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深物业B:2021年第一季度报告全文(英文版) 下载公告
公告日期:2021-04-29

SHENZHENPROPERTIES&RESOURCES

DEVELOPMENT(GROUP)LTD.

FIRSTQUARTERLYREPORT2021

(AnnouncementNo.2021-21)

April2021

PartIImportantNotes

TheBoardofDirectors(orthe“Board”),theSupervisoryCommitteeaswellasthedirectors,supervisorsandseniormanagementofShenZhenProperties&ResourcesDevelopment(Group)Ltd.(hereinafterreferredtoasthe“Company”)herebyguaranteethefactuality,accuracyandcompletenessofthecontentsofthisReportanditssummary,andshallbejointlyandseverallyliableforanymisrepresentations,misleadingstatementsormaterialomissionstherein.AlltheCompany’sdirectorshaveattendedtheBoardmeetingforthereviewofthisReportanditssummary.LiuShengxiang,theCompany’slegalrepresentative,CaiLili,theCompany’sheadoffinancialaffairs,andLiuQiang,headoftheCompany’sfinancialdepartment(equivalenttofinancialmanager)herebyguaranteethattheFinancialStatementscarriedinthisReportarefactual,accurateandcomplete.ThisReportanditssummaryhavebeenpreparedinbothChineseandEnglish.Shouldtherebeanydiscrepanciesormisunderstandingsbetweenthetwoversions,theChineseversionsshallprevail.

PartIIKeyCorporateInformationIKeyFinancialInformationIndicatebytickmarkwhetherthereisanyretrospectivelyrestateddatuminthetablebelow.

□Yes√No

Q12021Q12020Change(%)
Operatingrevenue(RMB)891,026,732.66861,546,080.083.42%
Netprofitattributabletothelistedcompany’sshareholders(RMB)214,420,219.16152,014,318.1041.05%
Netprofitattributabletothelistedcompany’sshareholdersbeforeexceptionalitems(RMB)208,303,080.57152,909,860.7736.23%
Netcashgeneratedfrom/usedinoperatingactivities(RMB)83,213,087.80-609,307,576.52-113.66%
Basicearningspershare(RMB/share)0.35980.255141.04%
Dilutedearningspershare(RMB/share)0.35980.255141.04%
Weightedaveragereturnonequity(%)5.59%4.72%0.87%
31March202131December2020Change(%)
Totalassets(RMB)12,455,805,632.2912,207,356,912.542.04%
Equityattributabletothelistedcompany’sshareholders(RMB)3,942,068,204.393,727,917,440.035.74%

Exceptionalgainsandlosses:

√Applicable□Notapplicable

Unit:RMB

ItemQ12021Note
Gainorlossondisposalofnon-currentassets(inclusiveofimpairmentallowancewrite-offs)7,000.00
Governmentsubsidiesrecognizedinthecurrentperiod,exceptforthoseacquiredintheordinarycourseofbusinessorgrantedatcertainquotasoramountsaccordingtothegovernment’sunifiedstandards136,000.00
Non-operatingincomeandexpenseotherthantheabove8,010,201.46
Less:Incometaxeffects2,004,300.37
Non-controllinginterestseffects(netoftax)31,762.50
Total6,117,138.59--

ExplanationofwhytheCompanyreclassifiesasrecurrentanexceptionalgain/lossitemdefinedorlistedintheExplanatoryAnnouncementNo.1onInformationDisclosureforCompaniesOfferingTheirSecuritiestothePublic—ExceptionalGain/LossItems:

□Applicable√NotapplicableNosuchcasesfortheReportingPeriod.

IITotalNumberofShareholdersandHoldingsofTop10Shareholdersat31March2021

1.NumbersofOrdinaryShareholdersandPreferredShareholderswithResumedVotingRightsaswellasHoldingsofTop10Shareholders

Unit:share

Numberofordinaryshareholdersattheperiod-end55,834Numberofpreferredshareholderswithresumedvotingrightsattheperiod-end(ifany)0
Top10shareholders
NameofshareholderNatureofshareholderShareholdingpercentageTotalsharesheldRestrictedsharesheldSharesinpledgeorfrozen
StatusShares
ShenzhenInvestmentHoldingsCorporationState-ownedlegalperson50.57%301,414,6373,326
ShenzhenState-OwnedEquityOperationandManagementCo.,Ltd.Domesticnon-state-ownedlegalperson6.38%38,037,8900
ChinaOrientAssetManagementCo.,Ltd.State-ownedlegalperson3.90%23,236,4000
ChuYuanyuanDomesticnaturalperson0.54%3,241,1000
HongKongSecuritiesClearingCompanyLtd.Foreignlegalperson0.37%2,205,2800
ShenzhenDuty-FreeCommodityEnterprisesCo.,Ltd.Domesticnon-state-ownedlegalperson0.29%1,730,3001,730,300
DuanShaotengDomesticnaturalperson0.29%1,699,7650
ChinaConstructionBank-WanjiaSelectedMixedTypeSecuritiesInvestmentFundOther0.26%1,529,4890
YangYaochuDomesticnaturalperson0.25%1,500,3840
BoseraFund-PICCLifeInsurance-TraditionalGeneralOther0.25%1,477,5000
InsurancePortfolio-BoseraFund–A-StockMixedPortfolioSingleAssetManagementPlanofPICCLifeInsuranceCompanyLimited
Top10unrestrictedshareholders
NameofshareholderUnrestrictedsharesheldSharesbytype
TypeShares
ShenzhenInvestmentHoldingsCorporation301,411,311RMB-denominatedordinarystock301,411,311
ShenzhenState-OwnedEquityOperationandManagementCo.,Ltd.38,037,890RMB-denominatedordinarystock38,037,890
ChinaOrientAssetManagementCo.,Ltd.23,236,400RMB-denominatedordinarystock23,236,400
ChuYuanyuan3,241,100RMB-denominatedordinarystock3,241,100
HongKongSecuritiesClearingCompanyLtd.2,205,280RMB-denominatedordinarystock2,205,280
DuanShaoteng1,699,765RMB-denominatedordinarystock1,699,765
ChinaConstructionBank-WanjiaSelectedMixedTypeSecuritiesInvestmentFund1,529,489RMB-denominatedordinarystock1,529,489
YangYaochu1,500,384Domesticallylistedforeignstock1,500,384
BoseraFund-PICCLifeInsurance-TraditionalGeneralInsurancePortfolio-BoseraFund–A-StockMixedPortfolioSingleAssetManagementPlanofPICCLifeInsuranceCompanyLimited1,477,500RMB-denominatedordinarystock1,477,500
MaiFurong1,103,096Domesticallylistedforeignstock1,103,096
Relatedoracting-in-concertpartiesamongtheshareholdersaboveThefirstlargestshareholder,ShenzhenInvestmentHoldingCorporation,istheactualcontrollingshareholderoftheCompany,thesecondlargestshareholderisthewholly-ownedsubsidiaryofShenzhenInvestmentHoldingCorporation,whichexistrelated-partyrelationshipwiththeCompany.AndtheCompanydoesnotknowwhethertherearerelatedpartiesoracting-in-concertpartiesamongtheother8shareholders.
Top10shareholdersinvolvedinsecuritiesmargintrading(ifany)N/A

