million in the fiscal year of 2020. Operating loss margin was 27.5%, compared to 19.5% in the fiscal year of 2020.

运营亏损为人民币11.932亿元(1.872亿美元),而2020财年为人民币10.322亿元。营业亏损率为27.5%,而2020财年为19.5%。

Non-GAAP loss from operations was RMB993.0 million (US$155.8 million), compared to RMB569.0 million in the fiscal year of 2020. Non-GAAP operating loss margin was 22.9%, compared to non-GAAP operating loss margin of 10.8% in the fiscal year of 2020.

非公认会计准则运营损失为人民币9.93亿元(合1.558亿美元),而2020财年为人民币5.69亿元。非公认会计准则营业亏损利润率为22.9%,而2020财年非GAAP营业亏损利润率为10.8%。

Net loss was RMB1,240.2 million (US$194.6 million) in the fiscal year of 2021, compared to a net loss of RMB1,105.2 million in the fiscal year of 2020. Net loss margin was 28.6%, compared to 20.9% in the fiscal year of 2020.

净亏损2021财年的净亏损为人民币12.402亿元(1.946亿美元),而2020财年的净亏损为人民币11.052亿元。净亏损率为28.6%,而2020财年为20.9%。

Non-GAAP net loss was RMB1,040.0 million (US$163.2 million), compared to Non-GAAP net loss of RMB642.0 million in the fiscal year of 2020. Non-GAAP net loss margin was 24.0%, compared to 12.1% in the fiscal year of 2020.

非公认会计准则净亏损为人民币10.4亿元(合1.632亿美元),而2020财年非公认会计准则净亏损人民币6.42亿元。非GAAP净亏损利润率为24.0%,而2020财年为12.1%。

Net loss attributable to Qutoutiao Inc.'s ordinary shareholders was RMB1,348.5 million (US$211.6 million), compared to RMB1,137.9 million in the fiscal year of 2020. Non-GAAP net loss attributable to Qutoutiao Inc.'s ordinary shareholders was RMB1,148.3 million (US$180.2 million), compared to RMB674.7 million in the fiscal year of 2020.

可归因于趣头条公司普通股东为人民币13.485亿元(合2.116亿美元),而2020财年为人民币11.379亿元。趣头条股份有限公司普通股的非公认会计准则净亏损 股东为人民币11.483亿元(1.802亿美元),而2020财年为人民币6.747亿元。

Recent Development

最新发展

Change to the Board of Directors

董事会的变动

Mr. Lei Li resigned as Vice Chairman of the Board of Directors of the Company due to personal reasons. The resignation became effective on April 29, 2022. Following his resignation, the Board of the Company is now comprised of five members.

雷丽先生因个人原因辞去公司董事会副主席职务。辞职于2022年4月29日生效。在他辞职后,公司董事会目前由五名成员组成。

About Qutoutiao Inc.

趣头条公司简介

Qutoutiao Inc. operates a mobile content platforms in China with a mission to bring fun and value to its users. The eponymous mobile application, Qutoutiao, meaning "fun headlines" in Chinese, applies artificial intelligence-based algorithms to deliver customized feeds of articles and short videos to users based on their unique profiles, interests and behaviors. Qutoutiao has attracted a large group of users, many of whom are from lower-tier cities in China. They enjoy Qutoutiao's fun and entertainment-oriented content as well as its social-based user loyalty program. Midu, first launched in May 2018 as Midu Novels and with an alternative version Midu Lite launched one year later, pioneered provision of free online literature supported by advertising. It has been one of the market leaders of the free online literature industry since inception. The Company will continue to bring more exciting products to users through innovation, and strive towards creating a leading global online content ecosystem.

趣头条公司在中国运营移动内容平台,其使命是为用户带来乐趣和价值。同名移动应用趣头条,在中文中的意思是“有趣的标题”,它应用基于人工智能的算法,根据用户独特的个人资料、兴趣和行为,向他们提供定制的文章和短视频提要。趣头条吸引了一大批用户,其中许多人来自中国的二三线城市。他们喜欢趣头条的趣味性和娱乐性内容,以及基于社交的用户忠诚度计划。弥渡于2018年5月首次推出,当时是弥渡小说,一年后推出了替代版本弥渡精简版,率先提供由广告支持的免费网络文学。自成立以来,它一直是免费网络文学行业的市场领先者之一。公司将继续通过创新为用户带来更多令人兴奋的产品,努力打造全球领先的在线内容生态系统。

