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长安B:2019年第三季度报告全文(英文版) 下载公告
公告日期:2019-10-31

2019 Third Quarter Report

Of

Chongqing Changan Automobile Company Limited

October, 2019

Chapter 1 Important NotesThe Board of Directors, the Supervisory Committee and directors, supervisors and seniormanagement of Chongqing Changan Automobile Company Limited (hereinafter referred to as “theCompany”) hereby guarantee that no false or misleading statement or major omission was made tothe materials in this report and that they will assume all the responsibilities, individually and jointly,for the trueness, accuracy and completeness of the contents of this report.All directors attended the board meeting for reviewing the third quarter report.The Chairman of the Board Zhang Baolin, the Chief Financial Officer Zhang Deyong and theresponsible person of the accounting institution (Accountant in charge) Chen Jianfeng herebydeclare that the Financial Statements enclosed in this report are true, accurate and complete.

Chapter 2 Basic Information

I. Main accounting data and financial indicatorsDoes the company conduct the retrospective adjustment or restatement of previous years accounting data due to changes inaccounting policies or accounting errors?

□Yes √No

In RMB Yuan

The reporting periodThe same period of last yearVariance (%)
Total assets92,946,725,363.8193,488,854,098.95-0.58%
Net assets attributable to shareholders of listed company43,567,997,650.6646,244,958,676.52-5.79%
The reporting periodVariance (%)Amount of the period from the beginning of year to the end of report termVariance (%)
Operating income15,239,641,870.977.25%45,115,421,967.81-9.50%
Net profit attributable to shareholders of the Company-421,470,641.215.61%-2,661,510,402.32-328.83%
Net profit excluding non-recurring gains and losses attributable to shareholders of listed company-621,493,786.9112.65%-3,533,261,383.35-22,328.47%
cash flow from operating activities--3,757,823,903.36306.76%
Basic earnings per share-0.0811.11%-0.55-329.17%
Diluted earnings per share----
Weighted average return on net assets-0.96%Decrease by 0.01 percentage points-5.93%Decrease by 8.39 percentage points
ItemAmount of the period from the beginning of year to the end of report term
Gain/loss of non-current assets14,557,748.80
Government subsidies accounted into current gain/loss account, other than those closely related to the Company’s common business, comply with the national policy and continues to enjoy at certain fixed rate or amount.762,226,068.65
In addition to the effective hedging business related to the normal business of the company, the gains and losses from changes in fair value arising from the holding of trading financial assets, derivative financial assets, trading financial liabilities, derivative financial liabilities, and disposal of transactional financial assets, derivative finance Investment income from assets, trading financial liabilities, derivative financial liabilities and other debt investments127,407,169.45
Other non-business income and expenditures other than the above-9,009,286.44
Interest on deferred payment of funds received by non financial enterprises23,336,168.02
Less: Influenced amount of income tax34,721,308.93
Influenced amount of minority shareholders’ equity12,045,578.52
Total871,750,981.03
As of the reporting period, the total number of shareholders170,799Total number of preferred shareholders with voting rights restored at the end of the reporting period (if any)0
Top 10 Shareholders
Name of the shareholderProperties of shareholderPercentage of total shares (%)Number of sharesConditional sharesPledging or freezing
Share statusAmount
China South Industries Group Co., Ltd.State-owned legal person shares21.56%1,035,312,673No pledge or frozen-
China Changan Automobile Co., Ltd.State-owned legal person shares19.32%928,044,946139,762,403No pledge or frozen-
China securities finance Co, Ltddomestic general legal person shares4.88%234,265,333No pledge or frozen-
United Prosperity (Hong Kong) Investment Co., Limited.foreign legal person shares3.21%154,120,237No pledge or frozen-
Central Huijin Investment Ltd.domestic general legal person shares1.15%55,393,100No pledge or frozen-
DRAGON BILLION SELECT MASTER FUNDforeign legal person shares0.85%40,597,114No pledge or frozen-
National Social Security Fund 107 combinationfund, finance products, etc.0.76%36,489,867No pledge or frozen
GIC PRIVATE LIMITEDforeign legal person shares0.73%35,283,393No pledge or frozen-
Hong Kong Central Clearing Company Limitedforeign legal person shares0.63%30,458,221No pledge or frozen-
National Social Security Fund 116 combinationfund, finance products, etc.0.45%21,707,388No pledge or frozen-
Top 10 holders of unconditional shares
Name of the shareholderAmount of shares without sales restrictionCategory of shares
Category of sharesCategory of shares
China South Industries Group Co., Ltd.1,035,312,673RMB ordinary shares1,035,312,673
China Changan Automobile Co., Ltd.788,282,543RMB ordinary shares788,282,543
China securities finance Co, Ltd234,265,333RMB ordinary shares234,265,333
United Prosperity (Hong Kong) Investment Co., Limited.154,120,237Domestic listed foreign shares154,120,237
Central Huijin Investment Ltd.55,393,100RMB ordinary shares55,393,100
DRAGON BILLION SELECT MASTER FUND40,597,114Domestic listed foreign shares40,597,114
National Social Security Fund 107 combination36,489,867RMB ordinary shares36,489,867
GIC PRIVATE LIMITED35,283,393Domestic listed foreign shares35,283,393
Hong Kong Central Clearing Company Limited30,458,221RMB ordinary shares30,458,221
National Social Security Fund 116 combination21,707,388RMB ordinary shares21,707,388
Explanation on the relationship and the action alike of above shareholdersAmong the top 10 shareholders, China South Industries Group Co., Ltd., the actual controller; China Changan Automobile Group Co., Ltd., the controlling shareholder, and its wholly owned subsidiary United Prosperity (Hong Kong) Investment Co., Limited. belong to the concerted actor regulated by “Disclosure Administration of Shares Change Information of

