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深康佳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

KONKAGROUPCO.,LTD.THIRDQUARTERREPORT2019

2019-102

October2019

PartIImportantNotes

TheBoardofDirectors(orthe“Board”),theSupervisoryCommitteeaswellasthedirectors,supervisorsandseniormanagementofKonkaGroupCo.,Ltd.(togetherwithitsconsolidatedsubsidiaries,the“Company”,exceptwherethecontextotherwiserequires)herebyguaranteethefactuality,accuracyandcompletenessofthecontentsofthisReportanditssummary,andshallbejointlyandseverallyliableforanymisrepresentations,misleadingstatementsormaterialomissionstherein.AlltheCompany’sdirectorshaveattendedtheBoardmeetingforthereviewofthisReportanditssummary.LiuFengxi,theCompany’slegalrepresentative,LiChunlei,theCompany’sChiefFinancialOfficer(CFO),andFengJunxiu,headoftheCompany’sfinancialdepartment(equivalenttofinancialmanager)herebyguaranteethatthefinancialstatementscarriedinthisReportarefactual,accurateandcomplete.ThisReportanditssummaryhavebeenpreparedinbothChineseandEnglish.Shouldtherebeanydiscrepanciesormisunderstandingsbetweenthetwoversions,theChineseversionsshallprevail.

PartIIKeyCorporateInformation

IKeyConsolidatedFinancialInformationIndicatebytickmarkwhetherthereisanyretrospectivelyrestateddatuminthetablebelow.

□Yes√No

Exceptionalgainsandlosses:

√Applicable□NotapplicableUnit:RMB

Item

ItemQ1-Q32019Note
Gain/Lossarisingfromdisposalofnon-currentassets(inclusiveofimpairmentallowancewrite-offs)676,642,041.23
Governmentsubsidiesrecognizedinthecurrentperiod,exceptforthoseacquiredintheordinarycourseofbusinessorgrantedatcertainquotasoramountsaccordingtothegovernment’sunifiedstandards616,080,972.15
Gain/Lossonentrustingotherswithinvestmentsorassetmanagement134,559,649.39
Gain/Lossonchangesinfairvaluearisingfromholdingoftradingfinancialassetsandliabilitiesandinvestmentincomefromdisposaloftradingfinancialassets,financialliabilitiesandavailable-for-salefinancialassetsotherthaneffectivehedgebusinessrelatedtotheCompany’snormaloperatingbusinesses-13,291,264.69
30September201931December2018Change(%)
Totalassets(RMB)41,668,497,548.1932,985,061,889.0326.33%
Equityattributabletothelistedcompany’sshareholders(RMB)8,334,866,038.718,104,736,790.532.84%
Q32019YoYchange(%)Q1-Q32019YoYchange(%)
Operatingrevenue(RMB)15,644,806,446.7928.91%41,681,249,260.6340.05%
Netprofitattributabletothelistedcompany’sshareholders(RMB)97,725,667.6311.00%450,492,688.364.81%
Netprofitattributabletothelistedcompany’sshareholdersbeforeexceptionalitems(RMB)-423,396,028.22-109.27%-1,046,307,661.79-107.94%
Netcashgeneratedfrom/usedinoperatingactivities(RMB)-----2,572,579,841.9411.20%
Basicearningspershare(RMB/share)0.040610.93%0.18714.82%
Dilutedearningspershare(RMB/share)0.040610.93%0.18714.82%
Weightedaveragereturnonequity(%)1.20%0.10%5.40%0.16%

Gain/lossonentrustmentloans

Gain/lossonentrustmentloans1,459,119.47
Othernon-operatingincomeandexpenseotherthantheabove55,926,248.85
Othergainsandlossesthatmeetdefinitionofexceptionalgain/loss240,824,796.53
Less:Incometaxeffects98,385,181.09
Non-controllinginterestseffects(netoftax)117,016,031.69
Total1,496,800,350.15--

ExplanationofwhytheCompanyreclassifiesasrecurrentanexceptionalgain/lossitemdefinedorlistedintheExplanatoryAnnouncementNo.1onInformationDisclosureforCompaniesOfferingTheirSecuritiestothePublic—ExceptionalGain/LossItems:

√Applicable□Notapplicable

ItemAmount(RMB)Reason
Taxrebatesonsoftware29,365,991.65RecurrentgovernmentsubsidiesgivenintheCompany’sordinarycourseofbusinessatfixedquotasoramountsaspergovernment’suniformstandards

IITotalNumberofShareholdersandHoldingsofTop10Shareholdersat30September2019

1.NumbersofOrdinaryShareholdersandPreferredShareholderswithResumedVotingRightsaswellasHoldingsofTop10Shareholders

Unit:share

Numberofordinaryshareholders94,131Numberofpreferredshareholderswithresumedvotingrights(ifany)0
Top10shareholders
NameofshareholderNatureofshareholderShareholdingpercentageNumberofsharesRestrictedsharesSharesinpledgeorfrozen
StatusShares
OVERSEASCHINESETOWNENTERPRISESCO.,LTDState-ownedlegalperson21.75%523,746,9320
CITICSECURITIESBROKERAGE(HONGKONG)CO.,LTD.Foreignlegalperson7.56%182,100,2020
HOLYTIMEGROUPLIMITEDForeignlegalperson2.33%56,139,1000
GUOYUANSECURITIESBROKER(HK)CO.,LTD.Foreignlegalperson2.25%54,203,7790
GAOLINGFUND,L.P.Foreignlegalperson2.19%52,801,2500
HONGKONGSECURITIESCLEARINGCOMPANYLTD.Foreignlegalperson0.99%23,763,1690
CHINAMERCHANTSSECURITIES(HK)LIMITEDState-ownedlegalperson0.96%23,060,2240
NAMNGAIForeignnaturalperson0.88%21,207,3400
NATIONALSOCIALSECURITYFUNDNO.118PORTFOLIOOther0.88%21,099,5370

CHENWEIQIN

CHENWEIQINDomesticnaturalperson0.69%16,656,8220
Top10unrestrictedshareholders
NameofshareholderUnrestrictedsharesSharesbytype
TypeShares
OVERSEASCHINESETOWNENTERPRISESCO.,LTD523,746,932RMB-denominatedordinarystock523,746,932
CITICSECURITIESBROKERAGE(HONGKONG)CO.,LTD.182,100,202Domesticallylistedforeignstock182,100,202
HOLYTIMEGROUPLIMITED56,139,100Domesticallylistedforeignstock56,139,100
GUOYUANSECURITIESBROKER(HK)CO.,LTD.54,203,779Domesticallylistedforeignstock54,203,779
GAOLINGFUND,L.P.52,801,250Domesticallylistedforeignstock52,801,250
HONGKONGSECURITIESCLEARINGCOMPANYLTD.23,763,169RMB-denominatedordinarystock23,763,169
CHINAMERCHANTSSECURITIES(HK)LIMITED23,060,224Domesticallylistedforeignstock23,060,224
NAMNGAI21,207,340Domesticallylistedforeignstock21,207,340
NATIONALSOCIALSECURITYFUNDNO.118PORTFOLIO21,099,537RMB-denominatedordinarystock21,099,537
CHENWEIQIN16,656,822RMB-denominatedordinarystock16,656,822
Relatedoracting-in-concertpartiesamongshareholdersaboveJialongInvestmentLimited,awholly-fundedsubsidiaryoftheCompany’sfirstmajorityshareholderOverseasChineseTownEnterprisesCo.(“OCTGroup”forshort),holds180,001,110and18,360,000commonsharesintheCompanyrespectivelythroughCITICSecuritiesBrokerage(HongKong)Co.,Ltd.andChinaMerchantsSecurities(HK)Limited.JialongInvestmentLimitedandOverseasChineseTownEnterprisesCo.arepartiesactinginconcert.Otherthanthat,itisunknownwhethertheothershareholdersarerelatedpartiesoracting-in-concertpartiesornot.
Top10ordinaryshareholdersinvolvedinsecuritiesmargintrading(ifany)ChenWeiqinholds16,656,822A-sharesintheCompanythroughhisaccountofcollateralsecuritiesformargintradinginCITICSecuritiesCompanyLimited.