Indicatebytickmarkwhetheranyofthetop10ordinaryshareholdersorthetop10unrestrictedordinaryshareholdersoftheCompanyconductedanypromissoryrepoduringtheReportingPeriod.

□Yes√No

NosuchcasesintheReportingPeriod.

2.NumberofPreferredShareholdersandShareholdingsofTop10ofThem

□Applicable√Notapplicable

PartIIISignificantEventsIChangesinKeyFinancialStatementLineItemsandExplanationofwhy

√Applicable□Notapplicable

1.PrepaymentsstoodatRMB75,086,951.68asat31March2021,rising48.56%comparedto31December2020,primarilydrivenbytheincreaseindemolitionservicefeeprepaid.

2.Long-termprepaidexpensestoodatRMB15,627,354.02asat31March2021,rising31.74%comparedto31December2020,primarilydrivenbytheincreaseindecorationexpendituresofrentedofficeswiththeCompanyasthelessee.

3.ContractliabilitiesstoodatRMB863,750,204.45asat31March2021,rising29.52%comparedto31December2020,primarilydrivenbytheincreaseinadvancesfromcommercialbuildingsales.

4.SellingexpensestoodatRMB3,005,132.04duringQ12021,declining35.91%comparedtoQ12020,primarilydrivenbythedecreaseinsalesserviceexpense.

5.FinancecostsstoodatRMB11,763,247.61duringQ12021,declining45.61%comparedtoQ12020,primarilydrivenbytheincreaseincapitalizedinterestexpense.

6.ReturnoninvestmentstoodatRMB2,577,004.72duringQ12021,comparedtoRMB-10,994.73inQ12020,withthechangeprimarilydrivenbytheincreaseinreturnsoninvestmentsinjointventurescalculatedusingtheequitymethodasaresultofasubstantialincreaseintheirnetprofits.

7.Non-operatingincomestoodatRMB8,612,813.60duringQ12021,rising997.85%comparedtoQ12020,primarilydrivenbythereceiptofdemolitioncompensation.

8.Netcashgeneratedfrom/usedinoperatingactivitiesstoodatRMB83,213,087.80duringQ12021,comparedtoRMB-609,307,576.52inQ12020,withthechangeprimarilydrivenbytheincreaseinsalespaymentscollected.

9.Netcashgeneratedfrom/usedininvestingactivitiesstoodatRMB-7,912,883.72duringQ12021,comparedtoRMB-3,384,962.58inQ12020,withthechangeprimarilydrivenbytheincreaseinofficedecorationexpenditures.

10.Netcashgeneratedfrom/usedinfinancingactivitiesstoodatRMB-46,683,112.50duringQ12021,comparedtoRMB772,655,600.48inQ12020,withthechangeprimarilydrivenbythenewloanofRMB807millioninthesameperiodoflastyear,withnocomparableloaninthecurrentperiod.

IIProgress,InfluenceandSolutionswithregardtoSignificantEvents

√Applicable□Notapplicable

1.ShenzhenInternationalTradeCenterPropertyManagementCo.,Ltd.,awholly-ownedsubsidiaryoftheCompany,planstoinvestintheestablishmentofawholly-ownedsubsidiaryintheVietnam-ChinaEconomicandTradeCooperationZoneinHaiPhong,Vietnam,inabidtostrengthenin-depthcooperationwithimportantoverseascustomers,studyandexploreadvancedcutting-edgetechnologies,takeanactivepartintheinternationalindustriallayout,andexpandtheinternationalmarket.InJanuary2021,thesubsidiaryinVietnamcompleteditsregistrationandreceivedtheEnterpriseRegistrationCertificatefromtheBusinessRegistrationOfficeoftheHaiphongDepartmentofPlanningandInvestmentDecision.ThedetailsweredisclosedonthedesignatedmediaonJanuary6.

2.TheCompanyreceivedtheNoticeofShenzhenInvestmentHoldingsCo.,Ltd.ontheFreeTransferofSharesofShenZhenProperties&ResourcesDevelopment(Group)Ltd.(S.T.K.[2021]No.38)fromthecontrollingshareholderShenzhenInvestment

HoldingsCo.,Ltd.(SIHC).SIHCdecidedtotransferits38,037,890non-restrictedtradablecommonsharesontheA-sharesmarketintheCompany(accountingfor6.382%ofthetotalsharecapitaloftheCompany)toShenzhenState-ownedEquityManagementCo.,Ltd.forfreetoreplenishthesocialsecurityfunds.On17March2021,theCompanyreceivedtheConfirmationofSecuritiesTransferRegistrationissuedbyShenzhenBranchofChinaSecuritiesDepositoryandClearingCorporationLimitedfromShenzhenState-ownedEquityManagementCo.,Ltd.confirmingthattheregistrationproceduresforthefreetransferoftheabove-mentionedstate-ownedshareshadbeencompletedonMarch15.TherespectivedetailsweredisclosedonthedesignatedmediaonJanuary29andMarch18.