The Listed Company”.

Whether the company top 10 shareholders of ordinary shares, and the top 10 circulated shareholders agreed on the repurchasetransactions during the report period

□Applicable √Not Applicable

The top 10 shareholders of ordinary shares, and the top 10 circulated shareholders have not agreed on the repurchase transactionsduring the report period

2. Total number of preferred shareholders at the end of the reporting period and statement on preferredshares held by the top ten tradable shareholders

□Applicable √Not Applicable

Chapter 3 Important MattersI. Significant changes & reasons in major accounting data, financial indicators

√Applicable □Not Applicable

As at the end of reporting period, the company’s total asset was 92.991 billion Yuan,with 0.53% decrease compared with the beginning of the year;The total liability was 49.520 billion Yuan, with 4.61% increase compared with the beginning of the year. The debt asset ratio was 53.25%,which was 2.62 percentage points higher than that at the beginning of the year. The huge variance of transactional financial assets、other equity investment and Available for sale financial assets mainly result from the reclassification of available-for-sale financial assets;The balance of advances from customers increased compared with the beginning of the year, mainly due to the increase in on-transit vehicles that the company had invoiced but did not reach the dealers at the end of the quarter;The balance of payroll payables decreased mainly due to the reduction of the accrued payment;The balance of taxes payable decreased mainly due to the decrease in the consumption tax payable; The balance of other payables

increased compared with the beginning of the year, mainly due to the increase in the deposit of the dealer acceptance bill received.During the reporting period, the investment profit and loss decreased significantly, mainly due to the decrease in investmentincome of joint ventures and joint ventures;Net profit attributable to owners of the parent company decreased significantly, mainlydue to the decline in sales of the company.

During the reporting period, the net increase of cash and cash equivalents rised significantly,mainly due to the significantdecrease in net cash flows from investing activities and the significant increase in net cash flows from operating activities;the netcash flow from operating activities increased significantly, mainly due to the decrease span of cash paid for goods and servicespurchased greater than that received for goods sold and services provided;the net cash flows from investing activities decreased ona year-on-year basis, mainly due to the decrease in cash paid for investing and the purchase and construction of fixed assets,intangible assets and other long-term assets. The net cash flow from financing activities increased significantly compared with thesame period of last year, mainly due to the decrease in debt repayment and cash dividend distribution as compared with the sameperiod of last year.

II. The progress and influence of significant events and the analysis and explanation onresolving proposal

□Applicable √Not Applicable

III. Commitments made within the reporting period by the controlling shareholders,shareholders, related party, acquirer and the company overdue and not fulfilled

□Applicable √Not Applicable

During the reporting period, the company's actual controllers, shareholders, related parties, purchasers and companies and othercommitment parties don’t have any overdue unfulfilled commitments.

IV. Forecast of operation performance of 2019The warning or a reason for a loss or a significant change of cumulative net profit from the beginning of the year to the end of thenext reporting period compared with the same period of last year