For more information, please visit:

如需更多信息,请访问:

Use of Non-GAAP Financial Measures

非公认会计准则财务计量的使用

We use non-GAAP profit or loss from operations, non-GAAP operating profit or loss margin, non-GAAP net profit loss, non-GAAP net profit or loss margin, non-GAAP net profit or loss attributable to Qutoutiao Inc.'s ordinary shareholders and non-GAAP basic and diluted net profit or loss per ADS, which are non-GAAP financial measures, in evaluating our operating results and for financial and operational decision-making purposes. Each of these non-GAAP financial measures represents the corresponding GAAP financial measure before share-based compensation expenses. We believe that such non-GAAP financial measures help identify underlying trends in our business that could otherwise be distorted by the effect of such share-based compensation expenses that we include in cost of revenues, total operating expenses and net loss. We believe that all such non-GAAP financial measures also provide useful information about our operating results, enhance the overall understanding of our past performance and future prospects and allow for greater visibility with respect to key metrics used by our management in its financial and operational decision-making.

我们使用非公认会计准则财务指标--非公认会计准则营业利润或亏损、非公认会计准则净利润亏损、非公认会计准则净利润或亏损、非公认会计准则净利润或亏损、趣头条股份有限公司普通股股东应占非公认会计准则净利润或亏损以及美国存托股份的非公认会计准则基本和摊薄净利润或亏损来评估我们的经营业绩,并用于财务和经营决策。这些非GAAP财务指标中的每一个都代表了基于股份的薪酬支出之前相应的GAAP财务指标。我们相信,这些非公认会计准则财务指标有助于识别我们业务的潜在趋势,否则这些趋势可能会被我们计入收入成本、总运营费用和净亏损的基于股份的薪酬费用的影响所扭曲。我们认为,所有这些非GAAP财务指标也提供了有关我们经营业绩的有用信息,增强了对我们过去业绩和未来前景的整体了解,并允许我们的管理层在财务和运营决策中使用的关键指标更具可见性。

The non-GAAP financial measures are not defined under U.S. GAAP and are not presented in accordance with U.S. GAAP. They should not be considered in isolation or construed as alternatives to net loss or any other measure of performance prepared in accordance with U.S. GAAP or as an indicator of our operating performance. We mitigate these limitations by reconciling the non-GAAP financial measures to the most comparable U.S. GAAP performance measures, all of which should be considered when evaluating our performance. For more information on these non-GAAP financial measures, please see the table captioned "Reconciliations of GAAP and Non-GAAP Results" set forth at the end of this press release.

非GAAP财务指标不是根据美国GAAP定义的,也不是根据美国GAAP列报的。它们不应被孤立地考虑,或被解释为净亏损或根据美国公认会计原则编制的任何其他业绩衡量标准的替代方案,或作为我们经营业绩的指标。我们通过将非GAAP财务指标与最具可比性的美国GAAP业绩指标进行协调来缓解这些限制,所有这些指标在评估我们的业绩时都应得到考虑。有关这些非GAAP财务指标的更多信息,请参阅本新闻稿末尾标题为“GAAP和非GAAP结果的调整”的表格。

Exchange Rate Information

汇率信息

This announcement contains translations of certain RMB amounts into U.S. dollars at a specified rate solely for the convenience of the reader. Unless otherwise noted, all translations from RMB to U.S. dollars are made at a rate of RMB6.3726 to US$1.00, the rate in effect as of December 31, 2021 as set forth in the H.10 statistical release of the Federal Reserve Board. The Company makes no representation that the RMB or US$ amounts referred could be converted into US$ or RMB, as the case may be, at any particular rate or at all.