3.On18July2020,theCompanyreleasedanannouncementonthedesignatedmedia,disclosinginformationontheplanoftheCompany'scontrollingshareholderSIHCtoreducethenumberofitssharesintheCompanybynomorethan11,919,581sharesinthecallauctionwithin6monthsafter15tradingdaysfromthedateofdisclosure.From25August2020toSeptember4,2020,SIHCaccumulatedareductionof5,959,696sharesintheCompanyincallauction,withthenumberofsharesreducedbymorethanhalf.ThedetailsweredisclosedonthedesignatedmediaonSeptember5.On9February2021,theCompanyreceivedtheNotificationLetterontheImplementationofthePRDShareReductionPlanfromSIHC.ItwasnotedintheLetterthatfrom10August2020to9February2021,SIHCaccumulativelyreduced5,959,696sharesintheCompany(accountfor1.00%oftheCompany'stotalsharecapital)incallauction,addingthatsincethereductionperiodsetinthesharereductionplanhasexpired,theimplementationofthisreductionplanhasbeenconcluded.ThedetailsweredisclosedonthedesignatedmediaonFebruary10.

OverviewofsignificanteventsDisclosuredateIndextodisclosurewebsiteforinterimreport
Wholly-ownedsubsidiarytoestablishawholly-ownedsubsidiaryoverseas23September2020AnnouncementNo.2020-43onWholly-ownedSubsidiarytoEstablishaWholly-OwnedSubsidiaryOverseasonwww.cninfo.com.cn
6January2021AnnouncementNo.2021-01onCompletionofRegistrationofVietnamSubsidiaryonwww.cninfo.com.cn
Thetransferofsomestate-ownedsharesheldbythecontrollingshareholderoftheCompanyShenzhenInvestmentHoldingsCo.,Ltd.tosocialsecurityfundwithoutcompensation29January2021AnnouncementNo.2021-02ontheTransferofSomeState-ownedSharesHeldbyControllingShareholderstoSocialSecurityFundwithoutCompensation
18March2021AnnouncementNo.2021-05ontheCompletingtheRegistrationofShareOwnershipTransferregardingTransferofSomeState-ownedSharesHeldbyControllingShareholderstoSocialSecurityFundwithoutCompensation
TheCompany’scontrollingshareholdertoreduceshareholding18July2020AnnouncementNo.2020-33ontheCompany’sControllingShareholdertoReduceShareholdingonwww.cninfo.com.cn
5September2020AnnouncementNo.2020-41onProgressofShareholdingReductionbytheCompany’sControllingShareholder(OverHalfofItsReductionPlan)
10February2021AnnouncementNo.2021-03onExpirationandCompletionofReducingShareholdingbytheCompany’sControllingShareholders

Progressofanysharerepurchases:

□Applicable√NotapplicableProgressofanyreductionoftherepurchasedsharesthroughcentralizedbidding:

□Applicable√Notapplicable

IIICommitmentsthattheCompany’sActualController,Shareholders,RelatedParties,Acquirers,theCompanyItselforOtherParties,FailedtoFulfillonTimeduringtheReportingPeriod

□Applicable√NotapplicableNosuchcasesintheReportingPeriod.

IVFinancialInvestments

1.SecuritiesInvestments

√Applicable□Notapplicable

Unit:RMB

TypeofsecuritiesCodeofsecuritiesNameofsecuritiesInitialinvestmentcostAccountingmeasurementmethodOpeningcarryingamountGain/lossonfair-valuechangesinthecurrentperiodCumulativefair-valuechangesthroughequityPurchasedinthecurrentperiodSoldinthecurrentperiodGain/lossinthecurrentperiodClosingcarryingamountAccountingtitleFundingsource
Domestic/overseasstock400016、420016GintianA,GintianB3,565,856.06Fairmethod1,044,905.120.00-50,535.600.000.000.00994,369.52OtherequityinstrumentinvestmentObtainedindebtrestructuring
Total3,565,856.06--1,044,905.120.00-50,535.600.000.000.00994,369.52----
DisclosuredateofannouncementonBoard’sconsentforsecuritiesinvestment
Disclosuredateofannouncementonshareholders’meeting’sconsentforsecuritiesinvestment(ifany)

2.InvestmentsinDerivativeFinancialInstruments

□Applicable√NotapplicableNosuchcasesintheReportingPeriod.

VProgressofProjectsFinancedwithRaisedFunds

□Applicable√Notapplicable

VIOperatingPerformanceForecastforJanuary-June2021Warningofaforecastlossonoraforecastsignificantyear-on-yearchangeintheaccumulativenetprofitfromthebeginningoftheyeartotheendofthenextreportingperiod,aswellasexplanationofwhy:

□Applicable√Notapplicable

VIISignificantContractsArisingfromtheCompany’sOrdinaryCourseofBusiness

□Applicable√NotapplicableVIIICashEntrustedforWealthManagement

□Applicable√NotapplicableNosuchcasesintheReportingPeriod.IXIrregularitiesinProvisionofGuarantees

□Applicable√NotapplicableNosuchcasesintheReportingPeriod.XOccupationoftheCompany’sCapitalbytheControllingShareholderorItsRelatedPartiesforNon-OperatingPurposes

□Applicable√NotapplicableNosuchcasesintheReportingPeriod.

