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苏常柴B:2021年第一季度报告全文(英文版) 下载公告
公告日期:2021-04-28

CHANGCHAICOMPANY,LIMITEDFIRSTQUARTERLYREPORT2021

28April2021

PartIImportantNotesTheBoardofDirectors(orthe“Board”),theSupervisoryCommitteeaswellasthedirectors,supervisorsandseniormanagementofChangchaiCompany,Limited(hereinafterreferredtoasthe“Company”)herebyguaranteethefactuality,accuracyandcompletenessofthecontentsofthisReportanditssummary,andshallbejointlyandseverallyliableforanymisrepresentations,misleadingstatementsormaterialomissionstherein.AlltheCompany’sdirectorshaveattendedtheBoardmeetingforthereviewofthisReportanditssummary.ShiXinkun,theCompany’slegalrepresentative,ZhangXin,theCompany’sGeneralManager,andJiangHe,headoftheCompany’sfinancialdepartment(equivalenttofinancialmanager)herebyguaranteethattheFinancialStatementscarriedinthisReportarefactual,accurateandcomplete.

ThisReportanditssummaryhavebeenpreparedinbothChineseandEnglish.Shouldtherebeanydiscrepanciesormisunderstandingsbetweenthetwoversions,theChineseversionsshallprevail.

PartIIKeyCorporateInformationIKeyFinancialInformation

Indicatebytickmarkwhetherthereisanyretrospectivelyrestateddatuminthetablebelow.

√Yes□NoReasonforretrospectiverestatement:

Correctionofaccountingerror

Q12021Q12020Change(%)
BeforeAfterAfter
Operatingrevenue(RMB)774,218,489.69537,033,349.19538,139,070.2143.87%
Netprofitattributabletothelistedcompany’sshareholders(RMB)24,571,254.831,510,305.601,404,292.621,649.72%
Netprofitattributabletothelistedcompany’sshareholdersbeforeexceptionalitems(RMB)23,604,960.001,271,708.921,140,714.021,969.31%
Netcashgeneratedfrom/usedinoperatingactivities(RMB)-184,484,392.4519,241,295.9618,989,933.66——
Basicearningspershare(RMB/share)0.04380.00270.00251,652.00%
Dilutedearningspershare(RMB/share)0.04380.00270.00251,652.00%
Weightedaveragereturnonequity(%)1.07%0.07%0.07%1.00%
31March202131December2020Change(%)
BeforeAfterAfter
Totalassets(RMB)4,133,968,635.473,952,954,464.453,952,954,464.454.58%
Equityattributabletothelistedcompany’sshareholders(RMB)2,426,095,501.852,273,349,347.022,273,349,347.026.72%

Reasonforchangeinaccountingpolicyandparticularsaboutcorrectionofaccountingerror:

TheProposalonCorrectionofPreviousAccountingErrorwasreviewedandapprovedonthe4

thMeetingofthe9thBoardofDirectorsheldon29July2020,andChangzhouXingshengPropertyManagementCo.,Ltd.whichwasnotincludedinthescopeofconsolidatedbalancesheetbeforehasbeencarriedoutaccountingtreatmentinaccordancetothestipulationsofaccountingstandards.Fordetails,seetheAnnouncementontheResolutionsofthe4

thMeetingofthe9

th

BoardofDirectors(AnnouncementNo.:2020-043),theAnnouncementonCorrectionofPreviousAccountingError(AnnouncementNo.:2020-045),andtheAuthenticationReportofSpecialInstructionregardingCorrectionofAccountingErrorfrom2017to2019disclosedonSecuritiesTimes,TaKungPaoandhttp://www.cninfo.com.cn.

1.Effectstotheconsolidatedbalancesheetofthesameperiodin2020

Effecteditems1January2020–31March2020
BeforeAfter
Incomestatement:
1.Revenues537,033,349.19538,139,070.21
Operatingrevenue537,033,349.19538,139,070.21
2.Costsandexpenses529,922,440.47531,160,471.23
Costofsales468,398,298.69468,694,592.90
Taxesandlevies3,081,606.933,081,767.05
Sellingexpense27,529,136.0927,568,943.45
Administrativeexpense16,267,262.6817,172,240.77
Financecosts-823,896.76-827,105.78
Otherincome805,876.00805,876.00
Investmentincome24,734.3451,031.10
3.Operatingprofit2,763,109.022,657,096.04
Non-operatingexpense368,721.44368,721.44
4.Grossprofit2,525,534.322,419,521.34
Incometaxexpense1,008,368.051,008,368.05
5.Netprofit1,517,166.271,411,153.29
Byoperatingcontinuity1,517,166.271,411,153.29
NetprofitattributabletoownersoftheCompanyastheparent1,510,305.601,404,292.62
6.Totalcomprehensiveincome-39,469,833.73-39,575,846.71
AttributabletoownersoftheCompanyastheparent-39,476,694.40-39,582,707.38
7.Earningspershare
7.1Basicearningspershare0.00270.0025
7.2Dilutedearningspershare0.00270.0025
CashFlowStatement:
1.Cashflowsfromoperatingactivities
Proceedsfromsaleofcommoditiesandrenderingofservices394,536,274.90395,541,506.92
Cashgeneratedfromotheroperatingactivities3,065,965.223,091,386.85
Subtotalofcashgeneratedfromoperatingactivities405,942,727.11406,973,380.76
Paymentsforcommoditiesandservices281,322,512.13282,175,437.06
Cashpaidtoandforemployees76,966,977.1277,363,224.39
Taxesandleviespaid7,741,624.227,741,784.34
Cashusedinotheroperatingactivities20,670,317.6820,703,001.31
Subtotalofcashusedinoperatingactivities386,701,431.15387,983,447.10
Netcashgeneratedfrom/usedinoperatingactivities19,241,295.9618,989,933.66
2.Cashflowsfrominvestingactivities:
Proceedsfromdisinvestment1,500,000.004,550,000.00
Returnoninvestment1,778.1828,074.94
Subtotalofcashgeneratedfrominvestingactivities1,548,278.184,624,574.94
Paymentsforinvestments3,000,000.006,100,000.00
Cashusedinotherinvestingactivities930,300.00930,300.00
Subtotalofcashusedininvestingactivities29,054,394.0432,154,394.04
Netcashgeneratedfrom/usedininvestingactivities-27,506,115.86-27,529,819.10
5.Netincreaseincashandcashequivalents-8,537,210.92-8,812,276.46
6.Cashandcashequivalents,endoftheperiod536,047,533.25535,772,467.71