Indicatebytickmarkwhetheranyofthetop10ordinaryshareholdersorthetop10unrestrictedordinaryshareholdersoftheCompanyconductedanypromissoryrepoduringtheReportingPeriod.

□Yes√NoNosuchcasesintheReportingPeriod.

2.NumberofPreferredShareholdersandShareholdingsofTop10ofThem

□Applicable√Notapplicable

PartIIISignificantEvents

IChangesinSelectedConsolidatedFinancialStatementLineItemsandExplanationofwhy

√Applicable□Notapplicable(I)IntheReportingPeriod,theCompanycarriedonwithitslong-termdevelopmentstrategyof“Technology+Industry+Park”,acceleratingitsstrategictransformationandupgradewithrespectto“OneCentricOrientation,TwoDevelopmentPaths,ThreeDevelopmentStrategiesandFourBusinessGroups”andachievedthefollowingfruits.

1.DuringtheReportingPeriod,theCompanycontinuedtoincreaseitsinvestmentinR&D,thoroughlyresearchanddevelopcoretechnologiesandimprovecompetitivenessofmainbusiness.Ontheonehand,theCompanyactivelymadedeepapplicationofadvancedtechnologiessuchasAI,8Kand5Ginproductresearchanddevelopmentandsuccessivelylaunchedaseriesofcoretechnologyproductssuchas8KTV,panoramicAITVandOLEDTV.Ontheotherhand,theCompanyfurtherstrengtheneditstechnologylayoutinnewdisplaytechnology,newmaterials,energysavingandenvironmentprotection.Itsetupacademicianworkstationandsemi-conductorandoptoelectronicsresearchinstituteintendingtodrivehigh-qualitydevelopmentoftheCompanythroughinnovationsandbreakthroughsincoretechnologies.

2.Inaccordancewiththelong-termdevelopmentstrategyof“Technology+Industry+Park”,duringtheReportingPeriod,theCompanysuccessfullydelistedlandsusedforprojectsofChuzhouMinghuHealthCommunity,DongguanCity’sNewPlant,ChongqingKonkaSemi-conductorOptoelectronicsIndustrialPark,YantaiHealthAcceleratorIndustrialParkandHaimenHeadquartersforEasternChinawithsmoothproceedingofotherprojectsofindustrialpark.

3.Duetotherapiddevelopmentofemergingbusinesses,forQ1~Q3of2019,theCompanyrealizedtheoperatingrevenueofRMB41.68billionwithanincreaseof40.05%comparedwiththatofthesameperiodoflastyear.(II)ChangesinKeyFinancialStatementLineItems

Unit:RMB’0,000(inRMBtenthousandyuan)

Item

Item30September20191January2019ChangeChange(%)Mainreasonforchange
Prepayments377,035.20103,697.92273,337.28263.59%Remarkableincreaseinbusinessinrelationtoenvironmentalprotectionandsupplychainmanagement
Non-currentfinanicalassets154,876.4454,823.00100,053.44182.50%Newlyaddedinvestmentsinopto-electronicsindustryfund
Interestspayable14,989.112,723.0612,266.05450.45%IssueofcorporatebondsofRMB5billioninthisyear
Long-termborrowings181,269.5744,500.00136,769.57307.35%Increaseinnewlyaddedlong-termborrowingsofsubsidiaries
ItemQ1~Q32019Q1~Q32018ChangeChange(%)Mainreasonforchange

Operatingrevenue

Operatingrevenue4,168,124.932,976,172.991,191,951.9440.05%YoYincreaseinoperatingrevenueandcostofsalesregardingsupplychainmanagementbusinessfortheReportingPeriodandnewlyaddedbusinessinrelationtoenvironmentalprotection
Costofsales3,960,148.072,806,358.271,153,789.8041.11%
R&Dexpense31,910.2322,674.739,235.5040.73%ContinuouslyenhancementofR&Dinputsinthisyear
Assetdisposalincome29,370.586,357.5123,013.07361.98%DisposalofassetsbysubsidiariesintheReportingPeriod
Netcashgeneratedfrom/usedininvestingactivities-101,394.11-73,803.61-27,590.50-37.38%Increaseininvestingoffixedassetsandintangibleassetsinthisyear

IIProgress,InfluenceandSolutionswithregardtoSignificantEvents

√Applicable□Notapplicable

1.ThelandshavebeenobtainedforprojectsofChuzhouMinghuHealthCommunity,DongguanCity’sNewPlant,ChongqingKonkaSemi-conductorOptoelectronicsIndustrialPark,YantaiHealthAcceleratorIndustrialParkandHaimenHeadquartersforEasternChinaduringtheReportingPeriod.AsforKonkaSmartTerminalsHigh-TechIndustrialParkinYibin,KonkaElectronicsTechnologyIndustrialParkinSuining,KonkaSmartAppliancesandEquipmentIndustrialParkinChuzhouandLankaoEnvironmentalProtectionBusinessIndustrialBase,therelevantconstructionisunderthepreparationorinprogress.

2.In2018LaunchofestablishingtheOrientKonkaIndustrialM&AFundrespectivelyholds

11.77%ofsharesinJiangxiYahuaElectronicMaterialsCo.,Ltd.,2.75%ofsharesinShenzhenGenewTechnologiesCo.,Ltd.,3.74%ofsharesinRoshowTechnologyCo.,Ltd.,and11.73%ofsharesinShenzhenGrenRFCommunicationCo.,Ltd.throughinvestments.

3.PrivateplacementofcorporatebondsofRMB0.6billion:ThematterhasbeenreviewedandapprovedinthegeneralmeetingoftheCompany,andthepreparationforrelevantdeclarationmaterialsisunderway.

AnnouncementonsignificanteventDisclosuredateWebsitelinktoannouncement
AnnouncementontheIssuanceResultsofthePrivatePlacementofCorporateBonds(PhaseIII)in201924July2019http://www.cninfo.com.cn/new/index
AnnouncementonReceivingtheNoticeofCSRContheexaminationoftheApplicationforResumptionofAdministrativeLicense10September2019
AnnouncementonCompletionofChangesinRegistrationforTransferofthe51%EquityInterestsinChuzhouKangjinHealthIndustrialDevelopmentCo.,Ltd.27September2019
TheCompletionoftheRegistrationofChongqingKonkaSemiconductorOpto-electronicsResearchInstitute9October2019

Progressofanysharerepurchase:

□Applicable√Notapplicable

Progressofanyreductionoftherepurchasedsharesthroughcentralizedbidding:

□Applicable√NotapplicableIIICommitmentsthattheCompany’sActualController,Shareholders,RelatedParties,Acquirers,theCompanyItselforOtherParties,FailedtoFulfillonTimeduringtheReportingPeriod

□Applicable√NotapplicableNosuchcasesintheReportingPeriod.IVSecuritiesInvestments

□Applicable√NotapplicableNosuchcasesintheReportingPeriod.VWealthManagementEntrustment

□Applicable√NotapplicableNosuchcasesintheReportingPeriod.VIInvestmentsinDerivativeFinancialInstruments

□Applicable√NotapplicableNosuchcasesintheReportingPeriod.VIICommunicationswiththeInvestmentCommunitysuchasResearches,InquiriesandInterviewsduringtheReportingPeriod

√Applicable□Notapplicable

Date

DateWayofCommunicationTypeofcommunicationpartyIndextomaininformationcommunicated
28June2019On-sitemeetingInstitutionhttp://www.cninfo.com.cn/new/index
3July2019On-sitemeetingInstitution
17July2019On-sitemeetingInstitution
20August2019On-sitemeetingInstitution
11September2019On-sitemeetingInstitution

VIIIIrregularitiesintheProvisionofGuarantees

□Applicable√NotapplicableNosuchcasesintheReportingPeriod.IXOccupationoftheCompany’sCapitalbytheControllingShareholderorItsRelatedPartiesforNon-OperatingPurposes

□Applicable√NotapplicableNosuchcasesintheReportingPeriod.