XICommunicationswiththeInvestmentCommunitysuchasResearches,InquiriesandInterviewsduringtheReportingPeriod

√Applicable□Notapplicable

DatePlaceWayofcommunicationTypeofcommunicationpartyCommunicationpartyMajordiscussioncontentandinformationprovidedIndextomaininformationcommunicated
7January2021TheCompanyByPhoneIndividualIndividualInquiredofreasonforslumpinstockN/A
10January2021TheCompanyOtherIndividualIndividualInquiredofwhethertheimplementationof“TwoRedLines”mayinfluencethecreditoftheCompanyN/A
13January2021TheCompanyOtherIndividualIndividualInquiredofinformationabouttheprojectofdigitalecologicalindustrialparkN/A
26January2021TheCompanyOtherIndividualIndividualInquiredofinformationaboutcashflowstatementsin2020ThirdQuarterReportN/A
27January2021TheCompanyOtherIndividualIndividualInquiredofdisclosuretimeof2020AnnualReportN/A
15March2021TheCompanyOtherIndividualIndividualInquiredofinformationaboutemploymentoftheCompanyN/A
20March2021TheCompanyOtherIndividualIndividualInquiredofdisclosuretimeof2021FirstQuarterReportN/A

PartIVFinancialStatementsIFinancialStatements

1.ConsolidatedBalanceSheet

PreparedbyShenZhenProperties&ResourcesDevelopment(Group)Ltd.

31March2021

Unit:RMB

Item31March202131December2020
Currentassets:
Monetaryassets4,236,786,272.364,206,266,629.32
Settlementreserve
Interbankloansgranted
Held-for-tradingfinancialassets
Derivativefinancialassets
Notesreceivable
Accountsreceivable241,098,903.01187,697,631.47
Accountsreceivablefinancing
Prepayments75,086,951.6850,543,422.85
Premiumsreceivable
Reinsurancereceivables
Receivablereinsurancecontractreserve
Otherreceivables806,040,257.43789,050,350.51
Including:Interestreceivable
Dividendsreceivable
Financialassetspurchasedunderresaleagreements
Inventories5,329,071,962.255,312,489,258.20
Contractualassets
Assetsclassifiedasheldforsale
Currentportionofnon-currentassets
Othercurrentassets47,312,127.7248,991,965.92
Totalcurrentassets10,735,396,474.4510,595,039,258.27
Non-currentassets:
Loansandadvancestocustomers
Investmentsindebtobligations
Investmentsinotherdebtobligations
Long-termreceivables
Long-termequityinvestments48,287,225.5145,710,220.79
Investmentsinotherequityinstruments994,369.521,044,905.12
Othernon-currentfinancialassets
Investmentproperty478,003,522.78484,738,506.83
Fixedassets111,982,155.26116,233,936.04
Constructioninprogress
Productivelivingassets
Oilandgasassets
Userightsassets13,874,979.81
Intangibleassets427,470.54482,049.51
R&Dexpense
Goodwill
Long-termprepaidexpense15,627,354.0211,862,716.14
Deferredincometaxassets1,049,051,017.26950,681,245.50
Othernon-currentassets2,161,063.141,564,074.34
Totalnon-currentassets1,720,409,157.841,612,317,654.27
Totalassets12,455,805,632.2912,207,356,912.54
Currentliabilities:
Short-termborrowings
Borrowingsfromthecentralbank
Interbankloansobtained
Held-for-tradingfinancialliabilities
Derivativefinancialliabilities
Notespayable
Accountspayable365,648,385.01468,269,685.65
Advancesfromcustomers683,919.44473,274.48
Contractualliabilities863,750,204.45666,893,629.72
Financialassetssoldunderrepurchaseagreements
Customerdepositsandinterbankdeposits
Payablesforactingtradingofsecurities
Payablesforunderwritingofsecurities
Payrollpayable150,533,526.05177,190,197.36
Taxespayable2,395,310,227.222,487,212,979.37
Otherpayables891,059,926.80847,142,613.09
Including:Interestpayable0.000.00
Dividendspayable12,202,676.0412,202,676.04
Handlingchargesandcommissionspayable
Reinsurancepayables
Liabilitiesdirectlyassociatedwithassetsclassifiedasheldforsale
Currentportionofnon-currentliabilities36,722,824.8836,722,824.88
Othercurrentliabilities53,821,158.9043,354,691.51
Totalcurrentliabilities4,757,530,172.754,727,259,896.06
Non-currentliabilities:
Insurancecontractreserve
Long-termborrowings3,587,800,000.003,587,800,000.00
Bondspayable
Including:Preferredshares
Perpetualbonds
Leaseliabilities14,016,985.64
Long-termpayables
Long-termpayrollpayable
Provisions2,396,947.002,396,947.00
Deferredincome0.000.00
Deferredincometaxliabilities262.20262.20
Othernon-currentliabilities106,387,153.03108,778,327.45
Totalnon-currentliabilities3,710,601,347.873,698,975,536.65
Totalliabilities8,468,131,520.628,426,235,432.71
Owners’equity:
Sharecapital595,979,092.00595,979,092.00
Otherequityinstruments
Including:Preferredshares
Perpetualbonds
Capitalreserves80,488,045.3880,488,045.38
Less:Treasurystock
Othercomprehensiveincome-7,019,044.21-6,749,589.41
Specificreserve
Surplusreserves19,205,979.6319,205,979.63
Generalreserve
Retainedearnings3,253,414,131.593,038,993,912.43
TotalequityattributabletoownersoftheCompanyastheparent3,942,068,204.393,727,917,440.03
Non-controllinginterests45,605,907.2853,204,039.80
Totalowners’equity3,987,674,111.673,781,121,479.83
Totalliabilitiesandowners’equity12,455,805,632.2912,207,356,912.54

Legalrepresentative:LiuShengxiangHeadoffinancialaffairs:CaiLiliHeadofthefinancialdepartment:LiuQiang