为方便读者,本公告包含按特定汇率将某些人民币金额转换为美元的内容。除特别说明外,所有人民币兑换成美元的汇率为6.3726元人民币兑1.00美元,这是美国联邦储备委员会发布的H.10统计数据中自2021年12月31日起生效的汇率。本公司并不表示所指的人民币或美元金额可按任何特定汇率或完全兑换成美元或人民币(视属何情况而定)。

Safe Harbor Statement

安全港声明

This announcement contains forward-looking statements. These statements are made under the "safe harbor" provisions of the United States Private Securities Litigation Reform Act of 1995. These forward-looking statements can be identified by terminology such as "will," "expects," "anticipates," "future," "intends," "plans," "believes," "estimates" and similar statements. Statements that are not historical facts, including statements about Qutoutiao's beliefs, plans and expectations, are forward-looking statements. Among other things, the "Business Outlook" section and quotations from management in this announcement, contain forward-looking statements. Forward-looking statements involve inherent risks and uncertainties. A number of factors could cause actual results to differ materially from those contained in any forward-looking statement, including but not limited to the following: Qutoutiao's strategies; Qutoutiao's future business development, financial condition and results of operations; Qutoutiao's ability to retain and increase the number of users and provide quality content; competition in the mobile content platform industry; Qutoutiao's ability to manage its costs and expenses; the future developments of the COVID-19 pandemic; general economic and business conditions globally and in China; and assumptions underlying or related to any of the foregoing. Further information regarding these and other risks is included in Qutoutiao's filings with the SEC. All information provided in this press release is as of the date of this press release, and Qutoutiao does not undertake any obligation to update any forward-looking statement, except as required under applicable law.

本公告包含前瞻性陈述。这些声明是根据1995年美国私人证券诉讼改革法中的“安全港”条款作出的。这些前瞻性陈述可以通过“将”、“预期”、“预期”、“未来”、“打算”、“计划”、“相信”、“估计”和类似的表述来识别。非历史事实的陈述,包括有关趣头条的信念、计划和期望的陈述,均为前瞻性陈述。除其他事项外,本公告中的“业务展望”部分和管理层的引述包含前瞻性陈述。前瞻性陈述包含固有的风险和不确定性。许多因素可能会导致实际结果与前瞻性表述中的内容存在实质性差异,这些因素包括但不限于:趣头条的战略;趣头条未来的业务发展、财务状况和经营业绩;趣头条留住和增加用户数量及提供优质内容的能力;移动内容平台行业的竞争;趣头条管理成本与开支的能力;新冠肺炎疫情的未来发展;全球及中国的总体经济、商业形势;以及上述任何假设或相关的假设。有关这些风险和其他风险的更多信息,请参见趣头条提交给美国证券交易委员会的文件。本新闻稿中提供的所有信息均为截至本新闻稿发布之日,除适用法律要求外,趣头条不承担任何更新任何前瞻性陈述的义务。

For investor and media inquiries, please contact:

投资者和媒体查询,请联系:

Qutoutiao Inc.
Investor Relations
Tel: +86-21-5889-0398
E-mail: ir@qutoutiao.net

趣头条股份有限公司
投资者关系
电话:+86-21-5889-0398
电子邮件:ir@quoutiao.net

QUTOUTIAO INC.
UNAUDITED CONDENSED CONSOLIDATED BALANCE SHEETS
(All amounts in thousand RMB, or otherwise noted)

趣头条股份有限公司
未经审计的简明综合资产负债表
(所有金额均以千元人民币计,或另行注明)