□Applicable √Not Applicable

V. Securities investment

√Applicable □Not Applicable

Securities varietySecurities codeSecurities short nameInitial investment cost(Yuan)Number of shares held at the beginning ofPercentage of shares held at the beginningNumber of shares held at the end of the periodPercentage of shares held at the end of theBook value at the end of the periodReporting period profit and loss (Yuan)Accounting accoSource of shar
the period(Share)of the period(Share)period(Yuan)untes
Stock600369Southwest Securities50,000,00035,500,0000.63%35,500,0000.63%160,105,00031,080,250.00Transactional financial assetsInitial investment
Stock300750CATL1,052,930,406.3622,999,5751.05%22,999,5751.04%1,497,623,480.7577,215,844.03Transactional financial assetsInitial investment
Total1,102,930,406.3658,499,575--58,499,575--1,657,728,480.75108,296,094.03----
DateMannerObjectContent discussed and material offered
2019.01.02On-Site SurveyInstitutionFor details, see the January 4, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: January 2, 2019 investor relations activities record sheet
2019.01.10On-Site SurveyInstitutionFor details, see the January 14, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: January 10, 2019 investor relations activities record sheet(1)
2019.01.10On-Site SurveyInstitutionFor details, see the January 14, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: January 10, 2019 investor relations activities record sheet(2)
2019.01.10On-Site SurveyInstitutionFor details, see the January 14, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: January 10, 2019 investor relations activities record sheet(3)
2019.01.11On-Site SurveyInstitutionFor details, see the January 14, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: January 11, 2019 investor relations activities record sheet(1)
2019.01.11On-Site SurveyInstitutionFor details, see the January 14, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: January 11, 2019 investor relations activities record sheet(2)
2019.01.15On-Site SurveyInstitutionFor details, see the January 17, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: January 15, 2019 investor relations activities record sheet
2019.01.15On-Site SurveyInstitutionFor details, see the January 18, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: January 15, 2019 investor relations activities record sheet(2)
2019.01.16On-Site SurveyInstitutionFor details, see the January 18, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: January 16, 2019 investor relations activities record sheet
2019.01.18On-Site SurveyInstitutionFor details, see the January 22, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: January 18, 2019 investor relations activities record sheet
2019.01.22On-Site SurveyInstitutionFor details, see the January 24, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: January 22, 2019 investor relations activities record sheet(1)
2019.01.22On-Site SurveyInstitutionFor details, see the January 24, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: January 22, 2019 investor relations activities record sheet(2)
2019.02.26On-Site SurveyInstitutionFor details, see the February 27, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: February 26, 2019 investor relations activities record sheet
2019.02.28On-Site SurveyInstitutionFor details, see the March 1, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: February 28, 2019 investor relations activities record sheet
2019.03.05On-Site SurveyInstitutionFor details, see the March 7, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: March 5, 2019 investor relations activities record sheet
2019.03.14On-Site SurveyInstitutionFor details, see the March 18, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: March 14, 2019 investor relations activities record sheet(1)
2019.03.14On-SiteInstitutionFor details, see the March 18, 2019 Shenzhen stock exchange interactive
Survey(http://irm.cninfo.com.cn) on the Changan Automobile: March 14, 2019 investor relations activities record sheet
2019.03.19On-Site SurveyInstitutionFor details, see the March 20, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: March 19, 2019 investor relations activities record sheet
2019.03.22On-Site SurveyInstitutionFor details, see the March 25, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: March 22, 2019 investor relations activities record sheet
2019.04.30On-Site SurveyInstitutionFor details, see the May 7, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: April 30, 2019 investor relations activities record sheet
2019.05.06On-Site SurveyInstitutionFor details, see the May 7, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: May 6, 2019 investor relations activities record sheet
2019.05.10On-Site SurveyInstitutionFor details, see the May 13, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: May 10, 2019 investor relations activities record sheet
2019.05.14On-Site SurveyInstitutionFor details, see the May 16, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: May 14, 2019 investor relations activities record sheet
2019.06.12On-Site SurveyInstitutionFor details, see the May 7, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: May 6, 2019 investor relations activities record sheet
2019.06.12On-Site SurveyInstitutionFor details, see the June 14, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: June 12, 2019 investor relations activities record sheet
2019.06.21On-Site SurveyInstitutionFor details, see the June 25, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: June 21, 2019 investor relations activities record sheet
2019.06.28On-Site SurveyInstitutionFor details, see the July 2, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: June 28, 2019 investor relations activities record sheet
2019.07.03On-Site SurveyInstitutionFor details, see the July 5, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: July 3, 2019 investor relations activities record sheet
2019.07.05On-Site SurveyInstitutionFor details, see the July 10, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: July 5, 2019 investor relations activities record sheet
2019.07.19On-Site SurveyInstitutionFor details, see the July 23, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: July 19, 2019 investor relations activities record sheet
2019.07.23On-Site SurveyInstitutionFor details, see the July 24, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: July 23, 2019 investor relations
activities record sheet
2019.07.24On-Site SurveyInstitutionFor details, see the July 26, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: July 24, 2019 investor relations activities record sheet (1)
2019.07.24On-Site SurveyInstitutionFor details, see the July 26, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: July 24, 2019 investor relations activities record sheet (2)
2019.09.09On-Site SurveyInstitutionFor details, see the September 11, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: September 9, 2019 investor relations activities record sheet
2019.09.10On-Site SurveyInstitutionFor details, see the September 11, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: September 10, 2019 investor relations activities record sheet
2019.09.11On-Site SurveyInstitutionFor details, see the September 12, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: September 11, 2019 investor relations activities record sheet (1)
2019.09.11On-Site SurveyInstitutionFor details, see the September 12, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: September 11, 2019 investor relations activities record sheet (2)
2019.09.18On-Site SurveyInstitutionFor details, see the September 18, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: September 18, 2019 investor relations activities record sheet
2019.09.26On-Site SurveyInstitutionFor details, see the September 29, 2019 Shenzhen stock exchange interactive (http://irm.cninfo.com.cn) on the Changan Automobile: September 26, 2019 investor relations activities record sheet

Chapter 4 Financial StatementsI. Financial Statements

1. Consolidated Balance Sheet

Prepared by: CHONGQING CHANGAN AUTOMOBILE CO., LTD.