2.BalanceSheetoftheCompanyastheParent

Unit:RMB

Item31March202131December2020
Currentassets:
Monetaryassets3,128,781,159.663,216,703,036.69
Held-for-tradingfinancialassets
Derivativefinancialassets
Notesreceivable
Accountsreceivable4,453,779.812,624,500.42
Accountsreceivablefinancing
Prepayments
Otherreceivables226,062,266.79145,325,697.20
Including:Interestreceivable
Dividendsreceivable
Inventories658,057,076.23653,885,107.24
Contractualassets
Assetsclassifiedasheldforsale
Currentportionofnon-currentassets
Othercurrentassets496,729.09496,729.09
Totalcurrentassets4,017,851,011.584,019,035,070.64
Non-currentassets:
Investmentsindebtobligations
Investmentsinotherdebtobligations
Long-termreceivables
Long-termequityinvestments1,073,753,105.901,071,176,101.18
Investmentsinotherequityinstruments1,224,869.521,275,405.12
Othernon-currentfinancialassets
Investmentproperty301,708,379.26303,827,356.62
Fixedassets47,543,764.2951,091,963.72
Constructioninprogress
Productivelivingassets
Oilandgasassets
Userightsassets649,585.03
Intangibleassets
R&Dexpense
Goodwill
Long-termprepaidexpense389,195.94432,440.01
Deferredincometaxassets241,148,792.13252,331,518.26
Othernon-currentassets1,344,668,234.551,197,407,234.55
Totalnon-currentassets3,011,085,926.622,877,542,019.46
Totalassets7,028,936,938.206,896,577,090.10
Currentliabilities:
Short-termborrowings
Held-for-tradingfinancialliabilities
Derivativefinancialliabilities
Notespayable
Accountspayable40,429,856.1955,887,947.36
Advancesfromcustomers
Contractualliabilities
Payrollpayable43,247,376.5950,710,148.02
Taxespayable1,107,591.553,736,082.67
Otherpayables4,095,750,244.823,971,988,862.11
Including:Interestpayable
Dividendspayable29,642.4029,642.40
Liabilitiesdirectlyassociatedwithassetsclassifiedasheldforsale
Currentportionofnon-currentliabilities31,573,154.8631,573,154.86
Othercurrentliabilities
Totalcurrentliabilities4,212,108,224.014,113,896,195.02
Non-currentliabilities:
Long-termborrowings588,200,000.00588,200,000.00
Bondspayable
Including:Preferredshares
Perpetualbonds
Leaseliabilities656,457.21
Long-termpayables
Long-termpayrollpayable
Provisions
Deferredincome
Deferredincometaxliabilities
Othernon-currentliabilities40,000,000.0040,000,000.00
Totalnon-currentliabilities628,856,457.21628,200,000.00
Totalliabilities4,840,964,681.224,742,096,195.02
Owners’equity:
Sharecapital595,979,092.00595,979,092.00
Otherequityinstruments
Including:Preferredshares
Perpetualbonds
Capitalreserves53,876,380.1153,876,380.11
Less:Treasurystock
Othercomprehensiveincome-2,595,986.79-2,545,451.19
Specificreserve
Surplusreserves19,205,979.6319,205,979.63
Retainedearnings1,521,506,792.031,487,964,894.53
Totalowners’equity2,187,972,256.982,154,480,895.08
Totalliabilitiesandowners’equity7,028,936,938.206,896,577,090.10

3.ConsolidatedIncomeStatement

Unit:RMB

ItemQ12021Q12020
1.Revenue891,026,732.66861,546,080.08
Including:Operatingrevenue891,026,732.66861,546,080.08
Interestincome
Premiumincome
Handlingchargeandcommissionincome
2.Costsandexpenses630,078,645.14662,964,303.05
Including:Costofsales314,741,306.53330,926,955.66
Interestexpense
Handlingchargeandcommissionexpense
Surrenders
Netclaimspaid
Netamountprovidedaspolicyreserve
Expenditureonpolicydividends
Reinsurancepremiumexpense
Taxesandsurcharges253,169,175.96266,678,061.72
Sellingexpense3,005,132.044,689,041.03
Administrativeexpense47,399,783.0039,041,614.67
R&Dexpense
Financecosts11,763,247.6121,628,629.97
Including:Interestexpense29,487,619.4738,309,547.10
Interestincome18,078,929.0216,103,643.77
Add:Otherincome1,380,702.881,170,615.61
Returnoninvestment(“-”forloss)2,577,004.72-10,994.73
Including:Shareofprofitorlossofjointventuresandassociates2,577,004.72-10,994.73
Incomefromthederecognitionoffinancialassetsatamortizedcost(“-”forloss)
Foreignexchangegain(“-”forloss)
Netgainonexposurehedges(“-”forloss)
Gainonchangesinfairvalue(“-”forloss)
Creditimpairmentloss(“-”forloss)-31,765.171,016,216.33
Assetimpairmentloss(“-”forloss)
Assetdisposalincome(“-”forloss)
3.Operatingprofit(“-”forloss)264,874,029.95200,757,614.24
Add:Non-operatingincome8,612,813.60784,515.00
Less:Non-operatingexpense595,612.142,078,006.42
4.Profitbeforetax(“-”forloss)272,891,231.41199,464,122.82
Less:Incometaxexpense66,209,144.7871,031,397.02
5.Netprofit(“-”fornetloss)206,682,086.63128,432,725.80
5.1Byoperatingcontinuity
5.1.1Netprofitfromcontinuingoperations(“-”fornetloss)206,682,086.63128,432,725.80
5.1.2Netprofitfromdiscontinuedoperations(“-”fornetloss)
5.2Byownership
5.2.1NetprofitattributabletoshareholdersoftheCompanyastheparent214,420,219.16152,014,318.10
5.2.2Netprofitattributabletonon-controllinginterests-7,738,132.53-23,581,592.30
6.Othercomprehensiveincome,netoftax-269,454.80-1,413,997.45
AttributabletoownersoftheCompanyastheparent-269,454.80-1,413,997.45
6.1Itemsthatwillnotbereclassifiedtoprofitorloss-50,535.60-329,260.41
6.1.1Changescausedbyremeasurementsondefinedbenefitpensionschemes
6.1.2Othercomprehensiveincomethatwillnotbereclassifiedtoprofitorlossundertheequitymethod
6.1.3Changesinthefairvalueofinvestmentsinotherequityinstruments-50,535.60-329,260.41
6.1.4Changesinthefairvalueofthecompany’screditrisks
6.1.5Other
6.2Itemsthatwillbereclassifiedtoprofitorloss-218,919.20-1,084,737.04
6.2.1Othercomprehensiveincomethatwillbereclassifiedtoprofitorlossundertheequitymethod
6.2.2Changesinthefairvalueofinvestmentsinotherdebtobligations
6.2.3Othercomprehensiveincomearisingfromthereclassificationoffinancialassets
6.2.4Allowanceforcreditimpairmentsininvestmentsinotherdebtobligations
6.2.5Reserveforcashflowhedges
6.2.6Differencesarisingfromthetranslationofforeigncurrency-denominatedfinancialstatements-218,919.20-1,084,737.04
6.2.7Other
Attributabletonon-controllinginterests
7.Totalcomprehensiveincome206,412,631.83127,018,728.35
AttributabletoownersoftheCompanyastheparent214,150,764.36150,600,320.65
Attributabletonon-controllinginterests-7,738,132.53-23,581,592.30
8.Earningspershare
8.1Basicearningspershare0.35980.2551
8.2Dilutedearningspershare0.35980.2551