    As of December 31,     As of December 31,  
    2020     2021  
ASSETS                
Current assets:                
Cash and cash equivalents     494,475       240,351  
Restricted cash     100,316       75,482  
Short-term investments     391,033       343,017  
Accounts receivable, net     737,789       770,919  
Amount due from related parties     383,594       259,863  
Prepayments and other current assets     365,109       172,877  
Total current assets     2,472,316       1,862,509  
Non-current assets:                
Accounts receivables, non-current     54,639       -  
Long-term Investments     82,889       1,416  
Property and equipment, net     17,213       12,861  
Intangible assets     83,123       165,270  
Goodwill     7,268       7,268  
Right-of-use assets, net     50,319       26,342  
Other non-current assets     148,091       4,809  
Total non-current assets     443,542       217,966  
Total assets     2,915,858       2,080,475  
LIABILITIES, REDEEMABLE NON-CONTROLLING INTEREST AND SHAREHOLDERS' EQUITY                
Current liabilities:                
Short-term borrowings     70,000       20,000  
Accounts payable     448,981       313,768  
Amount due to related parties     22,477       6,928  
Registered users' loyalty payable     72,627       61,691  
Advance from customers and deferred revenue     140,776       122,597  
Salary and welfare payable     149,704       65,987  
Tax payable     97,144       43,879  
Lease liabilities, current     20,760       11,897  
Accrued liabilities related to users' loyalty programs     100,088       99,360  
Accrued liabilities and other current liabilities     763,433       1,334,603  
Convertible loan - current     -       1,182,963  
Total current liabilities     1,885,990       3,263,673  
Lease liabilities, non-current     23,756       15,985  
Convertible loan     1,174,868       -  
Deferred tax liabilities     18,825       16,422  
Other non-current liabilities     4,256       1,733  
Non-current liabilities     1,221,705       34,140  
Total liabilities     3,107,695       3,297,813  
Total redeemable non-controlling interests     1,093,526       1,172,218  
Shareholders' deficit                
Ordinary shares     47       50  
Treasury stock     (142,229 )     (142,229 )
Additional paid-in capital     4,784,315       4,979,353  
Accumulated other comprehensive income     84,320       129,010  
Accumulated deficit     (6,007,227 )     (7,355,740 )
Total Qutoutiao Inc. shareholders' deficit     (1,280,774 )     (2,389,556 )
Non-controlling interests     (4,589 )     -  
Total deficit     (1,285,363 )     (2,389,556 )
Total liabilities, redeemable non-controlling interests and shareholders' deficit     2,915,858       2,080,475  
截至12月31日, 截至12月31日,
2020 2021
资产
流动资产:
现金和现金等价物 494,475 240,351
受限现金 100,316 75,482
短期投资 391,033 343,017
应收账款净额 737,789 770,919
关联方应得款项 383,594 259,863
预付款和其他流动资产 365,109 172,877
流动资产总额 2,472,316 1,862,509
非流动资产:
应收账款,非流动 54,639 -
长期投资 82,889 1,416
财产和设备,净额 17,213 12,861
无形资产 83,123 165,270
商誉 7,268 7,268
使用权资产,净额 50,319 26,342
其他非流动资产 148,091 4,809
非流动资产总额 443,542 217,966
总资产 2,915,858 2,080,475
负债、可赎回的非控股权益和股东权益
流动负债:
短期借款 70,000 20,000
应付帐款 448,981 313,768
应付关联方的款项 22,477 6,928
应支付的注册用户忠诚度 72,627 61,691
来自客户的预付款和递延收入 140,776 122,597
应付薪金及福利 149,704 65,987
应缴税款 97,144 43,879
租赁负债,流动 20,760 11,897
与用户忠诚度计划相关的应计负债 100,088 99,360
应计负债和其他流动负债 763,433 1,334,603
可转换贷款-流动贷款 - 1,182,963
流动负债总额 1,885,990 3,263,673
非流动租赁负债 23,756 15,985
可转换贷款 1,174,868 -
递延税项负债 18,825 16,422
其他非流动负债 4,256 1,733
非流动负债 1,221,705 34,140
总负债 3,107,695 3,297,813
可赎回的非控股权益总额 1,093,526 1,172,218
股东亏损
普通股 47 50
库存股 (142,229 ) (142,229 )
额外实收资本 4,784,315 4,979,353
累计其他综合收益 84,320 129,010
累计赤字 (6,007,227 ) (7,355,740 )
趣头条股份有限公司股东亏损总额 (1,280,774 ) (2,389,556 )
非控制性权益 (4,589 ) -
总赤字 (1,285,363 ) (2,389,556 )
总负债、可赎回的非控股权益和股东亏损 2,915,858 2,080,475


QUTOUTIAO INC.

UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS
(All amounts in thousand RMB, except ADS data, or otherwise noted)


趣头条股份有限公司

未经审计的简明合并业务报表
(除美国存托股份数据外,其他金额均以千元计)