Exceptionalgainsandlosses:

√Applicable□Notapplicable

Unit:RMB

ItemQ12021Note
Gain/Lossarisingfromdisposalofnon-currentassets(inclusiveofimpairmentallowancewrite-offs)6,800.10
Governmentsubsidiesrecognizedinthecurrentperiod,exceptforthoseacquiredintheordinarycourseofbusinessorgrantedatcertainquotasoramountsaccordingtothegovernment’sunifiedstandards299,348.30
Gain/Lossonchangesinfairvaluearisingfromholdingofheld-for-tradingfinancialassetsandliabilities,derivativefinancialassetsandliabilitiesandinvestmentincomefromdisposalofheld-for-tradingfinancialassetsandliabilities,derivativefinancialassetsandliabilitiesandotherdebtinvestmentsotherthaneffectivehedgebusinessrelatedtotheCompany’snormaloperatingbusinesses851,116.06
Othernon-operatingincomeandexpenseotherthantheabove56,844.59
Less:Incometaxeffects247,814.22
Non-controllinginterestseffects(aftertax)0.00
Total966,294.83--

ExplanationofwhytheCompanyreclassifiesasrecurrentanexceptionalgain/lossitemdefinedorlistedintheExplanatoryAnnouncementNo.1onInformationDisclosureforCompaniesOfferingTheirSecuritiestothePublic—ExceptionalGain/LossItems:

□Applicable√NotapplicableNosuchcasesfortheReportingPeriod.

IITotalNumberofShareholdersandHoldingsofTop10Shareholdersat31March2021

1.NumbersofOrdinaryShareholdersandPreferredShareholderswithResumedVotingRightsaswellasHoldingsofTop10Shareholders

Unit:share

Numberofordinaryshareholdersattheperiod-end57,470Numberofpreferredshareholderswithresumedvotingrightsattheperiod-end(ifany)0
Top10shareholders
NameofshareholderNatureofshareholderShareholdingpercentageTotalsharesheldRestrictedsharesheldSharesinpledgeorfrozen
StatusShares
ChangzhouInvestmentGroupCo.,LtdState-ownedlegalperson30.43%170,845,236
KGIASIALIMITEDForeigncorporation0.56%3,151,695
LiSuinanDomesticindividual0.28%1,548,100
HuangGuoliangDomesticindividual0.27%1,528,891
ChinaConstructionBankCorporation-FirstStateCindaNewEnergyIndustryStockSecuritiesInvestmentFundOther0.25%1,418,947
ChenJianDomesticindividual0.22%1,249,000
ChenXiaojingDomesticindividual0.22%1,239,100
HuWenyongDomesticindividual0.22%1,230,011
TaoXiaofangDomesticindividual0.22%1,218,400
XueHongDomestic0.21%1,160,000
individual
Top10unrestrictedshareholders
NameofshareholderUnrestrictedsharesheldSharesbytype
TypeShares
ChangzhouInvestmentGroupCo.,Ltd170,845,236RMB-denominatedordinarystock170,845,236
KGIASIALIMITED3,151,695Domesticallylistedforeignstock3,151,695
LiSuinan1,548,100Overseaslistedforeignstock1,548,100
HuangGuoliang1,528,891Overseaslistedforeignstock1,528,891
ChinaConstructionBankCorporation-FirstStateCindaNewEnergyIndustryStockSecuritiesInvestmentFund1,418,947RMB-denominatedordinarystock1,418,947
ChenJian1,249,000RMB-denominatedordinarystock1,249,000
ChenXiaojing1,239,100RMB-denominatedordinarystock1,239,100
HuWenyong1,230,011Domesticallylistedforeignstock1,230,011
TaoXiaofang1,218,400RMB-denominatedordinarystock1,218,400
XueHong1,160,000Domesticallylistedforeignstock1,160,000
Relatedoracting-in-concertpartiesamongtheshareholdersaboveItisunknownwhetherthereisamongthetop10publicshareholdersandthetop10unrestrictedpublicshareholdersanyrelatedpartiesoracting-in-concertpartiesasdefinedintheAdministrativeMeasuresforInformationRegardingShareholdingAlteration.
Top10shareholdersinvolvedinsecuritiesmargintrading(ifany)TheshareholdersChenJianandChenXiaojingrespectivelyhold50,000sharesand1,211,800sharesoftheCompanythroughtheircreditaccount.

Indicatebytickmarkwhetheranyofthetop10ordinaryshareholdersorthetop10unrestrictedordinaryshareholdersoftheCompanyconductedanypromissoryrepoduringtheReportingPeriod.

□Yes√NoNosuchcasesintheReportingPeriod.