Wherebusinesscombinationsundercommoncontroloccurredinthecurrentperiod,thenetprofitachievedbytheacquireesbefore

thecombinationswasRMB0.00,withtheamountforthesameperiodoflastyearbeingRMB0.00.Legalrepresentative:LiuShengxiangHeadoffinancialaffairs:CaiLiliHeadofthefinancialdepartment:LiuQiang

4.IncomeStatementoftheCompanyastheParent

Unit:RMB

ItemQ12021Q12020
1.Operatingrevenue21,929,527.549,570,288.89
Less:Costofsales9,362,877.967,201,252.82
Taxesandsurcharges178,848.221,448,803.87
Sellingexpense127,251.5911,069.00
Administrativeexpense16,002,920.6111,018,364.52
R&Dexpense
Financecosts-9,932,128.28-15,068,444.79
Including:Interestexpense6,333,034.48
Interestincome16,286,641.6715,074,747.59
Add:Otherincome102,972.08
Returnoninvestment(“-”forloss)31,125,117.9336,174,277.60
Including:Shareofprofitorlossofjointventuresandassociates2,577,004.72-10,994.73
Incomefromthederecognitionoffinancialassetsatamortizedcost(“-”forloss)
Netgainonexposurehedges(“-”forloss)
Gainonchangesinfairvalue(“-”forloss)
Creditimpairmentloss(“-”forloss)13,225.50
Assetimpairmentloss(“-”forloss)
Assetdisposalincome(“-”forloss)
2.Operatingprofit(“-”forloss)37,431,072.9541,133,521.07
Add:Non-operatingincome7,293,820.4018,036.00
Less:Non-operatingexpense269.722,000,000.00
3.Profitbeforetax(“-”forloss)44,724,623.6339,151,557.07
Less:Incometaxexpense11,182,726.139,533,067.22
4.Netprofit(“-”fornetloss)33,541,897.5029,618,489.85
4.1Netprofitfromcontinuingoperations(“-”fornetloss)33,541,897.5029,618,489.85
4.2Netprofitfromdiscontinuedoperations(“-”fornetloss)
5.Othercomprehensiveincome,netoftax-50,535.60-329,260.41
5.1Itemsthatwillnotbereclassifiedtoprofitorloss-50,535.60-329,260.41
5.1.1Changescausedbyremeasurementsondefinedbenefitpensionschemes
5.1.2Othercomprehensiveincomethatwillnotbereclassifiedtoprofitorlossundertheequitymethod
5.1.3Changesinthefairvalueofinvestmentsinotherequityinstruments
5.1.4Changesinthefairvalueofthecompany’screditrisks-50,535.60-329,260.41
5.1.5Other
5.2Itemsthatwillbereclassifiedtoprofitorloss
5.2.1Othercomprehensiveincomethatwillbereclassifiedtoprofitorlossundertheequitymethod
5.2.2Changesinthefairvalueofinvestmentsinotherdebtobligations
5.2.3Othercomprehensiveincomearisingfromthereclassificationoffinancialassets
5.2.4Allowanceforcreditimpairmentsininvestmentsinotherdebtobligations
5.2.5Reserveforcashflowhedges
5.2.6Differencesarisingfromthetranslationofforeigncurrency-denominatedfinancialstatements
5.2.7Other
6.Totalcomprehensiveincome33,491,361.9029,289,229.44
7.Earningspershare
7.1Basicearningspershare0.05630.0497
7.2Dilutedearningspershare0.05630.0497