    For the three months ended     For the fiscal year ended  
    December 31     September 30     December 31     December 31     December 31  
    2020     2021     2021     2020     2021  
Advertising and marketing revenues     1,241,938       899,215       821,765       5,046,835       4,090,383  
Other revenues     60,453       66,297       59,372       238,360       249,220  
Net revenues     1,302,391       965,512       881,137       5,285,195       4,339,603  
Cost of revenues     (441,691 )     (267,268 )     (199,139 )     (1,674,416 )     (1,171,626 )
Gross profit     860,700       698,244       681,998       3,610,779       3,167,977  
Operating expenses:                                        
Research and development expenses     (199,688 )     (140,014 )     (88,741 )     (947,871 )     (551,612 )
Sales and marketing expenses     (680,261 )     (982,024 )     (795,992 )     (3,381,560 )     (3,483,773 )
General and administrative expenses     (94,389 )     (174,258 )     (62,603 )     (392,816 )     (431,913 )
Total operating expenses     (974,338 )     (1,296,296 )     (947,336 )     (4,722,247 )     (4,467,298 )
Other operating income     23,545       23,883       17,569       79,299       106,098  
Loss from Operations     (90,092 )     (574,169 )     (247,769 )     (1,032,169 )     (1,193,223 )
Investment income/ (expenses), net     19,990       705       (35,856 )     (31,788 )     (36,041 )
Interest expense, net     (9,452 )     (8,107 )     (8,327 )     (27,724 )     (32,303 )
Foreign exchange related gain/(loss), net     (1,571 )     (2 )     (328 )     (7,183 )     (1 )
Other income/(expense), net     (1,033 )     (918 )     (691 )     (7,310 )     27,637  
Non-operating income / (loss)     7,934       (8,322 )     (45,202 )     (74,005 )     (40,708 )
Loss before provision for income taxes     (82,158 )     (582,491 )     (292,971 )     (1,106,174 )     (1,233,931 )
Income tax benefits/ (expense), net     349       (576 )     (2,994 )     1,008       (3,050 )
Equity method loss of affiliate companies     -       (581 )     (2,037 )     -       (3,195 )
Net loss     (81,809 )     (583,648 )     (298,002 )     (1,105,166 )     (1,240,176 )
Net loss attributable to non-controlling interests     250       214       -       727       559  
Net loss attributable to Qutoutiao Inc.     (81,559 )     (583,434 )     (298,002 )     (1,104,439 )     (1,239,617 )
Accretion to convertible redeemable preferred shares redemption
value of a subsidiary
    (11,942 )     (27,698 )     (28,323 )     (48,277 )     (108,896 )
Gains on repurchase of preferred shares     14,842       -       -       14,842       -  
Net loss attributable to Qutoutiao Inc.'s
ordinary shareholders
    (78,659 )     (611,132 )     (326,325 )     (1,137,874 )     (1,348,513 )
Net loss     (81,809 )     (583,648 )     (298,002 )     (1,105,166 )     (1,240,176 )
Other comprehensive income/(loss):                                        
Foreign currency translation adjustment, net of nil tax     67,967       (6,727 )     32,330       102,254       44,690  
Total comprehensive loss     (13,841 )     (590,375 )     (265,672 )     (1,002,912 )     (1,195,486 )
Comprehensive loss attributable to
non-controlling interests
    250       214       -       727       559  
Comprehensive loss attributable to
Qutoutiao Inc.
    (13,591 )     (590,161 )     (265,672 )     (1,002,185 )     (1,194,927 )
Net loss per ADS:                                        
- Basic and diluted     (2.65 )     (20.10 )     (10.69 )     (39.23 )     (44.50 )
Weighted average number of ADS used in computing basic
and diluted earnings per ADS(Note):
                                       