2.NumberofPreferredShareholdersandShareholdingsofTop10ofThem

□Applicable√Notapplicable

PartIIISignificantEvents

IChangesinKeyFinancialStatementLineItemsandExplanationofwhy

√Applicable□Notapplicable

1.AccountsreceivableincreasedbyRMB381,338,419.54,or96.02%,asat31March2021comparedto31December2020,primarilybecausetheCompanyproperlyallowedcustomers’buyingoncreditformoremarketsinthecurrentquarterandmulti-cylinderdieselenginecustomersaremainlysupportingcompaniesofmainengine,whichareusuallygivenlongerpaymentdays.

2.OthercurrentassetsdecreasedbyRMB8,672,474.35,or31.77%,asat31March2021comparedto31December2020,primarilybecauseexcessVATpaidoftheCompanydecreased.

3.ConstructioninprogressincreasedbyRMB56,104,226.82,or84.36%,asat31March2021comparedto31December2020,primarilydrivenbyanincreaseinconstructioninvestmentbywholly-ownedsubsidiaryJiangsuChangchaiMachineryCo.,Ltd.

4.EmployeebenefitspayabledecreasedbyRMB21,068,831.24,or42.03%,asat31March2021comparedto31December2020,mainlybecauseaccruedsalaryandbonusinlastperiodwaspartiallypaidinthisperiod.

5.NetprofitattributabletoownersoftheCompanyastheparentwentupbyRMB23,166,962.21,or1649.72%,duringQ12021comparedtoQ12020,primarilydrivenbyanincreaseinsalesrevenue.

6.NetcashgeneratedfromoperatingactivitieswentdownbyRMB203,474,326.11,duringQ12021comparedtoQ12020,primarilybecauseaccountsreceivableincreased,andprocurementcostsincreasedassalesexpanded.

7.NetcashgeneratedfrominvestingactivitieswentdownbyRMB62,758,435.88duringQ12021comparedtoQ12020,primarilydrivenbyanincreaseinconstructioninvestmentbywholly-ownedsubsidiaryJiangsuChangchaiMachineryCo.,Ltd.andthepaymentofcapitalincreasetoHoushengNewEnergy.

IIProgress,InfluenceandSolutionswithregardtoSignificantEvents

√Applicable□Notapplicable

On9April2020,the24

thmeetingofthe8

thboardofdirectorsoftheCompanydiscussedandapprovedtheNon-publicOfferingPlanoftheCompanyfor2020.TheCompanyintendedtomakenon-publicissuanceofdomesticcommonshareslistedinRMBtospecificobjects,andthismatterwasapprovedbythecontrollingshareholderChangzhouInvestmentGroupCo.,Ltd.andwasreviewedandadoptedinthemeetingofshareholdersof2019.On18September2020,thetemporarymeetingoftheboardofdirectorsoftheCompanydiscussedandapprovedtherelevantrevisionmattersconcerningnon-publicissuanceofshares,theCompanysupplementedandimprovedtheforesaidplanaccordingtotherelevantrevisionmatters,andpreparedtheNon-publicOfferingPlanoftheCompanyfor2020(RevisionVersion),whichwasdiscussedandapprovedinthesecondtemporarymeetingofshareholdersin2020.TheapplicationoftheCompanyaboutnon-publicofferingin2020wasreviewedandapprovedbytheIssuanceExaminationCommissionofChinaSecuritiesRegulatoryCommissionandtheCompanyreceivedthewrittenapprovaldocumentfromChinaSecuritiesRegulatoryCommission.NowtheCompanyisactivelycarryingoutrelevantworkonnon-publicoffering.Progressofanysharerepurchase:

□Applicable√Notapplicable

Progressofanyreductionoftherepurchasedsharesthroughcentralizedbidding:

□Applicable√Notapplicable

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

□Applicable√NotapplicableNosuchcasesintheReportingPeriod.

IVSecuritiesInvestments

1.SecuritiesInvestments

√Applicable□Notapplicable

Unit:RMB

VarietyofsecuritiesCodeofsecuritiesNameofsecuritiesInitialinvestmentcostAccountingmeasurementmodelBeginningcarryingvalueGain/lossonfairvaluechangesintheReportingPeriodCumulativefairvaluechangesrecordedintoequityPurchasedintheReportingPeriodSoldintheReportingPeriodGain/lossintheReportingPeriodEndingcarryingvalueAccountingitemCapitalresources
Domestic/foreignstock600166FotonMotor41,784,000.00Fairvaluemeasurement455,175,000.000.00459,468,350.000.000.000.00582,335,000.00OtherequityinstrumentinvestmentSelf-ownedfunds
Domestic/foreignstock600919BankofJiangsu42,786,000.00Fairvaluemeasurement127,764,000.000.0092,320,200.000.000.000.00151,398,000.00OtherequityinstrumentSelf-ownedfunds
investment
Domestic/foreignstock300912KailongHighTechnology20,001,268.00Fairvaluemeasurement38,282,105.00664,026.000.000.000.00664,026.0038,946,131.00Othernon-currentfinancialassetsSelf-ownedfunds
OthersecuritiesinvestmentsheldattheendoftheReportingPeriod0.00--0.000.00----
Total104,571,268.00--621,221,105.00664,026.00551,788,550.000.000.00664,026.00772,679,131.00----
DisclosuredateofannouncementonBoard’sconsentforsecuritiesinvestment
Disclosuredateofannouncementonshareholders’meeting’sconsentforsecuritiesinvestment(ifany)

2.InvestmentsinDerivativeFinancialInstruments

□Applicable√NotapplicableNosuchcasesintheReportingPeriod.VProgressofProjectsFinancedwithRaisedFunds

□Applicable√Notapplicable

VIOperatingPerformanceForecastforJanuary-June2021

Warningofaforecastlossonoraforecastsignificantyear-on-yearchangeintheaccumulativenetprofitfromthe

beginningoftheyeartotheendofthenextreportingperiod,aswellasexplanationofwhy:

□Applicable√NotapplicableVIISignificantContractsArisingfromtheCompany’sOrdinaryCourseofBusiness

□Applicable√NotapplicableVIIICashEntrustedforWealthManagement

√Applicable□Notapplicable

Unit:RMB’0,000

SpecifictypeCapitalresourcesAmountincurredUnduebalanceOverdueamount
BrokerfinancialproductsSelf-ownedfunds7301,1300
Total7301,1300

Particularsofentrustedcashmanagementwithsinglesignificantamountorlowsecurity,badliquidity,andnocapitalpreservation

□Applicable√NotapplicableWhetherthereisthecasewheretheprincipalcannotberecoveredatmaturityorothercasewhichmaycauseimpairmentforentrustedassetmanagement

□Applicable√Notapplicable

IXIrregularitiesintheProvisionofGuarantees

□Applicable√NotapplicableNosuchcasesintheReportingPeriod.XOccupationoftheCompany’sCapitalbytheControllingShareholderoranyofItsRelatedPartiesforNon-OperatingPurposes

□Applicable√NotapplicableNosuchcasesintheReportingPeriod.XICommunicationswiththeInvestmentCommunitysuchasResearches,InquiriesandInterviewsReceivedduringtheReportingPeriod

√Applicable□Notapplicable

DateofvisitPlaceofvisitWayofvisitTypeofvisitorVisitorContentsandmaterialsprovidedIndextomaininquiryinformation
2021-3-30EasyIROtherIndividualIndividualinvestorOperationanddividendoftheCompanyEasyIR
2021-3-12EasyIROtherIndividualIndividualinvestorProgressonnon-publicofferingofsharesbytheCompanyEasyIR
2021-3-5EasyIROtherIndividualIndividualinvestorFittingsofagriculturalmachineryproductsoftheCompanyEasyIR
2021-3-5EasyIROtherIndividualIndividualinvestorAgriculturalmachineryproductsoftheCompanyEasyIR
2021-3-4EasyIROtherIndividualIndividualinvestorTheCompany'slayoutinthenewenergyindustryEasyIR
2021-3-2EasyIROtherIndividualIndividualinvestorTheCompany'slayoutinthenewenergyindustryEasyIR
2021-3-1EasyIROtherIndividualIndividualinvestorTheCompany’smeasuresactivelyrespondingtonationalruralrevitalizationEasyIR
2021-2-25EasyIROtherIndividualIndividualinvestorRemunerationandbonusofemployeesoftheCompanyEasyIR
2021-2-24EasyIROtherIndividualIndividualinvestorDevelopmentsuggestionsEasyIR
2021-2-22EasyIROtherIndividualIndividualinvestorInvestmentsuggestionsEasyIR
2021-2-22EasyIROtherIndividualIndividualinvestorProgressonnon-publicofferingofsharesbytheCompanyEasyIR
2021-2-22EasyIROtherIndividualIndividualinvestorInfluenceofpoliciesonproductsoftheCompanyEasyIR
2021-2-22EasyIROtherIndividualIndividualinvestorProfitoftheCompanyin2020EasyIR
2021-2-21EasyIROtherIndividualIndividualinvestorInfluenceofpoliciesontheCompanyEasyIR
2021-2-21EasyIROtherIndividualIndividualinvestorSalesvolumeofagriculturalmachineryoftheCompanyEasyIR
2021-2-21EasyIROtherIndividualIndividualinvestorSalesvolumeofdieselenginesandrelatedgeneratorsetsoftheCompanyEasyIR
2021-2-19EasyIROtherIndividualIndividualinvestorNumberofshareholdersoftheCompanyEasyIR
2021-2-18EasyIROtherIndividualIndividualinvestorProductionsituationoflithiumbatterybaffleprojectEasyIR
2021-2-18EasyIROtherIndividualIndividualinvestorExternalcooperationoftheCompanyEasyIR
2021-2-3EasyIROtherIndividualIndividualinvestorSuggestionsonexternalcooperativedevelopmentEasyIR
2021-2-3EasyIROtherIndividualIndividualinvestorRemunerationandbonusofemployeesoftheCompanyEasyIR
2021-2-3EasyIROtherIndividualIndividualinvestorInformationdisclosureoftheCompanyEasyIR
2021-2-2EasyIROtherIndividualIndividualinvestorBusinessscopeEasyIR
2021-1-25EasyIROtherIndividualIndividualinvestorDevelopmentsuggestionsEasyIR
2021-1-25EasyIROtherIndividualIndividualinvestorTheCompany'slayoutinthenewenergyindustryEasyIR
2021-1-22EasyIROtherIndividualIndividualinvestorCustomersituationoflithiumbatterybaffleprojectEasyIR
2021-1-22EasyIROtherIndividualIndividualinvestorNumberofemployeesEasyIR
2021-1-18EasyIROtherIndividualIndividualinvestorOperationandprofitoflithiumbatterybaffleprojectEasyIR
2021-1-6EasyIROtherIndividualIndividualinvestorExternalcooperationoftheCompanyEasyIR
2021-1-5EasyIROtherIndividualIndividualinvestorPhaseIIconstructionoflithiumbatterybaffleprojectEasyIR
2021-1-5EasyIROtherIndividualIndividualinvestorInvestmentinequityofKailongHighTechnologyEasyIR
2021-1-5EasyIROtherIndividualIndividualinvestorTheCompany'slayoutinthenewenergyindustryEasyIR
2021-1-5EasyIROtherIndividualIndividualinvestorPhaseIIconstructionoflithiumbatterybaffleprojectEasyIR