PartIVFinancialStatements

IFinancialStatements

1.ConsolidatedBalanceSheetPreparedbyKonkaGroupCo.,Ltd.

30September2019

Unit:RMB

Item

Item30September201931December2018
Currentassets:
Monetarycapital6,994,794,669.874,348,144,129.53
Settlementreserve
Interbankloansgranted
Tradingfinancialassets61,494,666.97
Financialassetsatfairvaluethroughprofitorloss5,464,984.92
Derivativefinancialassets
Notesreceivable1,822,756,223.183,329,711,954.15
Accountsreceivable5,384,468,569.954,458,053,586.42
Accountsreceivablefinancing30,428,416.44
Prepayments3,770,352,017.291,036,979,167.56
Premiumsreceivable
Reinsurancereceivables
Receivablereinsurancecontractreserve
Otherreceivables1,177,221,079.26410,804,180.50
Including:Interestsreceivable5,833,162.554,059,682.40
Dividendsreceivable547,848.62547,848.62
Financialassetspurchasedunderresaleagreements
Inventories6,471,061,158.115,487,605,227.05
Contractualassets
Assetsclassifiedasheldforsale
Currentportionofnon-currentassets51,791,485.9122,318,208.13
Othercurrentassets1,524,910,157.612,744,216,141.98
Totalcurrentassets27,289,278,444.5921,843,297,580.24
Non-currentassets:

Loansandadvancestocustomers

Loansandadvancestocustomers
Investmentsindebtobligations
Available-for-salefinancialassets633,664,881.33
Investmentsinotherdebtobligations
Held-to-maturityinvestments
Long-termreceivables412,670,698.02390,793,038.05
Long-termequityinvestments2,964,002,398.802,637,780,825.53
Investmentsinotherequityinstruments19,140,214.36
Othernon-currentfinancialassets1,548,764,400.00
Investmentproperty206,600,900.02210,824,355.72
Fixedassets2,556,567,268.892,410,226,495.81
Constructioninprogress3,136,285,379.562,176,871,530.80
Productivelivingassets
Oilandgasassets
Right-of-useassets
Intangibleassets1,181,935,439.32737,776,686.34
R&Dexpense
Goodwill855,691,423.75855,691,423.75
Long-termprepaidexpense106,941,419.03111,223,426.77
Deferredincometaxassets870,066,949.65639,433,954.30
Othernon-currentassets520,552,612.20337,477,690.39
Totalnon-currentassets14,379,219,103.6011,141,764,308.79
Totalassets41,668,497,548.1932,985,061,889.03
Currentliabilities:
Short-termborrowings13,813,454,740.8413,884,132,931.63
Borrowingsfromcentralbank
Interbankloansobtained
Tradingfinancialliabilities
Financialliabilitiesatfairvaluethroughprofitorloss2,459,603.25
Derivativefinancialliabilities
Notespayable1,110,673,136.13862,330,689.47
Accountspayable5,197,990,516.384,362,723,050.33
Advancesfromcustomers1,180,010,394.07723,227,529.20
Contractualliabilities

Financialassetssoldunderrepurchaseagreements

Financialassetssoldunderrepurchaseagreements
Customerdepositsandinterbankdeposits
Payablesforactingtradingofsecurities
Payablesforunderwritingofsecurities
Payrollpayable230,972,629.89376,506,567.71
Taxespayable381,795,313.44288,004,192.44
Otherpayables2,230,692,538.752,024,657,277.74
Including:Interestpayable149,891,095.4327,230,631.41
Dividendspayable
Handlingchargesandcommissionspayable
Reinsurancepayables
Liabilitiesdirectlyassociatedwithassetsclassifiedasheldforsale
Currentportionofnon-currentliabilities1,353,399.25151,792,404.13
Othercurrentliabilities
Totalcurrentliabilities24,146,942,668.7522,675,834,245.90
Non-currentliabilities:
Insurancecontractreserve
Long-termborrowings1,812,695,729.90445,000,000.00
Bondspayable4,986,333,857.47
Including:Preferredshares
Perpetualbonds
Leaseliabilities
Long-termpayables342,932,515.78128,374,597.41
Long-termpayrollpayable5,617,330.288,792,614.98
Provisions1,597,591.5121,772,898.37
Deferredincome139,556,366.01112,899,128.24
Deferredincometaxliabilities140,317,722.60141,020,093.34
Othernon-currentliabilities
Totalnon-currentliabilities7,429,051,113.55857,859,332.34
Totalliabilities31,575,993,782.3023,533,693,578.24
Owners’equity:
Sharecapital2,407,945,408.002,407,945,408.00
Otherequityinstruments
Including:Preferredshares

Perpetualbonds

Perpetualbonds
Capitalreserves237,761,961.98208,356,624.21
Less:Treasurystock
Othercomprehensiveincome-16,738,417.62-10,538,219.08
Specialreserves110,216.01
Surplusreserves1,227,564,785.191,227,564,785.19
Generalreserve
Retainedearnings4,478,222,085.154,271,408,192.21
TotalequityattributabletoownersoftheCompanyastheparent8,334,866,038.718,104,736,790.53
Non-controllinginterests1,757,637,727.181,346,631,520.26
Totalowners’equity10,092,503,765.899,451,368,310.79
Totalliabilitiesandowners’equity41,668,497,548.1932,985,061,889.03

Legalrepresentative:LiuFengxiCFO:LiChunleiHeadofthefinancialdepartment:FengJunxiu

2.BalanceSheetoftheCompanyastheParent

Unit:RMB

Item30September201931December2018
Currentassets:
Monetarycapital2,851,530,664.062,124,335,536.69
Tradingfinancialassets61,494,666.97
Financialassetsatfairvaluethroughprofitorloss5,464,984.92
Derivativefinancialassets
Notesreceivable1,296,842,782.412,181,466,683.90
Accountsreceivable9,790,478,715.407,427,246,429.42
Accountsreceivablefinancing
Prepayments1,555,701,408.421,019,335,571.49
Otherreceivables8,754,780,182.806,667,463,126.57
Including:Interestreceivable4,496,389.555,769,663.24
Dividendsreceivable
Inventories328,176,805.47254,225,716.41
Contractualassets
Assetsclassifiedasheldforsale
Currentportionofnon-currentassets
Othercurrentassets98,176,190.7877,249,216.99
Totalcurrentassets24,737,181,416.3119,756,787,266.39

Non-currentassets:

Non-currentassets:
Investmentsindebtobligations
Available-for-salefinancialassets326,164,881.33
Investmentsinotherdebtobligations
Held-to-maturityinvestments
Long-termreceivables
Long-termequityinvestments6,841,301,700.536,182,962,034.71
Investmentsinotherequityinstruments14,440,214.36
Othernon-currentfinancialassets250,230,000.00
Investmentproperty206,600,900.02210,824,355.72
Fixedassets448,222,683.16462,721,018.30
Constructioninprogress232,303,682.48157,356,696.30
Productivelivingassets
Oilandgasassets
Right-of-useassets
Intangibleassets80,820,208.4683,593,959.11
R&Dexpense
Goodwill
Long-termprepaidexpense66,565,616.1880,388,949.97
Deferredincometaxassets757,082,868.26516,879,201.66
Othernon-currentassets20,000,000.0020,000,000.00
Totalnon-currentassets8,917,567,873.458,040,891,097.10
Totalassets33,654,749,289.7627,797,678,363.49
Currentliabilities:
Short-termborrowings9,193,116,148.288,179,564,987.70
Tradingfinancialliabilities
Financialliabilitiesatfairvaluethroughprofitorloss2,459,603.25
Derivativefinancialliabilities
Notespayable1,854,390,903.323,513,157,955.43
Accountspayable8,326,957,968.426,477,055,955.65
Advancesfromcustomers367,080,069.26306,650,717.69
Contractualliabilities
Payrollpayable75,048,950.85146,199,496.44
Taxespayable1,850,089.0810,913,871.30

Otherpayables

Otherpayables2,625,799,680.022,011,494,378.65
Including:Interestpayable146,784,607.5324,158,666.48
Dividendspayable
Liabilitiesdirectlyassociatedwithassetsclassifiedasheldforsale
Currentportionofnon-currentliabilities40,000,000.00
Othercurrentliabilities
Totalcurrentliabilities22,444,243,809.2320,687,496,966.11
Non-currentliabilities:
Long-termborrowings346,995,729.90245,000,000.00
Bondspayable4,986,333,857.47
Including:Preferredshares
Perpetualbonds
Leaseliabilities
Long-termpayables
Long-termpayrollpayable
Provisions206,591.51206,591.51
Deferredincome69,127,582.0475,705,476.93
Deferredincometaxliabilities751,345.42
Othernon-currentliabilities
Totalnon-currentliabilities5,402,663,760.92321,663,413.86
Totalliabilities27,846,907,570.1521,009,160,379.97
Owners’equity:
Sharecapital2,407,945,408.002,407,945,408.00
Otherequityinstruments
Including:Preferredshares
Perpetualbonds
Capitalreserves114,018,066.79114,018,066.79
Less:Treasurystock
Othercomprehensiveincome-1,182,217.31-1,182,217.31
Specialreserves
Surplusreserves1,227,564,785.191,227,564,785.19
Retainedearnings2,059,495,676.943,040,171,940.85
Totalowners’equity5,807,841,719.616,788,517,983.52
Totalliabilitiesandowners’equity33,654,749,289.7627,797,678,363.49

3.ConsolidatedIncomeStatementforQ3

Unit:RMB

Item

ItemQ32019Q32018
1.Revenue15,644,806,446.7912,136,315,129.29
Including:Operatingrevenue15,644,806,446.7912,136,315,129.29
Interestincome
Premiumincome
Handlingchargeandcommissionincome
2.Costsandexpenses16,025,188,376.6612,507,069,794.98
Including:Costofsales14,927,438,285.3011,621,326,279.61
Interestexpense
Handlingchargeandcommissionexpense
Surrenders
Netclaimspaid
Netamountprovidedaspolicyreserve
Expenditureonpolicydividends
Reinsurancepremiumexpense
Taxesandsurcharges18,882,712.8422,256,789.30
Sellingexpense537,449,008.46511,335,968.05
Administrativeexpense214,581,564.94194,171,683.61
R&Dexpense161,891,918.0489,738,422.31
Financecosts164,944,887.0868,240,652.10
Including:Interestexpense286,311,826.27266,966,287.29
Interestincome28,365,849.6198,892,687.14
Add:Otherincome298,288,604.77141,693,252.31
Returnoninvestment(“-”forloss)236,696,834.29270,593,341.32
Including:Shareofprofitorlossofjointventuresandassociates-17,103,633.767,581,610.96
Derecognitionincomeoffinancialassetsmeasuredatamortizedcost
Foreignexchangegain(“-”forloss)
Netgainonexposurehedges(“-”forloss)
Gainonchangesinfairvalue(“-”forloss)10,085,276.33
Creditimpairmentloss(“-”forloss)-39,670,359.96
Assetsimpairmentloss(“-”forloss)2,261,331.07-6,112,105.62

Assetdisposalincome(“-”forloss)

Assetdisposalincome(“-”forloss)-147,012.51
3.Operatingprofit(“-”forloss)117,194,480.3045,358,086.14
Add:Non-operatingincome41,224,843.9815,634,997.65
Less:Non-operatingexpense1,809,247.395,920,162.45
4.Profitbeforetax(“-”forloss)156,610,076.8955,072,921.34
Less:Incometaxexpense4,284,277.99-115,426,383.66
5.Netprofit(“-”fornetloss)152,325,798.90170,499,305.00
5.1Byoperatingcontinuity
5.1.1Netprofitfromcontinuingoperations(“-”fornetloss)152,325,798.90170,499,305.00
5.1.2Netprofitfromdiscontinuedoperations(“-”fornetloss)
5.2Byownership
5.2.1NetprofitattributabletoownersoftheCompanyastheparent97,725,667.6388,041,649.48
5.2.1Netprofitattributabletonon-controllinginterests54,600,131.2782,457,655.52
6.Othercomprehensiveincome,netoftax-757,628.66-12,097,422.41
AttributabletoownersoftheCompanyastheparent-2,540,311.85-13,373,312.59
6.1Itemsthatwillnotbereclassifiedtoprofitorloss
6.1.1Changescausedbyremeasurementsondefinedbenefitpensionschemes
6.1.2Othercomprehensiveincomethatwillnotbereclassifiedtoprofitorlossundertheequitymethod
6.1.3Changesinthefairvalueofinvestmentsinotherequityinstruments
6.1.4Changesinthefairvalueofthecompany’screditrisks
6.1.5Other
6.2Itemsthatwillbereclassifiedtoprofitorloss-2,540,311.85-13,373,312.59
6.2.1Othercomprehensiveincomethatwillbereclassifiedtoprofitorlossundertheequitymethod
6.2.2Changesinthefairvalueofinvestmentsinotherdebtobligations
6.2.3Gain/Lossonchangesinthefairvalueofavailable-for-salefinancialassets
6.2.4Othercomprehensiveincomearisingfromthereclassificationoffinancialassets
6.2.5Gain/Lossarisingfromthereclassificationofheld-to-maturityinvestmentstoavailable-for-salefinancial

assets

assets
6.2.6Allowanceforcreditimpairmentsininvestmentsinotherdebtobligations
6.2.7Reserveforcashflowhedges
6.2.8Differencesarisingfromthetranslationofforeigncurrency-denominatedfinancialstatements-2,540,311.85-13,373,312.59
6.2.9Other
Attributabletonon-controllinginterests1,782,683.191,275,890.18
7.Totalcomprehensiveincome151,568,170.24158,401,882.59
AttributabletoownersoftheCompanyastheparent95,185,355.7874,668,336.89
Attributabletonon-controllinginterests56,382,814.4683,733,545.70
8.Earningspershare
8.1Basicearningspershare0.04060.0366
8.2Dilutedearningspershare0.04060.0366

Legalrepresentative:LiuFengxiCFO:LiChunleiHeadofthefinancialdepartment:FengJunxiu

