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苏常柴B:2020年第一季度报告全文(英文版) 下载公告
公告日期:2020-04-30

CHANGCHAICOMPANY,LIMITEDFIRSTQUARTERREPORT2020

30April2020

PartIImportantNotes

TheBoardofDirectors(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.

PartIIKeyCorporateInformation

IKeyFinancialInformation

Indicatebytickmarkwhetherthereisanyretrospectivelyrestateddatuminthetablebelow.

□Yes√No

Q12020Q12019Change(%)
Operatingrevenue(RMB)537,033,349.19557,670,611.48-3.70%
Netprofitattributabletothelistedcompany’sshareholders(RMB)1,510,305.602,518,025.10-40.02%
Netprofitattributabletothelistedcompany’sshareholdersbeforeexceptionalitems(RMB)1,271,708.921,083,678.6217.35%
Netcashgeneratedfrom/usedinoperatingactivities(RMB)19,241,295.96-63,832,631.41---
Basicearningspershare(RMB/share)0.00270.0045-40.00%
Dilutedearningspershare(RMB/share)0.00270.0045-40.00%
Weightedaveragereturnonequity(%)0.07%0.13%-0.06%
31March202031December2019Change(%)
Totalassets(RMB)3,474,796,945.663,484,975,990.48-0.29%
Equityattributabletothelistedcompany’sshareholders(RMB)2,069,762,903.542,109,239,597.94-1.87%

Exceptionalgainsandlosses:

√Applicable□Notapplicable

Unit:RMB

ItemQ12020Note
Gainorlossondisposalofnon-currentassets(inclusiveofimpairmentallowancewrite-offs)-29,514.41
Governmentsubsidieschargedtocurrentprofitandloss(exclusiveofgovernmentsubsidiesgivenintheCompany’sordinarycourseofbusinessatfixedquotasoramountsaspergovernment’suniformstandards)805,876.00
Non-operatingincomeandexpenseotherthantheabove-237,574.70
Less:Incometaxeffects128,493.99
Non-controllinginterestseffects(netoftax)171,696.22
Total238,596.68--

ExplanationofwhytheCompanyreclassifiesasrecurrentanexceptionalgain/lossitemdefinedorlistedintheExplanatoryAnnouncementNo.1onInformationDisclosureforCompaniesOfferingTheirSecuritiestothe

Public—ExceptionalGain/LossItems:

□Applicable√NotapplicableNosuchcasesfortheReportingPeriod.IITotalNumberofShareholdersandHoldingsofTop10Shareholdersat31March2020

1.NumbersofOrdinaryShareholdersandPreferredShareholderswithResumedVotingRightsaswellasHoldingsofTop10Shareholders

Unit:share

Numberofordinaryshareholdersattheperiod-end48,072Numberofpreferredshareholderswithresumedvotingrightsattheperiod-end(ifany)0
Top10shareholders
NameofshareholderNatureofshareholderShareholdingpercentageTotalsharesheldRestrictedsharesheldSharesinpledgeorfrozen
StatusShares
ChangzhouInvestmentGroupCo.,LtdState-ownedlegalperson30.43%170,845,2360
ChinaConstructionBankCorporation-FirstStateCindaNewEnergyIndustryStockSecuritiesInvestmentFundOther0.59%3,308,8330
KGIASIALIMITEDForeignlegalperson0.57%3,189,8450
ZhouYongDomesticnaturalperson0.38%2,150,0000
LeiYanqinDomesticnaturalperson0.36%2,038,0250
GaoFenhuaiDomesticnaturalperson0.35%1,988,2000
HuWenyongDomesticnaturalperson0.28%1,561,8660
HuangGuoliangDomesticnaturalperson0.27%1,528,8910
LiSuinanDomesticnaturalperson0.27%1,523,7000
ZhaoNanyangDomesticnaturalperson0.24%1,332,6000
Top10unrestrictedshareholders
NameofshareholderUnrestrictedsharesheldSharesbytype
TypeShares
ChangzhouInvestmentGroupCo.,Ltd170,845,236RMB-denominatedordinarystock170,845,236
ChinaConstructionBankCorporation-FirstStateCindaNewEnergyIndustry3,308,833RMB-denominatedordinarystock3,308,833
StockSecuritiesInvestmentFund
KGIASIALIMITED3,189,845Domesticallylistedforeignstock3,189,845
ZhouYong2,150,000RMB-denominatedordinarystock2,150,000
LeiYanqin2,038,025RMB-denominatedordinarystock2,038,025
GaoFenhuai1,988,200RMB-denominatedordinarystock1,988,200
HuWenyong1,561,866Domesticallylistedforeignstock1,561,866
HuangGuoliang1,528,891Domesticallylistedforeignstock1,528,891
LiSuinan1,523,700Domesticallylistedforeignstock1,523,700
ZhaoNanyang1,332,600RMB-denominatedordinarystock1,332,600
Relatedoracting-in-concertpartiesamongtheshareholdersaboveItisunknownwhetherthereisamongthetop10publicshareholdersandthetop10unrestrictedpublicshareholdersanyrelatedpartiesoracting-in-concertpartiesasdefinedintheAdministrativeMeasuresforInformationRegardingShareholdingAlteration.
Top10ordinaryshareholdersinvolvedinsecuritiesmargintrading(ifany)TheshareholdersLeiYanqinandGaoFenhuairespectivelyhold1,711,402sharesand1,988,200sharesoftheCompanythroughtheircreditaccount.