PartIVFinancialStatements

IFinancialStatements

1.ConsolidatedBalanceSheetPreparedbyChangchaiCompany,Limited

31March2021

Unit:RMB

Item31March202131December2020
Currentassets:
Monetaryassets549,889,360.21760,728,222.85
Settlementreserve
Interbankloansgranted
Held-for-tradingfinancialassets11,300,000.0011,500,272.00
Derivativefinancialassets
Notesreceivable475,807,269.35600,140,938.05
Accountsreceivable778,492,436.03397,154,016.49
Accountsreceivablefinancing
Prepayments10,503,095.299,357,840.75
Premiumsreceivable
Reinsurancereceivables
Receivablereinsurancecontractreserve
Otherreceivables6,245,758.026,212,062.80
Including:Interestreceivable
Dividendsreceivable
Financialassetspurchasedunderresaleagreements
Inventories534,218,373.72606,680,340.55
Contractassets
Assetsheldforsale
Currentportionofnon-currentassets
Othercurrentassets18,626,888.3727,299,362.72
Totalcurrentassets2,385,083,180.992,419,073,056.21
Non-currentassets:
Loansandadvancestocustomers
Investmentsindebtobligations
Investmentsinotherdebtobligations
Long-termreceivables
Long-termequityinvestments
Investmentsinotherequityinstruments835,931,950.87685,137,950.87
Othernon-currentfinancialassets125,697,620.2598,732,938.63
Investmentproperty45,687,240.8346,239,326.03
Fixedassets434,629,415.15454,181,555.68
Constructioninprogress122,606,659.2366,502,432.41
Productivelivingassets
Oilandgasassets
Right-of-useassets
Intangibleassets157,935,906.74158,870,631.71
Developmentcosts
Goodwill
Long-termprepaidexpense13,693.2013,693.20
Deferredincometaxassets4,231,873.154,231,873.15
Othernon-currentassets22,151,095.0619,971,006.56
Totalnon-currentassets1,748,885,454.481,533,881,408.24
Totalassets4,133,968,635.473,952,954,464.45
Currentliabilities:
Short-termborrowings22,000,000.0022,000,000.00
Borrowingsfromthecentralbank
Interbankloansobtained
Held-for-tradingfinancialliabilities
Derivativefinancialliabilities
Notespayable648,619,500.00595,346,000.00
Accountspayable583,254,363.62612,757,392.46
Advancesfromcustomers656,506.66661,612.17
Contractliabilities37,152,261.3335,944,517.15
Financialassetssoldunderrepurchaseagreements
Customerdepositsandinterbankdeposits
Payablesforactingtradingofsecurities
Payablesforunderwritingofsecurities
Employeebenefitspayable29,058,330.2350,127,161.47
Taxespayable4,838,616.102,869,485.41
Otherpayables196,883,165.38197,545,076.08
Including:Interestpayable
Dividendspayable3,891,433.833,891,433.83
Handlingchargesandcommissionspayable
Reinsurancepayables
Liabilitiesdirectlyassociatedwithassetsheldforsale
Currentportionofnon-currentliabilities
Othercurrentliabilities5,435,553.315,233,947.12
Totalcurrentliabilities1,527,898,296.631,522,485,191.86
Non-currentliabilities:
Insurancecontractreserve
Long-termborrowings
Bondspayable
Including:Preferredshares
Perpetualbonds
Leaseliabilities
Long-termpayables
Long-termemployeebenefitspayable
Provisions
Deferredincome56,949,737.6056,949,737.60
Deferredincometaxliabilities103,436,664.7080,671,598.82
Othernon-currentliabilities
Totalnon-currentliabilities160,386,402.30137,621,336.42
Totalliabilities1,688,284,698.931,660,106,528.28
Owners’equity:
Sharecapital561,374,326.00561,374,326.00
Otherequityinstruments
Including:Preferredshares
Perpetualbonds
Capitalreserves164,328,665.43164,328,665.43
Less:Treasurystock
Othercomprehensiveincome553,657,658.24425,482,758.24
Specificreserve18,812,986.5518,812,986.55
Surplusreserves325,451,531.14325,451,531.14
Generalreserve
Retainedearnings802,470,334.49777,899,079.66
TotalequityattributabletoownersoftheCompanyastheparent2,426,095,501.852,273,349,347.02
Non-controllinginterests19,588,434.6919,498,589.15
Totalowners’equity2,445,683,936.542,292,847,936.17
Totalliabilitiesandowners’equity4,133,968,635.473,952,954,464.45

Legalrepresentative:ShiXinkunGeneralmanager:ZhangXinHeadoftheCompany’sfinancialdepartment:JiangHe