4.IncomeStatementoftheCompanyastheParentforQ3

Unit:RMB

ItemQ32019Q32018
1.Operatingrevenue3,420,624,874.364,440,642,646.78
Less:Costofsales3,398,476,539.344,461,216,408.91
Taxesandsurcharges2,196,972.533,290,938.91
Sellingexpense289,700,691.74318,949,025.34
Administrativeexpense97,690,345.27116,016,183.63
R&Dexpense11,583,116.7226,533,247.55
Financecosts51,277,210.4042,077,470.06
Including:Interestexpense221,815,070.42157,525,819.04
Interestincome107,028,598.0747,340,463.92
Add:Otherincome16,519,680.0737,349,655.22
Returnoninvestment(“-”forloss)151,953,623.56282,414,798.36
Including:Shareofprofitorlossofjointventuresandassociates-7,857,057.42-7,560,003.70
Derecognitionincomeoffinancialassetsmeasuredatamortizedcost
Netgainonexposurehedges(“-”forloss)
Gainonchangesinfairvalue(“-”forloss)10,085,276.33
Creditimpairmentloss(“-”forloss)-20,000,000.00

Assetsimpairmentloss(“-”forloss)

Assetsimpairmentloss(“-”forloss)
Assetdisposalincome(“-”forloss)607.74
2.Operatingprofit(“-”forloss)-281,826,698.01-197,590,289.97
Add:Non-operatingincome185,713.17966,927.34
Less:Non-operatingexpense169,334.48285,098.31
3.Profitbeforetax(“-”forloss)-281,810,319.32-196,908,460.94
Less:Incometaxexpense-65,507,220.62-77,096,924.08
4.Netprofit(“-”fornetloss)-216,303,098.70-119,811,536.86
4.1Netprofitfromcontinuingoperations(“-”fornetloss)-216,303,098.70-119,811,536.86
4.2Netprofitfromdiscontinuedoperations(“-”fornetloss)
5.Othercomprehensiveincome,netoftax5,222,526.42
5.1Itemsthatwillnotbereclassifiedtoprofitorloss
5.1.1Changescausedbyremeasurementsondefinedbenefitpensionschemes
5.1.2Othercomprehensiveincomethatwillnotbereclassifiedtoprofitorlossundertheequitymethod
5.1.3Changesinthefairvalueofinvestmentsinotherequityinstruments
5.1.4Changesinthefairvalueofthecompany’screditrisks
5.1.5Other
5.2Itemsthatwillbereclassifiedtoprofitorloss5,222,526.42
5.2.1Othercomprehensiveincomethatwillbereclassifiedtoprofitorlossundertheequitymethod
5.2.2Changesinthefairvalueofinvestmentsinotherdebtobligations
5.2.3Gain/Lossonchangesinthefairvalueofavailable-for-salefinancialassets4,296,185.76
5.2.4Othercomprehensiveincomearisingfromthereclassificationoffinancialassets
5.2.5Gain/Lossarisingfromthereclassificationofheld-to-maturityinvestmentstoavailable-for-salefinancialassets
5.2.6Allowanceforcreditimpairmentsininvestmentsinotherdebtobligations
5.2.7Reserveforcashflowhedges
5.2.8Differencesarisingfromthetranslationofforeigncurrency-denominatedfinancialstatements926,340.66

5.2.9Other

5.2.9Other
6.Totalcomprehensiveincome-216,303,098.70-114,589,010.44
7.Earningspershare
7.1Basicearningspershare
7.2Dilutedearningspershare

5.ConsolidatedIncomeStatementforQ1~Q3

Unit:RMB

ItemQ1~Q32019Q1~Q32018
1.Revenue41,681,249,260.6329,761,729,899.11
Including:Operatingrevenue41,681,249,260.6329,761,729,899.11
Interestincome
Premiumincome
Handlingchargeandcommissionincome
2.Operatingcostsandexpenses42,723,961,198.8230,481,274,468.11
Including:Costofsales39,601,480,656.4328,063,582,724.87
Interestexpense
Handlingchargeandcommissionexpense
Surrenders
Netclaimspaid
Netamountprovidedaspolicyreserve
Expenditureonpolicydividends
Reinsurancepremiumexpense
Taxesandsurcharges56,271,805.1149,903,363.92
Sellingexpense1,605,394,922.821,614,517,042.56
Administrativeexpense562,506,207.37421,990,456.18
R&Dexpense319,102,256.98226,747,319.07
Financecosts579,205,350.11104,533,561.51
Including:Interestexpense815,995,662.79495,028,664.94
Interestincome147,039,381.38238,028,339.28
Add:Otherincome642,173,576.13264,719,535.81
Investmentincome(“-”forloss)795,857,862.21802,351,913.03
Including:Shareofprofitorlossofjointventuresandassociates-8,562,359.2013,656,793.55
Derecognitionincomeoffinancialassetsmeasuredatamortizedcost

Foreignexchangegain(“-”forloss)

Foreignexchangegain(“-”forloss)
Netgainonexposurehedges(“-”forloss)
Gainonchangesinfairvalue(“-”forloss)-3,005,381.6769,940,688.81
Creditimpairmentloss(“-”forloss)-89,146,583.72
Assetsimpairmentloss(“-”forloss)-9,456,436.22-65,664,206.03
Assetdisposalincome(“-”forloss)293,705,840.6463,575,092.87
3.Operatingprofit(“-”forloss)587,416,939.18415,378,455.49
Add:Non-operatingincome63,494,286.0742,852,490.62
Less:Non-operatingexpense5,278,988.9011,871,912.02
4.Profitbeforetax(“-”forloss)645,632,236.35446,359,034.09
Less:Incometaxexpense14,595,671.18-132,872,432.79
5.Netprofit(“-”fornetloss)631,036,565.17579,231,466.88
5.1Byoperatingcontinuity(“-”fornetloss)
5.1.1Netprofitfromcontinuingoperations(“-”fornetloss)631,036,565.17579,231,466.88
5.1.2Netprofitfromdiscontinuedoperations(“-”fornetloss)
5.2Byownership
5.2.1NetprofitattributabletoownersoftheCompanyastheparent450,492,688.36429,834,688.51
5.22.Netprofitattributabletonon-controllinginterests180,543,876.81149,396,778.37
6.Othercomprehensiveincome,netoftax-3,865,740.99-16,498,381.12
AttributabletoownersoftheCompanyastheparent-6,200,198.54-18,225,153.33
6.1Itemsthatwillnotbereclassifiedtoprofitorloss-4,800,000.00
6.1.1Changesinnetliabilitiesorassetscausedbyremeasurementsondefinedbenefitpensionschemes
6.1.2Shareofothercomprehensiveincomeofinvesteesthatwillnotbereclassifiedtoprofitorlossunderequitymethod
6.1.3Changesinthefairvalueofinvestmentsinotherequityinstruments-4,800,000.00
6.1.4Changesinthefairvalueofthecompany’screditrisks
6.1.5Other
6.2Itemsthatmaysubsequentlybereclassifiedtoprofitorloss-1,400,198.54-18,225,153.33

6.2.1Shareofothercomprehensiveincomeofinvesteesthatwillbereclassifiedtoprofitorlossunderequitymethod

6.2.1Shareofothercomprehensiveincomeofinvesteesthatwillbereclassifiedtoprofitorlossunderequitymethod
6.2.2Changesinthefairvalueofinvestmentsinotherdebtobligations
6.2.3Gain/Lossonchangesinfairvalueofavailable-for-salefinancialassets-31,342.08
6.2.4.Othercomprehensiveincomearisingfromthereclassificationoffinancialassets
6.2.5Gain/Lossarisingfromreclassificationofheld-to-maturityinvestmentstoavailable-for-salefinancialassets
6.2.6Allowanceforcreditimpairmentsininvestmentsinotherdebtobligations
6.2.7Reserveforcashflowhedges
6.2.8Differencesarisingfromtranslationofforeigncurrency-denominatedfinancialstatements-1,400,198.54-18,193,811.25
6.2.9Other
Attributabletonon-controllinginterests2,334,457.551,726,772.21
7.Totalcomprehensiveincome627,170,824.18562,733,085.76
AttributabletoownersoftheCompanyastheparent444,292,489.82411,609,535.18
Attributabletonon-controllinginterests182,878,334.36151,123,550.58
8.Earningspershare
8.1Basicearningspershare0.18710.1785
8.2Dilutedearningspershare0.18710.1785