- Basic     29,704,591       30,404,904       30,538,755       29,005,230       30,307,013  
- Diluted     29,704,591       30,404,904       30,538,755       29,005,230       30,307,013  
截至以下三个月 截至本财政年度止
12月31日 9月30日 12月31日 12月31日 12月31日
2020 2021 2021 2020 2021
广告和营销收入 1,241,938 899,215 821,765 5,046,835 4,090,383
其他收入 60,453 66,297 59,372 238,360 249,220
净收入 1,302,391 965,512 881,137 5,285,195 4,339,603
收入成本 (441,691 ) (267,268 ) (199,139 ) (1,674,416 ) (1,171,626 )
毛利 860,700 698,244 681,998 3,610,779 3,167,977
运营费用:
研发费用 (199,688 ) (140,014 ) (88,741 ) (947,871 ) (551,612 )
销售和市场营销费用 (680,261 ) (982,024 ) (795,992 ) (3,381,560 ) (3,483,773 )
一般和行政费用 (94,389 ) (174,258 ) (62,603 ) (392,816 ) (431,913 )
总运营费用 (974,338 ) (1,296,296 ) (947,336 ) (4,722,247 ) (4,467,298 )
其他营业收入 23,545 23,883 17,569 79,299 106,098
运营亏损 (90,092 ) (574,169 ) (247,769 ) (1,032,169 ) (1,193,223 )
投资收益/(费用),净额 19,990 705 (35,856 ) (31,788 ) (36,041 )
利息支出,净额 (9,452 ) (8,107 ) (8,327 ) (27,724 ) (32,303 )
外汇相关收益/(损失),净额 (1,571 ) (2 ) (328 ) (7,183 ) (1 )
其他收入/(支出),净额 (1,033 ) (918 ) (691 ) (7,310 ) 27,637
营业外收入/(亏损) 7,934 (8,322 ) (45,202 ) (74,005 ) (40,708 )
扣除所得税准备前的亏损 (82,158 ) (582,491 ) (292,971 ) (1,106,174 ) (1,233,931 )
所得税优惠/(费用),净额 349 (576 ) (2,994 ) 1,008 (3,050 )
关联公司权益法亏损 - (581 ) (2,037 ) - (3,195 )
净亏损 (81,809 ) (583,648 ) (298,002 ) (1,105,166 ) (1,240,176 )
非控股权益应占净亏损 250 214 - 727 559
趣头条公司应占净亏损。 (81,559 ) (583,434 ) (298,002 ) (1,104,439 ) (1,239,617 )
增加可转换可赎回优先股赎回
附属公司的价值
(11,942 ) (27,698 ) (28,323 ) (48,277 ) (108,896 )
优先股回购收益 14,842 - - 14,842 -
可归因于趣头条公司的净亏损
普通股东
(78,659 ) (611,132 ) (326,325 ) (1,137,874 ) (1,348,513 )
净亏损 (81,809 ) (583,648 ) (298,002 ) (1,105,166 ) (1,240,176 )
其他综合收益/(亏损):
外币折算调整,扣除零税净额 67,967 (6,727 ) 32,330 102,254 44,690
全面损失总额 (13,841 ) (590,375 ) (265,672 ) (1,002,912 ) (1,195,486 )
可归因于
非控制性权益
250 214 - 727 559
可归因于
趣头条股份有限公司
(13,591 ) (590,161 ) (265,672 ) (1,002,185 ) (1,194,927 )
每美国存托股份净亏损:
-基本的和稀释的 (2.65 ) (20.10 ) (10.69 ) (39.23 ) (44.50 )
基础计算中使用的美国存托股份加权平均数
和稀释后的每股美国存托股份收益(注):
-基本 29,704,591 30,404,904 30,538,755 29,005,230 30,307,013
-稀释 29,704,591 30,404,904 30,538,755 29,005,230 30,307,013


QUTOUTIAO INC.

Reconciliation of GAAP And Non-GAAP Results
(All amounts in thousand RMB, except ADS data, or otherwise noted)


趣头条股份有限公司

对公认会计原则和非公认会计原则结果的核对
(除美国存托股份数据外,其他金额均以千元计)

    For the three months ended     For the fiscal year ended  
    December 31     September 30     December 31     December 31     December 31  
    2020     2021     2021     2020     2021  
Loss from Operations     (90,092 )     (574,169 )     (247,769 )     (1,032,169 )     (1,193,223 )
Add: Share-based compensation expenses                                        
Cost of revenues     1,982       170       21       12,905       1,187  
General and administrative     44,714       12,822       7,115       159,320       64,039  
Sales and marketing     39,252       23,230       6,582       86,656       32,122  
Research and development     46,669       22,280       10,789       204,333       102,838  
Non-GAAP Income/(Loss) from Operations     42,525       (515,667 )     (223,262 )     (568,955 )     (993,038 )
Net loss     (81,809 )     (583,648 )     (298,002 )     (1,105,166 )     (1,240,176 )
Add: Share-based compensation expenses                                        
Cost of revenues     1,982       170       21       12,905       1,187  
General and administrative     44,714       12,822       7,115       159,320       64,039  
Sales and marketing     39,252       23,230       6,582       86,656       32,122  
Research and development     46,669       22,280       10,789       204,333       102,838  
Non-GAAP net income/(loss)     50,808       (525,146 )     (273,495 )     (641,952 )     (1,039,990 )
Net loss attributable to Qutoutiao Inc.     (81,559 )     (583,434 )     (298,002 )     (1,104,439 )     (1,239,617 )
Add: Share-based compensation expenses                                        
Cost of revenues     1,982       170       21       12,905       1,187  
General and administrative     44,714       12,822       7,115       159,320       64,039  
Sales and marketing     39,252       23,230       6,582       86,656       32,122  
Research and development     46,669       22,280       10,789       204,333       102,838  
Non-GAAP net income/(loss)
attributable to Qutoutiao Inc.
    51,058       (524,932 )     (273,495 )     (641,225 )     (1,039,431 )
Net loss attributable to
Qutoutiao Inc.'s ordinary shareholders
    (78,659 )     (611,132 )     (326,325 )     (1,137,874 )     (1,348,513 )
Add: Share-based compensation expenses                                        
Cost of revenues     1,982       170       21       12,905       1,187  
General and administrative     44,714       12,822       7,115       159,320       64,039  
Sales and marketing     39,252       23,230       6,582       86,656       32,122  
Research and development     46,669       22,280       10,789       204,333       102,838  
Non-GAAP net income/(loss) attributable to
Qutoutiao Inc.'s ordinary shareholders
    53,958       (552,630 )     (301,818 )     (674,660 )     (1,148,327 )
Non-GAAP net income/(loss) per ADS:                                        
— Basic     1.82       (18.18 )     (9.88 )     (23.26 )     (37.89 )
— Diluted     1.79       (18.18 )     (9.88 )     (23.26 )     (37.89 )
Weighted average number of ADS used in computing basic
and diluted earnings per ADS (Note)
                                       