2.BalanceSheetoftheCompanyastheParent

Unit:RMB

Item31March202131December2020
Currentassets:
Monetaryassets476,010,891.53682,322,659.41
Held-for-tradingfinancialassets
Derivativefinancialassets
Notesreceivable472,437,869.35581,230,938.05
Accountsreceivable695,794,996.90317,828,161.25
Accountsreceivablefinancing
Prepayments5,954,920.636,592,567.26
Otherreceivables23,791,683.4824,327,355.36
Including:Interestreceivable
Dividendsreceivable
Inventories406,485,554.89475,688,026.57
Contractassets
Assetsheldforsale
Currentportionofnon-currentassets
Othercurrentassets2,457,547.1617,521,203.46
Totalcurrentassets2,082,933,463.942,105,510,911.36
Non-currentassets:
Investmentsindebtobligations
Investmentsinotherdebtobligations
Long-termreceivables
Long-termequityinvestments435,752,730.03375,752,730.03
Investmentsinotherequityinstruments835,931,950.87685,137,950.87
Othernon-currentfinancialassets78,750,000.0052,500,000.00
Investmentproperty45,687,240.8346,239,326.03
Fixedassets352,115,121.32369,194,314.03
Constructioninprogress28,110,977.4526,195,189.06
Productivelivingassets
Oilandgasassets
Right-of-useassets
Intangibleassets67,287,829.1668,088,982.37
Developmentcosts
Goodwill
Long-termprepaidexpense
Deferredincometaxassets4,179,544.864,179,544.86
Othernon-currentassets
Totalnon-currentassets1,847,815,394.521,627,288,037.25
Totalassets3,930,748,858.463,732,798,948.61
Currentliabilities:
Short-termborrowings5,000,000.005,000,000.00
Held-for-tradingfinancialliabilities
Derivativefinancialliabilities
Notespayable640,879,000.00589,534,000.00
Accountspayable547,382,988.34550,360,564.07
Advancesfromcustomers656,506.66661,612.17
Contractliabilities32,345,200.2432,344,514.86
Employeebenefitspayable22,329,962.7242,455,158.67
Taxespayable1,070,869.931,099,861.63
Otherpayables180,536,752.53184,513,545.20
Including:Interestpayable
Dividendspayable3,243,179.973,243,179.97
Liabilitiesdirectlyassociatedwithassetsheldforsale
Currentportionofnon-currentliabilities
Othercurrentliabilities2,425,890.022,426,575.40
Totalcurrentliabilities1,432,627,170.441,408,395,832.00
Non-currentliabilities:
Long-termborrowings
Bondspayable
Including:Preferredshares
Perpetualbonds
Leaseliabilities
Long-termpayables
Long-termemployeebenefitspayable
Provisions
Deferredincome56,949,737.6056,949,737.60
Deferredincometaxliabilities98,079,292.6375,460,192.63
Othernon-currentliabilities
Totalnon-currentliabilities155,029,030.23132,409,930.23
Totalliabilities1,587,656,200.671,540,805,762.23
Owners’equity:
Sharecapital561,374,326.00561,374,326.00
Otherequityinstruments
Including:Preferredshares
Perpetualbonds
Capitalreserves183,071,147.70183,071,147.70
Less:Treasurystock
Othercomprehensiveincome553,657,658.24425,482,758.24
Specificreserve18,812,986.5518,812,986.55
Surplusreserves325,451,531.14325,451,531.14
Retainedearnings700,725,008.16677,800,436.75
Totalowners’equity2,343,092,657.792,191,993,186.38
Totalliabilitiesandowners’equity3,930,748,858.463,732,798,948.61

Legalrepresentative:ShiXinkunGeneralmanager:ZhangXinHeadoftheCompany’sfinancialdepartment:JiangHe

3.ConsolidatedIncomeStatement

Unit:RMB

ItemQ12021Q12020
1.Revenue774,218,489.69538,139,070.21
Including:Operatingrevenue774,218,489.69538,139,070.21
Interestincome
Insurancepremiumincome
Handlingchargeandcommissionincome
2.Costsandexpenses737,847,784.06531,160,471.23
Including:Costofsales658,879,419.02468,694,592.90
Interestexpense
Handlingchargeandcommissionexpense
Surrenders
Netinsuranceclaimspaid
Netamountprovidedasinsurancecontractreserve
Expenditureonpolicydividends
Reinsurancepremiumexpense
Taxesandsurcharges3,065,396.253,081,767.05
Sellingexpense34,871,649.3127,568,943.45
Administrativeexpense22,926,455.8317,172,240.77
R&Dexpense19,118,309.5715,470,032.84
Financecosts-1,013,445.92-827,105.78
Including:Interestexpense778,030.13272,391.02
Interestincome1,419,334.801,559,568.83
Add:Otherincome299,348.30805,876.00
Returnoninvestment(“-”forloss)187,090.0651,031.10
Including:Shareofprofitorlossofjointventuresandassociates
Incomefromthederecognitionoffinancialassetsatamortizedcost(“-”forloss)
Exchangegain(“-”forloss)
Netgainonexposurehedges(“-”forloss)
Gainonchangesinfairvalue(“-”forloss)664,026.00
Creditimpairmentloss(“-”forloss)-8,105,470.30-5,148,895.63
Assetimpairmentloss(“-”forloss)
Assetdisposalincome(“-”forloss)6,800.10-29,514.41
3.Operatingprofit(“-”forloss)29,422,499.792,657,096.04
Add:Non-operatingincome656,281.69131,146.74
Less:Non-operatingexpense599,437.10368,721.44
4.Profitbeforetax(“-”forloss)29,479,344.382,419,521.34
Less:Incometaxexpense4,818,244.011,008,368.05
5.Netprofit(“-”fornetloss)24,661,100.371,411,153.29
5.1Byoperatingcontinuity
5.1.1Netprofitfromcontinuingoperations(“-”fornetloss)24,661,100.371,411,153.29
5.1.2Netprofitfromdiscontinuedoperations(“-”fornetloss)
5.2Byownership
5.2.1NetprofitattributabletoownersoftheCompanyastheparent24,571,254.831,404,292.62
5.2.2Netprofitattributabletonon-controllinginterests89,845.546,860.67
6.Othercomprehensiveincome,netoftax128,174,900.00-40,987,000.00
AttributabletoownersoftheCompanyastheparent128,174,900.00-40,987,000.00
6.1Itemsthatwillnotbereclassifiedtoprofitorloss128,174,900.00-40,987,000.00
6.1.1Changescausedbyremeasurementsondefinedbenefitschemes
6.1.2Othercomprehensiveincomethatwillnotbereclassifiedtoprofitorlossundertheequitymethod
6.1.3Changesinthefairvalueofinvestmentsinotherequityinstruments128,174,900.00-40,987,000.00
6.1.4Changesinthefairvaluearisingfromchangesinowncreditrisk
6.1.5Other
6.2Itemsthatwillbereclassifiedtoprofitorloss
6.2.1Othercomprehensiveincomethatwillbereclassifiedtoprofitorlossundertheequitymethod
6.2.2Changesinthefairvalueofinvestmentsinotherdebtobligations
6.2.3Othercomprehensiveincomearisingfromthe
reclassificationoffinancialassets
6.2.4Creditimpairmentallowanceforinvestmentsinotherdebtobligations
6.2.5Reserveforcashflowhedges
6.2.6Differencesarisingfromthetranslationofforeigncurrency-denominatedfinancialstatements
6.2.7Other
Attributabletonon-controllinginterests
7.Totalcomprehensiveincome152,836,000.37-39,575,846.71
AttributabletoownersoftheCompanyastheparent152,746,154.83-39,582,707.38
Attributabletonon-controllinginterests89,845.546,860.67
8.Earningspershare
8.1Basicearningspershare0.04380.0025
8.2Dilutedearningspershare0.04380.0025