September 30, 2019

In RMB Yuan

AccountEnding BalanceOpening Balance
Current assets:
Cash10,510,594,343.299,980,544,526.14
Tradable financial assets1,657,728,480.75
Notes receivable17,685,913,990.6920,561,625,805.24
Accounts receivable2,062,766,851.131,409,419,600.50
Prepayments933,110,268.67866,249,749.51
Other receivables3,619,079,956.703,250,452,923.70
Inventories5,795,866,531.084,917,420,457.19
Other current assets2,220,766,320.172,227,565,353.23
Total current assets44,485,826,742.4843,213,278,415.51
Non-current assets:
Long-term equity investments12,239,728,020.9213,275,170,118.83
Investment in other equity instruments504,572,800.00
Available-for-sale financial assets1,957,873,311.31
Investment properties7,159,527.617,329,561.28
Fixed assets22,999,637,127.2122,161,054,058.31
Construction in progress5,163,264,798.795,383,844,030.75
Intangible assets5,371,286,282.005,018,243,552.80
Development expenditure583,825,055.99789,597,615.60
Goodwill9,804,394.009,804,394.00
Long-term deferred expenses16,857,185.2017,104,601.67
Deferred tax assets1,564,763,429.611,655,554,438.89
Total non-current assets48,460,898,621.3350,275,575,683.44
TOTAL ASSETS92,946,725,363.8193,488,854,098.95
Current liabilities:
Short-term loans229,580,000.00190,000,000.00
Notes payable13,442,200,071.3414,807,862,262.39
Accounts payable14,670,597,516.1713,916,201,276.95
Advances from customers3,366,892,439.121,556,482,278.92
Payroll payable774,352,946.071,362,995,277.56
Taxes payable329,908,762.40669,316,487.25
Other payables4,694,200,184.743,079,749,015.81
Non-current liabilities within one year6,594,120.00
Other current liabilities3,773,050,469.494,325,441,152.61
Total current liabilities41,280,782,389.3339,914,641,871.49
Non-current liabilities:
Long-term payables290,124,611.27303,590,824.69
Long-term payroll payable49,511,133.3753,837,000.00
Estimated liabilities3,578,683,047.903,245,322,744.12
Deferred Revenue4,138,018,290.993,683,308,534.73
Deferred tax liabilities138,768,628.97135,231,170.59
Total non-current liabilities8,195,105,712.507,421,290,274.13
Total liabilities49,475,888,101.8347,335,932,145.62
Owners’ equity (or Shareholders’ equity):
Share capital4,802,648,511.004,802,648,511.00
Capital reserves5,057,242,440.175,057,242,440.17
Other comprehensive income271,377,450.64235,509,930.44
Special reserves76,351,898.5641,222,369.10
Surplus reserves2,401,324,255.502,401,324,255.50
Retained earnings30,959,053,094.7933,707,011,170.31
Equity attributable to owners43,567,997,650.6646,244,958,676.52
Minority interests-97,160,388.68-92,036,723.19
Total Owners’ equity (or Shareholders’ equity)43,470,837,261.9846,152,921,953.33
Liabilities and owners' equity (or shareholders' equity) in total92,946,725,363.8193,488,854,098.95