— Basic     29,704,591       30,404,904       30,538,755       29,005,230       30,307,013  
— Diluted     30,065,951       30,404,904       30,538,755       29,005,230       30,307,013  
截至以下三个月 截至本财政年度止
12月31日 9月30日 12月31日 12月31日 12月31日
2020 2021 2021 2020 2021
运营亏损 (90,092 ) (574,169 ) (247,769 ) (1,032,169 ) (1,193,223 )
新增:基于股份的薪酬支出
收入成本 1,982 170 21 12,905 1,187
一般和行政 44,714 12,822 7,115 159,320 64,039
销售和市场营销 39,252 23,230 6,582 86,656 32,122
研发 46,669 22,280 10,789 204,333 102,838
非公认会计准则营业收入/(亏损) 42,525 (515,667 ) (223,262 ) (568,955 ) (993,038 )
净亏损 (81,809 ) (583,648 ) (298,002 ) (1,105,166 ) (1,240,176 )
新增:基于股份的薪酬支出
收入成本 1,982 170 21 12,905 1,187
一般和行政 44,714 12,822 7,115 159,320 64,039
销售和市场营销 39,252 23,230 6,582 86,656 32,122
研发 46,669 22,280 10,789 204,333 102,838
非公认会计准则净收益/(亏损) 50,808 (525,146 ) (273,495 ) (641,952 ) (1,039,990 )
趣头条公司应占净亏损。 (81,559 ) (583,434 ) (298,002 ) (1,104,439 ) (1,239,617 )
新增:基于股份的薪酬支出
收入成本 1,982 170 21 12,905 1,187
一般和行政 44,714 12,822 7,115 159,320 64,039
销售和市场营销 39,252 23,230 6,582 86,656 32,122
研发 46,669 22,280 10,789 204,333 102,838
非公认会计准则净收益/(亏损)
归因于趣头条公司。
51,058 (524,932 ) (273,495 ) (641,225 ) (1,039,431 )
可归因于
趣头条股份有限公司普通股股东
(78,659 ) (611,132 ) (326,325 ) (1,137,874 ) (1,348,513 )
新增:基于股份的薪酬支出
收入成本 1,982 170 21 12,905 1,187
一般和行政 44,714 12,822 7,115 159,320 64,039
销售和市场营销 39,252 23,230 6,582 86,656 32,122
研发 46,669 22,280 10,789 204,333 102,838
非公认会计准则净收益/(亏损)可归因于
趣头条股份有限公司普通股股东
53,958 (552,630 ) (301,818 ) (674,660 ) (1,148,327 )
每美国存托股份非公认会计准则净收益/(亏损):
-基本 1.82 (18.18 ) (9.88 ) (23.26 ) (37.89 )
-稀释 1.79 (18.18 ) (9.88 ) (23.26 ) (37.89 )
基础计算中使用的美国存托股份加权平均数
和稀释后的每股美国存托股份收益(注)
-基本 29,704,591 30,404,904 30,538,755 29,005,230 30,307,013
-稀释 30,065,951 30,404,904 30,538,755 29,005,230 30,307,013


Note: For all the periods presented, basic and diluted loss per ADS assuming the change of ADS ratio from a ratio of four ADSs to one Class A ordinary share to a new Ratio of two ADSs to five Class A ordinary shares occurred at the beginning of the earliest period presented.