Indicatebytickmarkwhetheranyofthetop10ordinaryshareholdersorthetop10unrestrictedordinaryshareholdersoftheCompanyconductedanypromissoryrepoduringtheReportingPeriod.

□Yes√NoNosuchcasesintheReportingPeriod.

2.NumberofPreferredShareholdersandShareholdingsofTop10ofThem

□Applicable√Notapplicable

PartIIISignificantEvents

IChangesinKeyFinancialStatementLineItemsandExplanationofwhy

√Applicable□Notapplicable

1.AccountsreceivableincreasedbyRMB220,822,035.75,or52.66%,asof31March2020comparedto31December2019,primarilybecausetheCompanyproperlyallowedcustomers’buyingoncreditformoremarketsinQ12020andmulti-cylinderdieselenginecustomersaremainlysupportingcompaniesofmainengine,whichareusuallygivenlongerpaymentdays.

2.OthercurrentassetsdecreasedbyRMB2,126,634.01,or33.47%,asof31March2020comparedto31December2019,mainlybecauseexcessVATpaidoftheCompanydecreased.

3.taxespayableincreasedbyRMB6,550,657.24,or72.03%,asof31March2020comparedto31December2019,mainlybecauseoftheincreaseinVATpayableandothertaxes.

4.PayrollpayabledecreasedbyRMB18,064,824.80,or40.54%,asof31March2020comparedto31December2019,mainlybecauseaccruedsalaryandbonusinlastperiodwaspartiallypaidinthisperiod.

5.FinancecostswentdownbyRMB3,161,220.82,duringQ12020comparedtoQ12019,primarilybecausetheobviousgainsonexchange,andtheinterestexpensewassavedduetothereductioninloanscale.

6.NetprofitattributabletoownersoftheCompanyastheparentwentdownbyRMB1,007,719.50,or40.02%,duringQ12020comparedtoQ12019,primarilydrivenbytheimpactofepidemicsituation,whichresultedinthedecreaseofoperatingrevenueandinfluencedthecurrentprofit.

IIProgress,InfluenceandSolutionswithregardtoSignificantEvents

□Applicable√NotapplicableProgressofanysharerepurchase:

□Applicable√NotapplicableProgressofanyreductionoftherepurchasedsharesthroughcentralizedbidding:

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

□Applicable√NotapplicableNosuchcasesintheReportingPeriod.

IVSecuritiesInvestments

√Applicable□Notapplicable

Unit:RMB

VarietyofsecuritiesCodeofsecuritiesNameofsecuritiesInitialinvestmentcostAccountingmeasurementmodelBeginningcarryingvalueGain/lossonfairvaluechangesintheReportingPeriodCumulativefairvaluechangesrecordedintoequityPurchasedintheReportingPeriodSoldintheReportingPeriodGain/lossintheReportingPeriodEndingcarryingvalueAccountingitemCapitalresources
Stock600166FOTON41,784,000.00Fairvaluemeasurement302,005,000.00-26,010,000.00-22,108,500.000.000.000.00275,995,000.00OtherequityinstrumentinvestmentSelf-ownedfunds
Stock600919BankofJiangsu18,000,000.00Fairvaluemeasurement130,320,000.00-22,140,000.00-18,819,000.000.000.000.00108,180,000.00OtherequityinstrumentinvestmentSelf-ownedfunds
Stock600377JiangsuExpressway90,500.00Fairvaluemeasurement561,000.00-70,000.00-59,500.000.000.000.00491,000.00OtherequityinstrumentinvestmentSelf-ownedfunds
Total59,874,5--432,886,-48,220,0-40,987,00.000.000.00384,666,----
00.00000.0000.0000.00000.00
DisclosuredateofannouncementonBoard’sconsentforsecuritiesinvestment
Disclosuredateofannouncementonshareholders’meeting’sconsentforsecuritiesinvestment(ifany)

VWealthManagementEntrustment

√Applicable□Notapplicable

RMB:’0,000

SpecifictypeCapitalresourcesAmountincurredUnduebalanceOverdueamount
BrokerfinancialproductsSelf-ownedfunds302.21,152.30
Total302.21,152.30

Particularsofentrustedcashmanagementwithsinglesignificantamountorlowsecurity,badliquidity,andnocapitalpreservation

□Applicable√NotapplicableWhetherthereisthecasewheretheprincipalcannotberecoveredatmaturityorothercasewhichmaycauseimpairmentforentrustedassetmanagement