2. Balance Sheet

In RMB Yuan

AccountEnding BalanceOpening Balance
Current assets:
Cash6,783,904,476.197,310,973,018.99
Tradable financial assets160,105,000.00
Notes receivable16,657,797,746.4219,391,160,283.70
Accounts receivable6,540,857,455.375,679,160,679.69
Prepayments674,680,338.75671,849,711.04
Other receivables2,444,558,642.882,344,318,158.83
Inventories4,137,293,209.043,851,783,233.12
Other current assets1,249,781,601.521,355,155,749.21
Total current assets38,648,978,470.1740,604,400,834.58
Non-current assets:
Long-term equity investments17,340,580,410.6918,017,137,600.72
Investment in other equity instruments494,662,800.00
Available-for-sale financial assets541,182,000.00
Fixed assets17,844,661,368.9816,795,537,563.35
Construction in progress3,911,485,504.044,114,409,774.13
Intangible assets4,099,740,569.714,054,893,372.88
Development expenditure408,355,613.79559,309,970.45
Long-term deferred expenses10,675,460.6312,555,353.69
Deferred tax assets1,441,970,444.781,533,057,523.95
Other non-current assets250,000,000.00
Total non-current assets45,552,132,172.6245,878,083,159.16
TOTAL ASSETS84,201,110,642.7986,482,483,993.75
Current liabilities:
Short-term loans29,580,000.00
Notes payable11,730,268,174.8413,572,757,870.72
Accounts payable12,072,292,829.8810,690,985,635.15
Advances from customers2,942,458,998.751,208,631,011.05
Payroll payable476,373,239.331,001,765,362.99
Taxes payable205,806,523.67604,525,457.30
Other payables3,165,452,017.823,219,909,047.22
Other current liabilities3,040,696,181.763,923,419,042.37
Total current liabilities33,662,927,966.0534,221,993,426.80
Non-current liabilities:
Long-term payables221,150,961.51248,240,115.29
Long-term payroll payable20,403,675.8224,315,000.00
Estimated liabilities2,630,952,805.022,372,512,543.49
Deferred Revenue2,836,480,796.102,827,208,446.74
Deferred tax liabilities32,168,492.0426,683,742.04
Total non-current liabilities5,741,156,730.495,498,959,847.56
Total liabilities39,404,084,696.5439,720,953,274.36
Owners’ equity (or Shareholders’ equity):
Share capital4,802,648,511.004,802,648,511.00
Capital reserves4,705,917,638.384,705,917,638.38
Other comprehensive income149,525,803.58149,525,803.58
Special reserves26,350,160.9319,835,367.61
Surplus reserves2,401,324,255.502,401,324,255.50
Retained earnings32,711,259,576.8634,682,279,143.32
Total Owners’ equity (or Shareholders’ equity)44,797,025,946.2546,761,530,719.39
Liabilities and owners' equity (or shareholders' equity) in total84,201,110,642.7986,482,483,993.75
AccountCurrent PeriodPrior Period
1. Total operating income15,239,641,870.9714,208,826,200.12
2. Total operating cost15,436,958,851.5214,849,743,608.98
Including: Operating cost12,377,295,658.3811,649,373,012.29
Tax and surcharges499,570,118.20485,653,007.58
Operating expenses1,373,059,373.361,369,530,915.47
General and administrative expenses878,020,881.021,206,719,665.90
R&D expenses344,466,229.22256,006,612.90
Financial expenses-35,453,408.66-117,539,605.16
Add: Other income141,492,994.54294,983,400.18
Investment income (‘-‘ represent loss)-414,068,660.88-129,235,929.05
Including: Investment income from associates and joint venture-469,708,441.67-130,437,799.33
Gains from changes in fair value87,070,018.18
Credit impairment loss-4,361,637.66
Asset impairment loss-1,796,176.94
Gain on disposal of assets5,165,289.522,320,259.90
3.Operating profit-382,018,976.85-474,645,854.77
Add: Non-operating income5,135,954.7921,403,080.23
Less: Non-operating expenses20,336,854.4713,091,796.95
4.Total profit-397,219,876.53-466,334,571.49
Less: Income tax expense25,352,762.93-19,920,848.15
5.Net profit-422,572,639.46-446,413,723.34
Classification by going concern
Net profit attributable to owners-421,470,641.21-446,525,102.83
Minority interests-1,101,998.25111,379.49
6.Other comprehensive income, net of tax13,299,672.0717,439,867.39
Net after-tax net of other comprehensive income attributable to the parent company owner13,299,672.0717,439,867.39
Other comprehensive income that will be reclassified into profit or loss13,299,672.0717,439,867.39
Other comprehensive income of convertible gains and losses under the equity method-9,692,020.90
Gains and losses from changes in fair value of available-for-sale financial assets-8,449,000.00
Foreign currency financial statement translation difference13,299,672.0735,580,888.29
7.Total comprehensive income-409,272,967.39-428,973,855.95
Total comprehensive income attributable to owners-408,170,969.14-429,085,235.44
Total comprehensive income attributable to minority interest-1,101,998.25111,379.49
8.Earnings per share
Basic earnings per share-0.08-0.09
Diluted earnings per shareN/AN/A
AccountCurrent PeriodPrior Period
1.Operating revenue14,120,637,727.7213,093,065,037.67
Less: Operating cost12,031,564,713.4110,883,881,181.83
Tax and surcharges358,002,714.07378,993,565.82
Operating expenses968,592,956.551,266,350,051.18
General and administrative expenses690,004,773.64978,001,082.16
Research and development expenses244,023,383.38281,359,134.12
Financial expenses-32,976,211.68-115,817,102.01
Add: Other income34,022,327.3746,580,913.63
Investment income-384,329,858.65-126,115,875.65
Including: Investment income from associates and joint venture-431,385,259.48-130,437,799.33
Gains from changes in fair value-15,265,000.00
Credit impairment loss-2,514,873.36
Asset impairment loss-747,130.34
Gain on disposal of assets3,009,509.763,485,853.61
2.Operating profit-503,652,496.53-656,499,114.18
Add: Non-operating income3,122,855.8815,865,485.40
Less: Non-operating expenses18,753,563.3412,646,697.02
3.Total profit-519,283,203.99-653,280,325.80
Less: Income tax expense-3,216,467.13-12,512,741.46
4.Net profit-516,066,736.86-640,767,584.34
项目本期发生额上期发生额
1. Total operating income45,115,421,967.8149,851,658,390.16
2. Total operating cost47,846,343,996.8751,224,849,363.25
Including: Operating cost39,796,706,285.3042,264,218,716.74