Legalrepresentative:LiuFengxiCFO:LiChunleiHeadofthefinancialdepartment:FengJunxiu

6.IncomeStatementoftheCompanyastheParentforQ1~Q3

Unit:RMB

ItemQ1~Q32019Q1~Q32018
1.Operatingrevenue8,788,646,584.7610,997,211,162.08
Less:Costofsales8,662,626,032.4910,419,241,341.62
Taxesandsurcharges5,247,218.4013,586,744.27
Sellingexpense892,638,143.131,115,535,743.30
Administrativeexpense214,332,248.59241,930,804.62
R&Dexpense33,467,367.19128,379,273.19
Financecosts315,092,491.81188,923,238.66
Including:Interestexpense706,461,849.17445,544,643.70

Interestincome

Interestincome332,427,396.10160,404,469.05
Add:Otherincome42,403,642.6579,741,765.34
Investmentincome(“-”forloss)337,929,362.441,441,862,076.64
Including:Shareofprofitorlossofjointventuresandassociates-3,928,528.715,680,179.60
Derecognitionincomeoffinancialassetsmeasuredatamortizedcost
Netgainonexposurehedges(“-”forloss)
Gainonchangesinfairvalue(“-”forloss)-3,005,381.6769,940,688.81
Creditimpairmentloss(“-”forloss)-26,660,947.01
Assetsimpairmentloss(“-”forloss)-3,172,282.22-36,873,991.62
Assetdisposalincome(“-”forloss)200.0019,557.06
2.Operatingprofit(“-”forloss)-987,262,322.66444,304,112.65
Add:Non-operatingincome1,708,572.9814,841,432.79
Less:Non-operatingexpense1,126,692.025,725,462.45
3.Profitbeforetax(“-”forloss)-986,680,441.70453,420,082.99
Less:Incometaxexpense-240,955,012.03-164,010,095.13
4.Netprofit(“-”fornetloss)-745,725,429.67617,430,178.12
4.1Netprofitfromcontinuingoperations(“-”fornetloss)-745,725,429.67617,430,178.12
4.2Netprofitfromdiscontinuedoperations(“-”fornetloss)
5.Othercomprehensiveincome,netoftax5,546,547.44
5.1Itemsthatwillnotbereclassifiedtoprofitorloss
5.1.1Changesinnetliabilitiesorassetscausedbyremeasurementsondefinedbenefitpensionschemes
5.1.2Shareofothercomprehensiveincomeofinvesteesthatwillnotbereclassifiedtoprofitorlossunderequitymethod
5.1.3Changesinthefairvalueofinvestmentsinotherequityinstruments
5.1.4Changesinthefairvalueofthecompany’screditrisks
5.1.5Other
5.2Itemsthatmaysubsequentlybereclassifiedtoprofitorloss5,546,547.44
5.2.1Shareofothercomprehensiveincomeof

investeesthatwillbereclassifiedtoprofitorlossunderequitymethod

investeesthatwillbereclassifiedtoprofitorlossunderequitymethod
5.2.2Changesinthefairvalueofinvestmentsinotherdebtobligations
5.2.3Gain/Lossonchangesinfairvalueofavailable-for-salefinancialassets4,296,185.76
5.2.4Othercomprehensiveincomearisingfromthereclassificationoffinancialassets
5.2.5Gain/Lossarisingfromreclassificationofheld-to-maturityinvestmentstoavailable-for-salefinancialassets
5.2.6Allowanceforcreditimpairmentsininvestmentsinotherdebtobligations
5.2.7Reserveforcashflowhedges
5.2.8Differencesarisingfromtranslationofforeigncurrency-denominatedfinancialstatements1,250,361.68
5.2.9Other
6.Totalcomprehensiveincome-745,725,429.67622,976,725.56
7.Earningspershare
7.1Basicearningspershare
7.2Dilutedearningspershare

7.ConsolidatedCashFlowStatementforQ1~Q3

Unit:RMB

ItemQ1~Q32019Q1~Q32018
1.Cashflowsfromoperatingactivities:
Proceedsfromsaleofcommoditiesandrenderingofservices41,460,695,427.7624,472,986,972.47
Netincreaseincustomerdepositsandinterbankdeposits
Netincreaseinborrowingsfromcentralbank
Netincreaseinloansfromotherfinancialinstitutions
Premiumsreceivedonoriginalinsurancecontracts
Netproceedsfromreinsurance
Netincreaseindepositsandinvestmentsofpolicyholders
Interest,handlingchargesandcommissionsreceived
Netincreaseininterbankloansobtained
Netincreaseinproceedsfromrepurchasetransactions
Netproceedsfromactingtradingofsecurities

Taxrebates

Taxrebates596,940,645.18312,128,742.81
Cashgeneratedfromotheroperatingactivities2,810,409,063.922,865,828,267.19
Subtotalofcashgeneratedfromoperatingactivities44,868,045,136.8627,650,943,982.47
Paymentsforcommoditiesandservices42,633,289,918.2224,117,693,794.31
Netincreaseinloansandadvancestocustomers
Netincreaseindepositsincentralbankandininterbankloansgranted
Paymentsforclaimsonoriginalinsurancecontracts
Netincreaseininterbankloansgranted
Interest,handlingchargesandcommissionspaid
Policydividendspaid
Cashpaidtoandforemployees1,354,791,311.981,235,221,504.02
Taxespaid604,891,331.461,593,043,900.48
Cashusedinotheroperatingactivities2,847,652,417.143,601,969,084.22
Subtotalofcashusedinoperatingactivities47,440,624,978.8030,547,928,283.03
Netcashgeneratedfrom/usedinoperatingactivities-2,572,579,841.94-2,896,984,300.56
2.Cashflowsfrominvestingactivities:
Proceedsfromdisinvestment222,405,975.5045,531,154.28
Investmentincome109,794,038.16100,982,942.46
Netproceedsfromdisposaloffixedassets,intangibleassetsandotherlong-livedassets123,083,476.751,851,025.13
Netproceedsfromdisposalofsubsidiariesorotherbusinessunits90,801,480.11141,294,742.26
Cashgeneratedfromotherinvestingactivities1,757,416,878.421,392,285,000.00
Subtotalofcashgeneratedfrominvestingactivities2,303,501,848.941,681,944,864.13
Paymentsforacquisitionoffixedassets,intangibleassetsandotherlong-livedassets1,280,750,151.25267,022,282.19
Paymentsforinvestments1,236,659,360.00450,546,156.00
Netincreaseinpledgedloansgranted
Netpaymentsforacquisitionofsubsidiariesandotherbusinessunits927,532,476.11
Cashusedinotherinvestingactivities800,033,420.00774,880,000.00
Subtotalofcashusedininvestingactivities3,317,442,931.252,419,980,914.30
Netcashgeneratedfrom/usedininvestingactivities-1,013,941,082.31-738,036,050.17
3.Cashflowsfromfinancingactivities:
Capitalcontributionsreceived316,350,268.17189,790,594.60