5.ConsolidatedCashFlowStatement

Unit:RMB

ItemQ12021Q12020
1.Cashflowsfromoperatingactivities:
Proceedsfromsaleofcommoditiesandrenderingofservices1,091,637,435.67308,259,221.14
Netincreaseincustomerdepositsandinterbankdeposits
Netincreaseinborrowingsfromthecentralbank
Netincreaseinloansfromotherfinancialinstitutions
Premiumsreceivedonoriginalinsurancecontracts
Netproceedsfromreinsurance
Netincreaseindepositsandinvestmentsofpolicyholders
Interest,handlingchargesandcommissionsreceived
Netincreaseininterbankloansobtained
Netincreaseinproceedsfromrepurchasetransactions
Netproceedsfromactingtradingofsecurities
Taxrebates
Cashgeneratedfromotheroperatingactivities144,447,762.47278,533,921.65
Subtotalofcashgeneratedfromoperatingactivities1,236,085,198.14586,793,142.79
Paymentsforcommoditiesandservices295,983,391.70659,349,883.60
Netincreaseinloansandadvancestocustomers
Netincreaseindepositsinthecentralbankandininterbankloansgranted
Paymentsforclaimsonoriginalinsurancecontracts
Netincreaseininterbankloansgranted
Interest,handlingchargesandcommissionspaid
Policydividendspaid
Cashpaidtoandforemployees192,980,462.47170,204,761.13
Taxespaid564,218,068.71309,457,486.32
Cashusedinotheroperatingactivities99,690,187.4657,088,588.26
Subtotalofcashusedinoperatingactivities1,152,872,110.341,196,100,719.31
Netcashgeneratedfrom/usedinoperatingactivities83,213,087.80-609,307,576.52
2.Cashflowsfrominvestingactivities:
Proceedsfromdisinvestment
Returnoninvestment
Netproceedsfromthedisposaloffixedassets,intangibleassetsandotherlong-livedassets9,344.57
Netproceedsfromthedisposalofsubsidiariesandotherbusinessunits
Cashgeneratedfromotherinvestingactivities
Subtotalofcashgeneratedfrominvestingactivities9,344.57
Paymentsfortheacquisitionoffixedassets,intangibleassetsandotherlong-livedassets7,922,228.293,384,962.58
Paymentsforinvestments
Netincreaseinpledgedloansgranted
Netpaymentsfortheacquisitionofsubsidiariesandotherbusinessunits
Cashusedinotherinvestingactivities
Subtotalofcashusedininvestingactivities7,922,228.293,384,962.58
Netcashgeneratedfrom/usedin-7,912,883.72-3,384,962.58
investingactivities
3.Cashflowsfromfinancingactivities:
Capitalcontributionsreceived140,000.00490,000.00
Including:Capitalcontributionsbynon-controllingintereststosubsidiaries140,000.00490,000.00
Borrowingsobtained807,000,000.00
Cashgeneratedfromotherfinancingactivities
Subtotalofcashgeneratedfromfinancingactivities140,000.00807,490,000.00
Repaymentsofborrowings
Paymentsforinterestanddividends46,823,112.5034,834,399.52
Including:Dividendspaidbysubsidiariestonon-controllinginterests
Cashusedinotherfinancingactivities
Subtotalofcashusedinfinancingactivities46,823,112.5034,834,399.52
Netcashgeneratedfrom/usedinfinancingactivities-46,683,112.50772,655,600.48
4.Effectofforeignexchangeratechangesoncashandcashequivalents237,436.151,083,303.30
5.Netincreaseincashandcashequivalents28,854,527.73161,046,364.68
Add:Cashandcashequivalents,beginningoftheperiod4,168,154,911.833,285,345,233.47
6.Cashandcashequivalents,endoftheperiod4,197,009,439.563,446,391,598.15

6.CashFlowStatementoftheCompanyastheParent

Unit:RMB

ItemQ12021Q12020
1.Cashflowsfromoperatingactivities:
Proceedsfromsaleofcommoditiesandrenderingofservices8,452,796.795,388,532.54
Taxrebates
Cashgeneratedfromotheroperatingactivities176,427,722.21150,366,853.96
Subtotalofcashgeneratedfromoperatingactivities184,880,519.00155,755,386.50
Paymentsforcommoditiesandservices21,070,926.0827,546,580.74
Cashpaidtoandforemployees16,422,540.0813,488,663.13
Taxespaid4,902,594.085,805,090.10
Cashusedinotheroperatingactivities102,653,754.14344,578,504.62
Subtotalofcashusedinoperatingactivities145,049,814.38391,418,838.59
Netcashgeneratedfrom/usedinoperatingactivities39,830,704.62-235,663,452.09
2.Cashflowsfrominvestingactivities:
Proceedsfromdisinvestment565,000,000.00
Returnoninvestment
Netproceedsfromthedisposaloffixedassets,intangibleassetsandotherlong-livedassets2,344.57
Netproceedsfromthedisposalofsubsidiariesandotherbusinessunits
Cashgeneratedfromotherinvestingactivities
Subtotalofcashgeneratedfrominvestingactivities2,344.57565,000,000.00
Paymentsfortheacquisitionoffixedassets,intangibleassetsandotherlong-livedassets5,955,921.972,290,332.09
Paymentsforinvestments117,000,000.00
Netpaymentsfortheacquisitionofsubsidiariesandotherbusinessunits
Cashusedinotherinvestingactivities
Subtotalofcashusedininvestingactivities122,955,921.972,290,332.09
Netcashgeneratedfrom/usedininvestingactivities-122,953,577.40562,709,667.91
3.Cashflowsfromfinancingactivities:
Capitalcontributionsreceived
Borrowingsobtained
Cashgeneratedfromotherfinancingactivities
Subtotalofcashgeneratedfromfinancingactivities
Repaymentsofborrowings
Paymentsforinterestanddividends6,325,812.50
Cashusedinotherfinancingactivities
Subtotalofcashusedinfinancingactivities6,325,812.50
Netcashgeneratedfrom/usedinfinancingactivities-6,325,812.50
4.Effectofforeignexchangeratechangesoncashandcashequivalents
5.Netincreaseincashandcashequivalents-89,448,685.28327,046,215.82
Add:Cashandcashequivalents,beginningoftheperiod3,190,160,215.192,450,935,673.17
6.Cashandcashequivalents,endoftheperiod3,100,711,529.912,777,981,888.99

IIAdjustmentstotheFinancialStatements

1.AdjustmentstotheFinancialStatementsattheBeginningoftheFirstExecutionYearoftheNewStandardsGoverningLeasesfrom2021

√Applicable□NotapplicableWhethertheCompanyneedstoadjustitemsinbalancesheetsatthebeginningoftheyear