Tax and surcharges1,579,840,592.981,772,568,209.15
Operating expenses2,816,275,914.663,912,993,343.98
General and administrative expenses2,138,385,000.992,255,596,087.56
R&D expenses1,647,422,320.751,362,531,453.29
Financial expenses-132,286,117.81-343,058,447.47
Add: Other income762,226,068.651,411,214,619.50
Investment income-522,405,370.821,232,775,886.06
Including: Investment income from associates and joint venture-578,045,151.611,231,574,015.78
Gains from changes in fair value127,407,169.45
Credit impairment loss-13,891,371.32
Asset impairment loss-152,676,538.06-110,737,599.36
Gain on disposal of assets14,557,748.8021,092,069.59
3.Operating profit-2,515,704,322.361,181,154,002.70
Add: Non-operating income23,972,635.2350,721,976.99
Less: Non-operating expenses32,981,921.6765,440,559.88
4.Total profit-2,524,713,608.801,166,435,419.81
Less: Income tax expense141,920,459.01-4,632,530.32
5.Net profit-2,666,634,067.811,171,067,950.13
Net profit attributable to owners-2,661,510,402.321,163,081,476.01
Minority interests-5,123,665.497,986,474.12
6.Other comprehensive income, net of tax35,867,520.20264,469,400.98
Net after-tax net of other comprehensive income attributable to the parent company owner35,867,520.20264,469,400.98
Other comprehensive income that will be reclassified into profit or loss35,867,520.20264,469,400.98
Other comprehensive income of convertible gains and losses under the equity method280,064,467.99
Gains and losses from changes in fair value of available-for-sale financial assets-31,985,500.00
Foreign currency financial statement translation difference35,867,520.2016,390,432.99
Net after-tax net of other comprehensive income attributable to the minority
7.Total comprehensive income-2,630,766,547.611,435,537,351.11
Total comprehensive income attributable to owners-2,625,642,882.121,427,550,876.99
Total comprehensive income attributable to minority interest-5,123,665.497,986,474.12
8.Earnings per share
Basic earnings per share-0.550.24
Diluted earnings per shareN/AN/A
AccountCurrent PeriodPrior Period
1.Operating revenue40,925,746,049.9447,302,130,753.69
Less: Operating cost36,669,471,484.3640,610,368,755.55
Tax and surcharges1,213,169,611.101,471,431,305.62
Operating expenses1,870,809,533.033,564,786,417.55
General and administrative expenses1,360,825,568.191,693,916,179.04
Research and development expenses1,591,300,039.241,369,977,610.61
Financial expenses-121,729,573.14-364,251,836.70
Add: Other income440,862,305.46808,401,420.89
Investment income-458,228,680.981,869,023,010.80
Including: Investment income from associates and joint venture-509,433,452.891,231,574,015.78
Gains from changes in fair value36,565,000.00
Credit impairment loss-6,896,127.61
Asset impairment loss-141,818,001.51-114,762,129.78
Gain on disposal of assets9,756,936.3727,458,836.63
2.Operating profit-1,777,859,181.111,546,023,460.56
Add: Non-operating income17,355,197.1738,466,685.40
Less: Non-operating expenses27,472,289.7257,358,989.48
3.Total profit-1,787,976,273.661,527,131,156.48
Less: Income tax expense96,571,829.17-44,352,572.88
4.Net profit-1,884,548,102.831,571,483,729.36
5.Other comprehensive income, net of tax-248,078,967.99
Other comprehensive income that will be reclassified into profit or loss-248,078,967.99
Other comprehensive income of convertible gains and losses under the equity method-280,064,467.99
Gains and losses from changes in fair value of available-for-sale financial assets--31,985,500.00
6.Total comprehensive income-1,884,548,102.831,819,562,697.35
AccountCurrent PeriodPrior Period
1.Cash flows from operating activities:
Cash received from sale of goods or rendering of services52,195,863,813.1864,290,961,489.90
Refunds of taxes370,518,656.33728,229,441.60
Cash received relating to other operating activities4,051,700,128.822,686,402,763.17
Subtotal of cash inflows56,618,082,598.3367,705,593,694.67
Cash paid for goods and services41,039,472,205.5354,305,861,406.86
Cash paid to and on behalf of employees4,256,843,195.404,782,070,413.71
Cash paid for all types of taxes2,275,961,263.722,212,209,891.97
Cash paid relating to other operating activities5,287,982,030.325,481,602,663.08
Subtotal of cash outflows52,860,258,694.9766,781,744,375.62
Net cash flows from operating activities3,757,823,903.36923,849,319.05
2.Cashflows from investing activities:
Cash received from investment income1,382,556,705.951,346,724,439.40
Net cash received from disposal of fixed assets, intangible assets and other long-term assets9,246,980.5823,899,810.00
Cash received relating to other investing activities2,198,000.0026,358,750.00
Subtotal of cash inflows1,394,001,686.531,396,982,999.40
Cash paid for acquisition of fixed assets, intangible assets and other long-term assets3,313,861,816.594,609,034,832.18
Cash paid for acquisition of investments936,788,517.002,541,431,126.88
Cash paid relating to other investing activities315,938,190.60
Subtotal of cash outflows4,566,588,524.197,150,465,959.06
Net cash flows from investing activities-3,172,586,837.66-5,753,482,959.66
3.Cash flows from financing activities:
Cash received from borrowings85,580,000.00176,000,000.00
Cash received relating to other financing activities6,166,032.98782,530,058.59
Subtotal of cash inflows91,746,032.98958,530,058.59
Cash repayments of borrowings52,708,100.00188,130,000.00
Cash paid for distribution of dividends or profits and interest expenses119,340,285.402,171,816,595.62
Cash paid relating to other financing activities333,635,591.15
Subtotal of cash outflows505,683,976.552,359,946,595.62
Net cash flows from financing activities-413,937,943.57-1,401,416,537.03
4.Effect of changes in exchange rate on cash30,891,589.9122,636,773.73
5.Net increase in cash and cash equivalents202,190,712.04-6,208,413,403.91
Add: Opening balance of cash and cash equivalents9,648,153,614.8021,451,305,090.53
6.Closing balance of cash and cash equivalents9,850,344,326.8415,242,891,686.62