附注:就呈列所有期间而言,假设美国存托股份的比率由四个美国存托凭证与一股A类普通股的比率更改为两个美国存托凭证与五股A类普通股的新比率,则美国存托股份的基本亏损及摊薄亏损于呈列的最早期间开始时发生。

QUTOUTIAO INC.
Supplementary Operating Information
(RMB in millions, or otherwise noted)

趣头条股份有限公司
补充运营信息
(人民币百万元,或另行注明)

    For the three months ended  
    December 31     March 31     June 30     September 30     December 31  
    2020     2021     2021     2021     2021  
Net revenues     1,302.4       1,291.0       1,202.0       965.5       881.1  
User engagement expenses     163.2       179.1       169.5       161.8       156.5  
User acquisition expenses     397.1       588.7       685.2       757.3       599.8  
Other sales and marketing expenses     119.9       35.2       48.1       62.9       39.7  
Total sales and marketing expenses     680.3       803.0       902.8       982.0       796.0  
Combined Average MAUs (in millions)     124.7       133.3       132.3       118.5       97.6  
Combined Average DAUs (in millions)     32.3       31.7       29.1       26.5       25.0  
New installed users (in millions)     50.3       101.8       94.0       103.8       72.6  
Average net revenues per DAU per day (RMB)     0.44       0.45       0.46       0.41       0.39  
User engagement expenses per DAU per day
(RMB)
    0.05       0.06       0.06       0.07       0.07  
User acquisition expenses per new installed
user (RMB)
    7.89       5.78       7.29       7.30       8.26  
截至以下三个月
12月31日 3月31日 6月30日 9月30日 12月31日
2020 2021 2021 2021 2021
净收入 1,302.4 1,291.0 1,202.0 965.5 881.1
用户参与度费用 163.2 179.1 169.5 161.8 156.5
用户获取费用 397.1 588.7 685.2 757.3 599.8
其他销售和营销费用 119.9 35.2 48.1 62.9 39.7
销售和营销费用总额 680.3 803.0 902.8 982.0 796.0
合并平均MAU(单位:百万) 124.7 133.3 132.3 118.5 97.6
合并平均DAU(单位:百万) 32.3 31.7 29.1 26.5 25.0
新安装用户(百万) 50.3 101.8 94.0 103.8 72.6
每个DAU每天的平均净收入(人民币) 0.44 0.45 0.46 0.41 0.39
每天每个DAU的用户参与度费用
(人民币)
0.05 0.06 0.06 0.07 0.07
每个新安装的用户获取费用
用户(元人民币)
7.89 5.78 7.29 7.30 8.26

____________________________
1 For more information on the non-GAAP financial measures, see the section entitled "Use of Non-GAAP Financial Measures" below and the table captioned "Reconciliation of GAAP And Non-GAAP Results" set forth at the end of this press release.
2 "MAUs" refers to the number of unique mobile devices that accessed our relevant mobile application in a given month. "Combined average MAUs" for a particular period is the average of the MAUs for all of our mobile applications in each month during that period;
3 "DAUs" refers to the number of unique mobile devices that accessed our relevant mobile application on a given day. "Combined average DAUs" for a particular period is the average of the DAUs for all of our mobile applications on each day during that period;
4 "New installed user" refers to the aggregate number of unique mobile devices that have downloaded and launched our relevant mobile applications at least once.

____________________________
1有关非GAAP财务措施的更多信息,请参阅下面题为“非GAAP财务措施的使用”一节,以及本新闻稿结尾处标题为“GAAP和非GAAP结果的协调”的表格。
2“MAU”是指在一个月内访问我们的相关移动应用程序的独特移动设备的数量。特定期间的“综合平均MAU”是指该期间每个月我们所有移动应用程序的MAU的平均值;
3“DAU”是指在给定的一天访问我们的相关移动应用程序的唯一移动设备的数量。特定期间的“综合平均DAU”是指该期间内所有流动应用程序每天的DAU平均值;
4“新安装用户”是指下载并启动我们的相关移动应用程序至少一次的独特移动设备的总数。


声明:本内容仅用作提供资讯及教育之目的,不构成对任何特定投资或投资策略的推荐或认可。 更多信息
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