Legalrepresentative:ShiXinkunGeneralmanager:ZhangXinHeadoftheCompany’sfinancialdepartment:JiangHe

4.IncomeStatementoftheCompanyastheParent

Unit:RMB

ItemQ12021Q12020
1.Operatingrevenue731,331,198.20503,170,117.52
Less:Costofsales627,530,021.12442,502,103.14
Taxesandsurcharges2,153,521.992,157,929.61
Sellingexpense31,562,894.2725,275,600.91
Administrativeexpense17,958,617.7612,115,923.01
R&Dexpense18,500,648.5315,078,747.40
Financecosts-1,526,696.66-1,041,410.01
Including:Interestexpense560,514.7854,875.67
Interestincome1,338,682.161,479,923.86
Add:Otherincome224,000.00300,000.00
Returnoninvestment(“-”forloss)
Including:Shareofprofitorlossofjointventuresandassociates
Incomefromthederecognitionoffinancialassetsatamortizedcost(“-”forloss)
Netgainonexposurehedges(“-”forloss)
Gainonchangesinfairvalue(“-”forloss)
Creditimpairmentloss(“-”forloss)-8,105,470.30-4,870,810.22
Assetimpairmentloss(“-”forloss)
Assetdisposalincome(“-”forloss)6,800.10-29,514.41
2.Operatingprofit(“-”forloss)27,277,520.992,480,898.83
Add:Non-operatingincome118,709.9814,530.00
Less:Non-operatingexpense300,313.271,380.00
3.Profitbeforetax(“-”forloss)27,095,917.702,494,048.83
Less:Incometaxexpense4,171,346.29374,107.32
4.Netprofit(“-”fornetloss)22,924,571.412,119,941.51
4.1Netprofitfromcontinuingoperations(“-”fornetloss)22,924,571.412,119,941.51
4.2Netprofitfromdiscontinuedoperations(“-”fornetloss)
5.Othercomprehensiveincome,netoftax128,174,900.00-40,987,000.00
5.1Itemsthatwillnotbereclassifiedtoprofitorloss128,174,900.00-40,987,000.00
5.1.1Changescausedbyremeasurementsondefinedbenefitpensionschemes
5.1.2Othercomprehensiveincomethatwillnotbereclassifiedtoprofitorlossundertheequitymethod
5.1.3Changesinthefairvalueofinvestmentsinotherequityinstruments128,174,900.00-40,987,000.00
5.1.4Changesinthefairvalueofthecompany’screditrisks
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.Totalcomprehensiveincome151,099,471.41-38,867,058.49
7.Earningspershare
7.1Basicearningspershare
7.2Dilutedearningspershare

Legalrepresentative:ShiXinkunGeneralmanager:ZhangXinHeadoftheCompany’sfinancialdepartment:JiangHe