8、Cash Flow Statement

单位:元

项目本期发生额上期发生额
1. CASH FLOWS FROM OPERATING ACTIVITIES:
Cash received from sale of goods or rendering of services47,436,005,517.0861,513,377,295.68
Refunds of taxes383,815,314.26
Cash received relating to other operating activities2,387,245,384.102,087,450,058.48
Sub-total of cash inflows49,823,250,901.1863,984,642,668.42
Cash paid for goods and services37,783,862,965.5151,657,866,443.31
Cash paid to and on behalf of employees2,963,826,773.833,816,901,040.92
Cash paid for all types of taxes1,594,920,019.031,612,304,463.01
Cash paid relating to other operating activities4,938,851,025.435,541,806,425.37
Sub-total of cash outflows47,281,460,783.8062,628,878,372.61
Net cash flows from operating activities2,541,790,117.381,355,764,295.81
2. CASH FLOWS FROM INVESTING ACTIVITIES:
Cash received from return on investments839,201.56
Cash received from investment income1,389,178,372.611,353,648,189.40
Net cash received from disposal of fixed assets, intangible assets and other long-term assets19,104,810.00
Cash received relating to other investing activities117,358,750.00
Sub-total of cash inflows1,389,178,372.611,490,950,950.96
Cash paid for acquisition of fixed assets, intangible assets and other long-term assets3,084,777,049.444,310,287,332.16
Cash paid for acquisition of investments997,294,972.552,696,187,376.88
Cash paid relating to other investing activities300,000,000.00200,000,000.00
Sub-total of cash outflows4,382,072,021.997,206,474,709.04
Net cash flows from investing activities-2,992,893,649.38-5,715,523,758.08
3. CASH FLOWS FROM FINANCING ACTIVITIES:
Cash received from borrowings29,580,000.00
Cash received relating to other financing activities461,856,503.42
Sub-total of cash inflows29,580,000.00461,856,503.42
Cash paid for distribution of dividends or profits and interest expenses105,545,010.802,161,624,947.55
Sub-total of cash outflows105,545,010.802,161,624,947.55
Net cash flows from financing activities-75,965,010.80-1,699,768,444.13
4. EFFECT OF CHANGES IN EXCHANGE RATE ON CASH
5. NET INCREASE IN CASH AND CASH EQUIVALENTS-527,068,542.80-6,059,527,906.40
Add: Opening balance of cash and cash equivalents7,310,973,018.9920,172,657,984.53
6. CLOSING BALANCE OF CASH AND CASH EQUIVLANT6,783,904,476.1914,113,130,078.13
Account2018.12.312019.1.1Adjustment
Current assets:
Cash9,980,544,526.149,980,544,526.14
Notes receivable and accounts receivable21,971,045,405.7421,971,045,405.74
Notes receivable20,561,625,805.2420,561,625,805.24
Accounts receivable1,409,419,600.501,409,419,600.50
Prepayments866,249,749.51866,249,749.51
Other receivables3,250,452,923.703,250,452,923.70
Inventories4,917,420,457.194,917,420,457.19
Holding assets for sale
Non-current assets due within one year
Other current assets2,227,565,353.232,227,565,353.23
Total current assets43,213,278,415.5143,213,278,415.51
Non-current assets:
Available-for-sale financial assets1,957,873,311.31not applicable-1,957,873,311.31
Long-term receivables
Long-term equity investments13,275,170,118.8313,275,170,118.83
Investment in other equity instrumentsnot applicable1,957,873,311.311,957,873,311.31
Investment properties7,329,561.287,329,561.28
Fixed assets22,161,054,058.3122,161,054,058.31
Construction in progress5,383,844,030.755,383,844,030.75
Intangible assets5,018,243,552.805,018,243,552.80
Development expenditure789,597,615.60789,597,615.60
Goodwill9,804,394.009,804,394.00
Long-term deferred expenses17,104,601.6717,104,601.67
Deferred tax assets1,655,554,438.891,655,554,438.89
Other non-current assets
Total non-current assets50,275,575,683.4450,275,575,683.44
TOTAL ASSETS93,488,854,098.9593,488,854,098.95
Current liabilities:
Short-term loans190,000,000.00190,000,000.00
Notes payable and accounts payable28,724,063,539.3428,724,063,539.34
Advances from customers1,556,482,278.921,556,482,278.92
Payroll payable1,362,995,277.561,362,995,277.56
Taxes payable669,316,487.25669,316,487.25
Other payables3,079,749,015.813,079,749,015.81
Non-current liabilities within one year6,594,120.006,594,120.00