√Yes□NoConsolidatedBalanceSheet

Unit:RMB

Item31December20201January2021Adjusted
Currentassets:
Monetaryassets4,206,266,629.324,206,266,629.32
Accountsreceivable187,697,631.47187,697,631.47
Prepayments50,543,422.8550,543,422.85
Otherreceivables789,050,350.51789,050,350.51
Inventories5,312,489,258.205,312,489,258.20
Othercurrentassets48,991,965.9248,991,965.92
Totalcurrentassets10,595,039,258.2710,595,039,258.27
Non-currentassets:
Long-termequityinvestments45,710,220.7945,710,220.79
Investmentsinotherequity1,044,905.121,044,905.12
instruments
Investmentproperty484,738,506.83484,738,506.83
Fixedassets116,233,936.04116,233,936.04
Userightsassets14,992,421.4914,992,421.49
Intangibleassets482,049.51482,049.51
Long-termprepaidexpense11,862,716.1411,862,716.14
Deferredincometaxassets950,681,245.50950,681,245.50
Othernon-currentassets1,564,074.341,564,074.34
Totalnon-currentassets1,612,317,654.271,627,310,075.7614,992,421.49
Totalassets12,207,356,912.5412,222,349,334.0314,992,421.49
Currentliabilities:
Accountspayable468,269,685.65468,269,685.65
Advancesfromcustomers473,274.48473,274.48
Contractualliabilities666,893,629.72666,893,629.72
Payrollpayable177,190,197.36177,190,197.36
Taxespayable2,487,212,979.372,487,212,979.37
Otherpayables847,142,613.09847,142,613.09
Including:Interestpayable0.00
Dividendspayable12,202,676.0412,202,676.04
Currentportionofnon-currentliabilities36,722,824.8836,722,824.88
Othercurrentliabilities43,354,691.5143,354,691.51
Totalcurrentliabilities4,727,259,896.064,727,259,896.06
Non-currentliabilities:
Long-termborrowings3,587,800,000.003,587,800,000.00
Leaseliabilities14,992,421.4914,992,421.49
Provisions2,396,947.002,396,947.00
Deferredincome0.00
Deferredincometaxliabilities262.20262.20
Othernon-currentliabilities108,778,327.45108,778,327.45
Totalnon-currentliabilities3,698,975,536.653,713,967,958.1414,992,421.49
Totalliabilities8,426,235,432.718,441,227,854.2014,992,421.49
Owners’equity:
Sharecapital595,979,092.00595,979,092.00
Capitalreserves80,488,045.3880,488,045.38
Othercomprehensiveincome-6,749,589.41-6,749,589.41
Surplusreserves19,205,979.6319,205,979.63
Retainedearnings3,038,993,912.433,038,993,912.43
TotalequityattributabletoownersoftheCompanyastheparent3,727,917,440.033,727,917,440.03
Non-controllinginterests53,204,039.8053,204,039.80
Totalowners’equity3,781,121,479.833,781,121,479.83
Totalliabilitiesandowners’equity12,207,356,912.5412,222,349,334.0314,992,421.49

NotestoadjustmentTheCompanyhasimplementedthenewIFRS16Leasessince1January2021,andaccordingtotheaccumulatednumberofimpactsbasedontheexecutionofthenewleasestandard,theCompanywilladjusttheamountofrelevantitemsinthefinancialstatementsatthebeginningofthefirstyearofexecution,andwillnotadjustinformationforcomparableperiods.Foroperationalleasingpriortothedateofinitialadoption,theCompanywillmeasuretheleaseliabilitiesaccordingtothepresentvaluediscountedattheincrementalborrowingrateonthedateofinitialadoptionbasedontheremainingleasepayments,andmakenecessaryadjustmentstotheright-of-useassetsatanamountequaltotheleaseliabilities.BalancesheetoftheCompanyastheparent

Unit:RMB

Item31December20201January2021Adjusted
Currentassets:
Monetaryassets3,216,703,036.693,216,703,036.69
Accountsreceivable2,624,500.422,624,500.42
Otherreceivables145,325,697.20145,325,697.20
Inventories653,885,107.24653,885,107.24
Othercurrentassets496,729.09496,729.09
Totalcurrentassets4,019,035,070.644,019,035,070.64
Non-currentassets:
Long-termequityinvestments1,071,176,101.181,071,176,101.18
Investmentsinotherequityinstruments1,275,405.121,275,405.12
Investmentproperty303,827,356.62303,827,356.62
Fixedassets51,091,963.7251,091,963.72
Use-of-rightassets727,535.23727,535.23
Long-termprepaidexpense432,440.01432,440.01
Deferredincometaxassets252,331,518.26252,331,518.26
Othernon-currentassets1,197,407,234.551,197,407,234.55
Totalnon-currentassets2,877,542,019.462,878,269,554.69727,535.23
Totalassets6,896,577,090.106,897,304,625.33727,535.23
Currentliabilities:
Accountspayable55,887,947.3655,887,947.36
Payrollpayable50,710,148.0250,710,148.02
Taxespayable3,736,082.673,736,082.67
Otherpayables3,971,988,862.113,971,988,862.11
Dividendspayable29,642.4029,642.40
Currentportionofnon-currentliabilities31,573,154.8631,573,154.86
Totalcurrentliabilities4,113,896,195.024,113,896,195.02
Non-currentliabilities:
Long-termborrowings588,200,000.00588,200,000.00
Leaseliabilities727,535.23727,535.23
Othernon-currentliabilities40,000,000.0040,000,000.00
Totalnon-currentliabilities628,200,000.00628,927,535.23727,535.23
Totalliabilities4,742,096,195.024,742,823,730.25727,535.23
Owners’equity:
Sharecapital595,979,092.00595,979,092.00
Capitalreserves53,876,380.1153,876,380.11
Othercomprehensiveincome-2,545,451.19-2,545,451.19
Surplusreserves19,205,979.6319,205,979.63
Retainedearnings1,487,964,894.531,487,964,894.53
Totalowners’equity2,154,480,895.082,154,480,895.08
Totalliabilitiesandowners’equity6,896,577,090.106,897,304,625.33727,535.23

NotestoadjustmentTheCompanyhasimplementedthenewIFRS16Leasessince1January2021,andaccordingtotheaccumulatednumberofimpacts

basedontheexecutionofthenewleasestandard,theCompanywilladjusttheamountofrelevantitemsinthefinancialstatementsatthebeginningofthefirstyearofexecution,andwillnotadjustinformationforcomparableperiods.Foroperationalleasingpriortothedateofinitialadoption,theCompanywillmeasuretheleaseliabilitiesaccordingtothepresentvaluediscountedattheincrementalborrowingrateonthedateofinitialadoptionbasedontheremainingleasepayments,andmakenecessaryadjustmentstotheright-of-useassetsatanamountequaltotheleaseliabilities.

2.RetrospectiveRestatementofPreviousComparativeDataduetotheFirstExecutionoftheNewStandardsGoverningLeasesfrom2021

□Applicable√NotapplicableIIIIndependentAuditor’sReportIndicatebytickmarkwhetherthefinancialstatementsabovehavebeenauditedbyanindependentauditor.

□Yes√NoThesefinancialstatementshavenotbeenauditedbysuchanauditor.


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