Including:Capitalcontributionsbynon-controllingintereststosubsidiaries

Including:Capitalcontributionsbynon-controllingintereststosubsidiaries316,350,268.17189,790,594.60
Increaseinborrowingsobtained21,816,836,119.6411,340,498,767.13
Cashgeneratedfromotherfinancingactivities662,446,627.501,023,076.93
Subtotalofcashgeneratedfromfinancingactivities22,795,633,015.3111,531,312,438.66
Repaymentofborrowings15,301,413,298.246,369,248,011.05
Paymentsforinterestanddividends674,111,965.45668,095,998.12
Including:Dividendspaidbysubsidiariestonon-controllinginterests33,607,322.951,629,621.25
Cashusedinotherfinancingactivities534,292,325.6477,087,550.43
Subtotalofcashusedinfinancingactivities16,509,817,589.337,114,431,559.60
Netcashgeneratedfrom/usedinfinancingactivities6,285,815,425.984,416,880,879.06
4.Effectofforeignexchangeratechangesoncashandcashequivalents7,020,688.1522,282,446.23
5.Netincreaseincashandcashequivalents2,706,315,189.88804,142,974.56
Add:Cashandcashequivalents,beginningoftheperiod3,434,149,481.723,097,899,703.76
6.Cashandcashequivalents,endoftheperiod6,140,464,671.603,902,042,678.32

8.CashFlowStatementoftheCompanyastheParentforQ1~Q3

Unit:RMB

ItemQ1~Q32019Q1~Q32018
1.Cashflowsfromoperatingactivities:
Proceedsfromsaleofcommoditiesandrenderingofservices15,276,237,884.8212,987,769,338.60
Taxrebates48,371,777.09130,863,528.45
Cashgeneratedfromotheroperatingactivities9,241,152,305.862,759,126,679.00
Subtotalofcashgeneratedfromoperatingactivities24,565,761,967.7715,877,759,546.05
Paymentsforcommoditiesandservices13,228,154,713.9411,185,702,814.55
Cashpaidtoandforemployees538,054,123.81713,115,942.78
Taxespaid44,781,446.371,158,672,182.51
Cashusedinotheroperatingactivities10,978,851,545.863,967,958,429.50
Subtotalofcashusedinoperatingactivities24,789,841,829.9817,025,449,369.34
Netcashgeneratedfrom/usedinoperatingactivities-224,079,862.21-1,147,689,823.29
2.Cashflowsfrominvestingactivities:
Proceedsfromdisinvestment166,685,882.00224,007,998.00
Investmentincome96,058,958.81111,276,583.85
Netproceedsfromdisposaloffixedassets,intangible255,200.79172,255.79

assetsandotherlong-livedassets

assetsandotherlong-livedassets
Netproceedsfromdisposalofsubsidiariesorotherbusinessunits
Cashgeneratedfromotherinvestingactivities777,615,551.821,564,279,083.79
Subtotalofcashgeneratedfrominvestingactivities1,040,615,593.421,899,735,921.43
Paymentsforacquisitionoffixedassets,intangibleassetsandotherlong-livedassets59,662,429.0272,123,850.33
Paymentsforinvestments703,450,000.002,022,767,387.50
Netpaymentsforacquisitionofsubsidiariesandotherbusinessunits
Cashusedinotherinvestingactivities5,137,623,500.00922,780,798.39
Subtotalofcashusedininvestingactivities5,900,735,929.023,017,672,036.22
Netcashgeneratedfrom/usedininvestingactivities-4,860,120,335.60-1,117,936,114.79
3.Cashflowsfromfinancingactivities:
Capitalcontributionsreceived
Increaseinborrowingsobtained11,517,566,793.664,899,799,364.16
Cashgeneratedfromotherfinancingactivities2,500,000.00
Subtotalofcashgeneratedfromfinancingactivities11,520,066,793.664,899,799,364.16
Repaymentofborrowings4,960,897,423.761,502,962,221.73
Paymentsforinterestanddividends561,130,301.68640,026,892.15
Cashusedinotherfinancingactivities10,922,037.42435,233,291.92
Subtotalofcashusedinfinancingactivities5,532,949,762.862,578,222,405.80
Netcashgeneratedfrom/usedinfinancingactivities5,987,117,030.802,321,576,958.36
4.Effectofforeignexchangeratechangesoncashandcashequivalents-10,762,185.92-41,200,286.25
5.Netincreaseincashandcashequivalents892,154,647.0714,750,734.03
Add:Cashandcashequivalents,beginningoftheperiod1,497,794,555.851,743,269,944.67
6.Cashandcashequivalents,endoftheperiod2,389,949,202.921,758,020,678.70

IIAdjustmentstotheFinancialStatements

1.AdjustmentstotheFinancialStatementsattheBeginningoftheExecutionofanyNewStandardsGoverningFinancialInstruments,RevenueorLeasesfrom2019

√Applicable□NotapplicableConsolidatedBalanceSheet

Unit:RMB

Item31December20181January2019Adjusted
Currentassets:

Monetarycapital

Monetarycapital4,348,144,129.534,348,144,129.53
TradingfinancialassetsInapplicable66,959,651.8966,959,651.89
Financialassetsatfairvaluethroughprofitorloss5,464,984.92Inapplicable-5,464,984.92
Notesreceivable3,329,711,954.153,136,050,327.88-193,661,626.27
Accountsreceivable4,458,053,586.424,457,458,904.32-594,682.10
AccountsreceivablefinancingInapplicable193,661,626.27193,661,626.27
Prepayments1,036,979,167.561,036,979,167.56
Otherreceivables410,804,180.50408,514,607.98-2,289,572.52
Including:Interestreceivable4,059,682.404,059,682.40
Dividendsreceivable547,848.62547,848.62
Inventories5,487,605,227.055,487,605,227.05
Currentportionofnon-currentassets22,318,208.1322,318,208.13
Othercurrentassets2,744,216,141.982,744,216,141.98
Totalcurrentassets21,843,297,580.2421,901,907,992.5958,610,412.35
Non-currentassets:
Available-for-salefinancialassets633,664,881.33Inapplicable-633,664,881.33
Long-termreceivables390,793,038.05390,793,038.05
Long-termequityinvestments2,637,780,825.532,637,780,825.53
InvestmentsinotherequityinstrumentsInapplicable23,940,214.3623,940,214.36
Othernon-currentfinancialassetsInapplicable548,230,000.00548,230,000.00
Investmentproperty210,824,355.72210,824,355.72
Fixedassets2,410,226,495.812,410,226,495.81
Constructioninprogress2,176,871,530.802,176,871,530.80
Intangibleassets737,776,686.34737,776,686.34
Goodwill855,691,423.75855,691,423.75
Long-termprepaidexpense111,223,426.77111,223,426.77
Deferredincometaxassets639,433,954.30639,433,954.30
Othernon-currentassets337,477,690.39337,477,690.39
Totalnon-currentassets11,141,764,308.7911,080,269,641.82-61,494,666.97
Totalassets32,985,061,889.0332,982,177,634.41-2,884,254.62
Currentliabilities:
Short-termborrowings13,884,132,931.6313,884,132,931.63
TradingfinancialliabilitiesInapplicable2,459,603.252,459,603.25