Other current liabilities4,325,441,152.614,325,441,152.61
Total current liabilities39,914,641,871.4939,914,641,871.49
Non-current liabilities:
Long-term loans
Long-term payables303,590,824.69303,590,824.69
Long-term payroll payable53,837,000.0053,837,000.00
Estimated liabilities3,245,322,744.123,245,322,744.12
Deferred Revenue3,683,308,534.733,683,308,534.73
Deferred tax liabilities135,231,170.59135,231,170.59
Other non-current liabilities
Total non-current liabilities7,421,290,274.137,421,290,274.13
Total liabilities47,335,932,145.6247,335,932,145.62
Owners’ equity (or Shareholders’ equity):
Share capital4,802,648,511.004,802,648,511.00
Capital reserves5,057,242,440.175,057,242,440.17
Other comprehensive income235,509,930.44235,509,930.44
Special reserves41,222,369.1041,222,369.10
Surplus reserves2,401,324,255.502,401,324,255.50
Retained earnings33,707,011,170.3133,707,011,170.31
Equity attributable to owners46,244,958,676.5246,244,958,676.52
Minority interests-92,036,723.19-92,036,723.19
Total Owners’ equity (or Shareholders’ equity)46,152,921,953.3346,152,921,953.33
Liabilities and owners' equity (or shareholders' equity) in total93,488,854,098.9593,488,854,098.95
Account2018.12.312019.1.1Adjustment
Current assets:
Cash7,310,973,018.997,310,973,018.99
Notes receivable and accounts receivable25,070,320,963.3925,070,320,963.39
Notes receivable19,391,160,283.7019,391,160,283.70
Accounts receivable5,679,160,679.695,679,160,679.69
Prepayments671,849,711.04671,849,711.04
Other receivables2,344,318,158.832,344,318,158.83
Inventories3,851,783,233.123,851,783,233.12
Holding assets for sale
Non-current assets due within one year
Other current assets1,355,155,749.211,355,155,749.21
Total current assets40,604,400,834.5840,604,400,834.58
Non-current assets:
Available-for-sale financial assets541,182,000.00not applicable-541,182,000.00
Long-term receivables
Long-term equity investments18,017,137,600.7218,017,137,600.72
Investment in other equity instrumentsnot applicable541,182,000.00541,182,000.00
Investment properties
Fixed assets16,795,537,563.3516,795,537,563.35
Construction in progress4,114,409,774.134,114,409,774.13
Intangible assets4,054,893,372.884,054,893,372.88
Development expenditure559,309,970.45559,309,970.45
Goodwill
Long-term deferred expenses12,555,353.6912,555,353.69
Deferred tax assets1,533,057,523.951,533,057,523.95
Other non-current assets250,000,000.00250,000,000.00
Total non-current assets45,878,083,159.1745,878,083,159.17
TOTAL ASSETS86,482,483,993.7586,482,483,993.75
Current liabilities:
Short-term loans
Notes payable13,572,757,870.7213,572,757,870.72
Accounts payable10,690,985,635.1510,690,985,635.15
Advances from customers1,208,631,011.051,208,631,011.05
Payroll payable1,001,765,362.991,001,765,362.99
Taxes payable604,525,457.30604,525,457.30
Other payables3,219,909,047.223,219,909,047.22
Holding liabilities for sale
Non-current liabilities within one year
Other current liabilities3,923,419,042.373,923,419,042.37
Total current liabilities34,221,993,426.8034,221,993,426.80
Non-current liabilities:
Long-term loans
Long-term payables248,240,115.29248,240,115.29
Long-term payroll payable24,315,000.0024,315,000.00
Estimated liabilities2,372,512,543.492,372,512,543.49
Deferred Revenue2,827,208,446.742,827,208,446.74
Deferred tax liabilities26,683,742.0426,683,742.04
Other non-current liabilities
Total non-current liabilities5,498,959,847.565,498,959,847.56
Total liabilities39,720,953,274.3639,720,953,274.36
Owners’ equity (or Shareholders’ equity):
Share capital4,802,648,511.004,802,648,511.00
Capital reserves4,705,917,638.384,705,917,638.38
Other comprehensive income149,525,803.58149,525,803.58
Special reserves19,835,367.6119,835,367.61
Surplus reserves2,401,324,255.502,401,324,255.50
Retained earnings34,682,279,143.3234,682,279,143.32
Total Owners’ equity (or Shareholders’ equity)46,761,530,719.3946,761,530,719.39
Liabilities and owners' equity (or shareholders' equity) in total86,482,483,993.7586,482,483,993.75

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