5.ConsolidatedCashFlowStatement

Unit:RMB

ItemQ12021Q12020
1.Cashflowsfromoperatingactivities:
Proceedsfromsaleofcommoditiesandrenderingofservices489,688,618.36395,541,506.92
Netincreaseincustomerdepositsandinterbankdeposits
Netincreaseinborrowingsfromthecentralbank
Netincreaseinloansfromotherfinancialinstitutions
Premiumsreceivedonoriginalinsurancecontracts
Netproceedsfromreinsurance
Netincreaseindepositsandinvestmentsofpolicyholders
Interest,handlingchargesandcommissionsreceived
Netincreaseininterbankloansobtained
Netincreaseinproceedsfromrepurchasetransactions
Netproceedsfromactingtradingofsecurities
Taxrebates10,464,646.998,340,486.99
Cashgeneratedfromotheroperatingactivities2,794,943.413,091,386.85
Subtotalofcashgeneratedfromoperatingactivities502,948,208.76406,973,380.76
Paymentsforcommoditiesandservices549,122,439.03282,175,437.06
Netincreaseinloansandadvancestocustomers
Netincreaseindepositsinthecentralbankandininterbankloansgranted
Paymentsforclaimsonoriginalinsurancecontracts
Netincreaseininterbankloansgranted
Interest,handlingchargesandcommissionspaid
Policydividendspaid
Cashpaidtoandforemployees103,795,716.5077,363,224.39
Taxespaid12,047,444.927,741,784.34
Cashusedinotheroperatingactivities22,467,000.7620,703,001.31
Subtotalofcashusedinoperatingactivities687,432,601.21387,983,447.10
Netcashgeneratedfrom/usedinoperatingactivities-184,484,392.4518,989,933.66
2.Cashflowsfrominvestingactivities:
Proceedsfromdisinvestment7,300,000.004,550,000.00
Returnoninvestment107,580.0628,074.94
Netproceedsfromthedisposaloffixedassets,intangibleassetsandotherlong-livedassets43,495.1446,500.00
Netproceedsfromthedisposalofsubsidiariesandotherbusinessunits
Cashgeneratedfromotherinvestingactivities
Subtotalofcashgeneratedfrominvestingactivities7,451,075.204,624,574.94
Paymentsfortheacquisitionoffixedassets,intangibleassetsandotherlong-livedassets64,189,330.1825,124,094.04
Paymentsforinvestments33,550,000.006,100,000.00
Netincreaseinpledgedloansgranted
Netpaymentsfortheacquisitionofsubsidiariesandotherbusinessunits
Cashusedinotherinvestingactivities930,300.00
Subtotalofcashusedininvestingactivities97,739,330.1832,154,394.04
Netcashgeneratedfrom/usedininvestingactivities-90,288,254.98-27,529,819.10
3.Cashflowsfromfinancingactivities:
Capitalcontributionsreceived
Including:Capitalcontributionsbynon-controllingintereststosubsidiaries
Borrowingsobtained7,000,000.00
Cashgeneratedfromotherfinancingactivities1,391,000.00
Subtotalofcashgeneratedfromfinancingactivities8,391,000.00
Repaymentsofborrowings7,000,000.00
Paymentsforinterestanddividends289,328.14272,391.02
Including:Dividendspaidbysubsidiariestonon-controllinginterests
Cashusedinotherfinancingactivities
Subtotalofcashusedinfinancingactivities7,289,328.14272,391.02
Netcashgeneratedfrom/usedinfinancingactivities1,101,671.86-272,391.02
4.Effectofforeignexchangeratechangesoncashandcashequivalents
5.Netincreaseincashandcashequivalents-273,670,975.57-8,812,276.46
Add:Cashandcashequivalents,beginningoftheperiod629,939,540.50544,584,744.17
6.Cashandcashequivalents,endoftheperiod356,268,564.93535,772,467.71

Legalrepresentative:ShiXinkunGeneralmanager:ZhangXinHeadoftheCompany’sfinancialdepartment:JiangHe

6.CashFlowStatementoftheCompanyastheParent

Unit:RMB

ItemQ12021Q12020
1.Cashflowsfromoperatingactivities:
Proceedsfromsaleofcommoditiesandrenderingofservices448,318,646.97354,637,979.41
Taxrebates8,868,604.585,440,557.38
Cashgeneratedfromotheroperatingactivities2,152,635.692,354,261.65
Subtotalofcashgeneratedfromoperatingactivities459,339,887.24362,432,798.44
Paymentsforcommoditiesandservices523,031,644.55254,044,882.14
Cashpaidtoandforemployees91,529,134.3965,955,095.38
Taxespaid7,997,764.913,705,225.58
Cashusedinotheroperatingactivities18,996,860.8316,543,652.69
Subtotalofcashusedinoperatingactivities641,555,404.68340,248,855.79
Netcashgeneratedfrom/usedinoperatingactivities-182,215,517.4422,183,942.65
2.Cashflowsfrominvestingactivities:
Proceedsfromdisinvestment
Returnoninvestment
Netproceedsfromthedisposaloffixedassets,intangibleassetsandotherlong-livedassets43,495.1446,500.00
Netproceedsfromthedisposalofsubsidiariesandotherbusinessunits
Cashgeneratedfromotherinvestingactivities
Subtotalofcashgeneratedfrominvestingactivities43,495.1446,500.00
Paymentsfortheacquisitionoffixedassets,intangibleassetsandotherlong-livedassets1,958,483.506,656,932.63
Paymentsforinvestments86,250,000.0015,000,000.00
Netpaymentsfortheacquisitionofsubsidiariesandotherbusinessunits
Cashusedinotherinvestingactivities
Subtotalofcashusedininvestingactivities88,208,483.5021,656,932.63
Netcashgeneratedfrom/usedininvestingactivities-88,164,988.36-21,610,432.63
3.Cashflowsfromfinancingactivities:
Capitalcontributionsreceived
Borrowingsobtained
Cashgeneratedfromotherfinancingactivities1,391,000.00
Subtotalofcashgeneratedfromfinancingactivities1,391,000.00
Repaymentsofborrowings
Paymentsforinterestanddividends54,375.0154,875.67
Cashusedinotherfinancingactivities
Subtotalofcashusedinfinancingactivities54,375.0154,875.67
Netcashgeneratedfrom/usedinfinancingactivities1,336,624.99-54,875.67
4.Effectofforeignexchangeratechangesoncashandcashequivalents
5.Netincreaseincashandcashequivalents-269,043,880.81518,634.35
Add:Cashandcashequivalents,beginningoftheperiod559,573,331.81497,777,104.81
6.Cashandcashequivalents,endoftheperiod290,529,451.00498,295,739.16

Legalrepresentative:ShiXinkunGeneralmanager:ZhangXinHeadoftheCompany’sfinancialdepartment:JiangHe

IIAdjustmentstotheFinancialStatements

1.AdjustmentstotheFinancialStatementsattheBeginningoftheFirstExecutionYearoftheNewStandardsGoverningLeasesfrom2021

□Applicable√Notapplicable

2.RetrospectiveRestatementofPreviousComparativeDataduetotheFirstExecutionoftheNewStandardsGoverningLeasesfrom2021

□Applicable√Notapplicable

IIIIndependentAuditor’sReportIndicatebytickmarkwhetherthefinancialstatementsabovehavebeenauditedbyanindependentauditor.

□Yes√NoThesefinancialstatementshavenotbeenauditedbysuchanauditor.


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