Financialliabilitiesatfairvaluethroughprofitorloss

Financialliabilitiesatfairvaluethroughprofitorloss2,459,603.25Inapplicable-2,459,603.25
Notespayable862,330,689.47862,330,689.47
Accountspayable4,362,723,050.334,362,723,050.33
Advancesfromcustomers723,227,529.20723,227,529.20
Payrollpayable376,506,567.71376,506,567.71
Taxespayable288,004,192.44288,004,192.44
Otherpayables2,024,657,277.742,024,657,277.74
Including:Interestpayable27,230,631.4127,230,631.41
Currentportionofnon-currentliabilities151,792,404.13151,792,404.13
Totalcurrentliabilities22,675,834,245.9022,675,834,245.90
Non-currentliabilities:
Long-termborrowings445,000,000.00445,000,000.00
Long-termpayables128,374,597.41128,374,597.41
Long-termpayrollpayable8,792,614.988,792,614.98
Provisions21,772,898.3721,772,898.37
Deferredincome112,899,128.24112,899,128.24
Deferredincometaxliabilities141,020,093.34141,020,093.34
Totalnon-currentliabilities857,859,332.34857,859,332.34
Totalliabilities23,533,693,578.2423,533,693,578.24
Owners’equity:
Sharecapital2,407,945,408.002,407,945,408.00
Capitalreserves208,356,624.21208,356,624.21
Othercomprehensiveincome-10,538,219.08-10,538,219.08
Surplusreserves1,227,564,785.191,227,564,785.19
Retainedearnings4,271,408,192.214,268,523,937.59-2,884,254.62
TotalequityattributabletoownersoftheCompanyastheparent8,104,736,790.538,101,852,535.91-2,884,254.62
Non-controllinginterests1,346,631,520.261,346,631,520.26
Totalowners’equity9,451,368,310.799,448,484,056.17-2,884,254.62
Totalliabilitiesandowners’equity32,985,061,889.0332,982,177,634.41-2,884,254.62

NotesforadjustmentTheCompanyhasimplementedtheNewFinancialInstrumentStandardsinceJanuary1,2019,respectivelymeasured“financialassetsatfairvaluethroughprofitorloss”as“financialassetsheldfortrading”,measured“available-for-salefinancialassets”as

“financialassetsheldfortrading”,“othernon-currentfinancialassets”and“otherequityinstrument”,measured“notesmeasuredatthefairvaluewithitschangesincludedintoothercomprehensiveincome”as“accountsreceivablefinancing”,measured“financialliabilitiesatfairvaluethroughprofitorloss”as“tradingfinancialliabilities”.AccordingtotheconvergencerulesoftheNewFinancialInstrumentStandards,theCompanydoesnotneedtorestatethepreviouscomparables,andtheinformationpresentedinthefinancialstatementsisnotinconsistentwiththerequirementsofthenewstandard.Thedifferencebetweentheoriginalbookvalueofthefinancialinstrumentandthenewbookvalueonthedateofimplementationofthestandardisincludedintheretainedearningsatthebeginningof2019.BalanceSheetoftheCompanyastheParent

Unit:RMB

Item

Item31December20181January2019Adjusted
Currentassets:
Monetarycapital2,124,335,536.692,124,335,536.69
TradingfinancialassetsInapplicable66,959,651.8966,959,651.89
Financialassetsatfairvaluethroughprofitorloss5,464,984.92Inapplicable-5,464,984.92
Notesreceivable2,181,466,683.902,181,166,683.90-300,000.00
Accountsreceivable7,427,246,429.427,426,742,836.53-503,592.89
AccountsreceivablefinancingInapplicable300,000.00300,000.00
Prepayments1,019,335,571.491,019,335,571.49
Otherreceivables6,667,463,126.576,665,839,214.30-1,623,912.27
Including:Interestreceivable5,769,663.245,769,663.24
Inventories254,225,716.41254,225,716.41
Othercurrentassets77,249,216.9977,249,216.99
Totalcurrentassets19,756,787,266.3919,816,154,428.2059,367,161.81
Non-currentassets:
Available-for-salefinancialassets326,164,881.33Inapplicable-326,164,881.33
Long-termequityinvestments6,182,962,034.716,182,962,034.71
InvestmentsinotherequityinstrumentsInapplicable14,440,214.3614,440,214.36
Othernon-currentfinancialassetsInapplicable250,230,000.00250,230,000.00
Investmentproperty210,824,355.72210,824,355.72
Fixedassets462,721,018.30462,721,018.30

Constructioninprogress

Constructioninprogress157,356,696.30157,356,696.30
Intangibleassets83,593,959.1183,593,959.11
Long-termprepaidexpense80,388,949.9780,388,949.97
Deferredincometaxassets516,879,201.66516,879,201.66
Othernon-currentassets20,000,000.0020,000,000.00
Totalnon-currentassets8,040,891,097.107,979,396,430.13-61,494,666.97
Totalassets27,797,678,363.4927,795,550,858.33-2,127,505.16
Currentliabilities:
Short-termborrowings8,179,564,987.708,179,564,987.70
TradingfinancialliabilitiesInapplicable2,459,603.252,459,603.25
Financialliabilitiesatfairvaluethroughprofitorloss2,459,603.25Inapplicable-2,459,603.25
Notespayable3,513,157,955.433,513,157,955.43
Accountspayable6,477,055,955.656,477,055,955.65
Advancesfromcustomers306,650,717.69306,650,717.69
Payrollpayable146,199,496.44146,199,496.44
Taxespayable10,913,871.3010,913,871.30
Otherpayables2,011,494,378.652,011,494,378.65
Including:Interestpayable24,158,666.4824,158,666.48
Currentportionofnon-currentliabilities40,000,000.0040,000,000.00
Totalcurrentliabilities20,687,496,966.1120,687,496,966.11
Non-currentliabilities:
Long-termborrowings245,000,000.00245,000,000.00
Provisions206,591.51206,591.51
Deferredincome75,705,476.9375,705,476.93
Deferredincometaxliabilities751,345.42751,345.42
Totalnon-currentliabilities321,663,413.86321,663,413.86
Totalliabilities21,009,160,379.9721,009,160,379.97
Owners’equity:
Sharecapital2,407,945,408.002,407,945,408.00
Capitalreserves114,018,066.79114,018,066.79
Othercomprehensiveincome-1,182,217.31-1,182,217.31
Surplusreserves1,227,564,785.191,227,564,785.19
Retainedearnings3,040,171,940.853,038,044,435.69-2,127,505.16

Totalowners’equity

Totalowners’equity6,788,517,983.526,786,390,478.36-2,127,505.16
Totalliabilitiesandowners’equity27,797,678,363.4927,795,550,858.33-2,127,505.16

NotesforadjustmentTheCompanyhasimplementedtheNewFinancialInstrumentStandardsinceJanuary1,2019,respectivelymeasured“financialassetsatfairvaluethroughprofitorloss”as“financialassetsheldfortrading”,measured“available-for-salefinancialassets”as“financialassetsheldfortrading”,“othernon-currentfinancialassets”and“otherequityinstrument”,measured“notesmeasuredatthefairvaluewithitschangesincludedintoothercomprehensiveincome”as“accountsreceivablefinancing”,measured“financialliabilitiesatfairvaluethroughprofitorloss”as“tradingfinancialliabilities”.AccordingtotheconvergencerulesoftheNewFinancialInstrumentStandards,theCompanydoesnotneedtorestatethepreviouscomparables,andtheinformationpresentedinthefinancialstatementsisnotinconsistentwiththerequirementsofthenewstandard.Thedifferencebetweentheoriginalbookvalueofthefinancialinstrumentandthenewbookvalueonthedateofimplementationofthestandardisincludedintheretainedearningsatthebeginningof2019.

2.RetrospectiveRestatementofPreviousComparativeDataduetotheFirstofanyNewStandardsGoverningFinancialInstrumentsorLeasesfrom2019

□Applicable√NotapplicableIIIIndependentAuditor’sReportIndicatebytickmarkwhetherthefinancialstatementsabovehavebeenauditedbyanindependentauditor.

□Yes√NoThesefinancialstatementshavenotbeenauditedbysuchanauditor.

TheBoardofDirectorsKonkaGroupCo.,Ltd.

30October2019


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