□Applicable√Notapplicable

VIInvestmentsinDerivativeFinancialInstruments

□Applicable√NotapplicableNosuchcasesintheReportingPeriod.VIICommunicationswiththeInvestmentCommunitysuchasResearches,InquiriesandInterviewsduringtheReportingPeriod

√Applicable□Notapplicable

DateWayofcommunicationTypeofcommunicationpartyIndextomaininformationcommunicated
19March2020OtherIndividualDevelopmentproposalsoftheCompany
19March2020OtherIndividualTransformationandupgradingoftheCompany
12March2020OtherIndividual2019AnnualReportoftheCompany
9March2020OtherIndividualProductsoflithiumbatterydiaphragmproject
9March2020OtherIndividualProductsoflithiumbatterydiaphragmproject
9March2020OtherIndividualProductsoftheCompany
3March2020OtherIndividualBusinessoftheCompany
2March2020OtherIndividualBrandvalueoftheCompany
28February2020OtherIndividualReformanddevelopmentoftheCompany
22February2020OtherIndividualOperationoflithiumbatterydiaphragmproject
22February2020OtherIndividualOperationoflithiumbatterydiaphragmproject
22February2020OtherIndividualProductionplanoflithiumbatterydiaphragmproject
17February2020OtherIndividualProgressoflithiumbatterydiaphragmproject
17February2020OtherIndividualProgressoflithiumbatterydiaphragmproject
14February2020OtherIndividualWorkresumptionoftheCompany
14February2020OtherIndividualChangethetermofdirectors
6February2020OtherIndividualEpidemicpreventionoftheCompany
5February2020OtherIndividualCompletionofmajortaskin2019andmajortargetin2020oftheCompany
4February2020OtherIndividualDevelopmentproposalsoftheCompany
4February2020OtherIndividualMarketconceptoftheCompany
3February2020OtherIndividualProgressoflithiumbatterydiaphragmproject
3February2020OtherIndividualChangethetermofdirectorsandsupervisors
22January2020OtherIndividualDevelopmentproposalsoftheCompany
22January2020OtherIndividualDevelopmentoftheCompany
15January2020OtherIndividualLithiumbatterydiaphragmproject
14January2020OtherIndividualProgressoflithiumbatterydiaphragmproject
13January2020OtherIndividualCustomersoftheCompany
9January2020OtherIndividualProgressoflithiumbatterydiaphragmproject
7January2020OtherIndividualProgressoflithiumbatterydiaphragmprojectandremunerationofseniormanagersoftheCompany
1January2020OtherIndividualDevelopmentoftheCompany

VIIIIrregularitiesintheProvisionofGuarantees

□Applicable√NotapplicableNosuchcasesintheReportingPeriod.IXOccupationoftheCompany’sCapitalbytheControllingShareholderorItsRelatedPartiesforNon-OperatingPurposes

□Applicable√NotapplicableNosuchcasesintheReportingPeriod.

PartIVFinancialStatementsIFinancialStatements

1.ConsolidatedBalanceSheetPreparedbyChangchaiCompany,Limited

31March2020

Unit:RMB

Item31March202031December2019
Currentassets:
Monetaryassets631,355,956.14637,214,006.06
Settlementreserve
Interbankloansgranted
Held-for-tradingfinancialassets11,522,956.1610,000,000.00
Derivativefinancialassets
Notesreceivable490,161,207.68606,283,023.05
Accountsreceivable640,117,701.26419,295,665.51
Accountsreceivablefinancing
Prepayments12,068,892.6912,930,546.16
Premiumsreceivable
Reinsurancereceivables
Receivablereinsurancecontractreserve
Otherreceivables8,723,308.3710,597,073.18
Including:Interestreceivable
Dividendsreceivable
Financialassetspurchasedunderresaleagreements
Inventories416,055,195.29473,352,010.58
Contractualassets
Assetsclassifiedasheldforsale
Currentportionofnon-currentassets
Othercurrentassets4,227,286.326,353,920.33
Totalcurrentassets2,214,232,503.912,176,026,244.87
Non-currentassets:
Loansandadvancestocustomers
Investmentsindebtobligations
Investmentsinotherdebtobligations
Long-termreceivables
Long-termequityinvestments
Investmentsinotherequityinstruments484,666,000.00532,886,000.00
Othernon-currentfinancialassets77,952,101.6377,952,101.63
Investmentproperty47,895,581.6348,447,666.83
Fixedassets438,812,208.05457,582,514.13
Constructioninprogress111,656,326.6891,358,156.24
Productivelivingassets
Oilandgasassets
Userightsassets
Intangibleassets98,558,367.2499,699,450.26
R&Dexpense
Goodwill
Long-termprepaidexpense
Deferredincometaxassets1,023,856.521,023,856.52
Othernon-currentassets
Totalnon-currentassets1,260,564,441.751,308,949,745.61
Totalassets3,474,796,945.663,484,975,990.48
Currentliabilities:
Short-termborrowings22,000,000.0022,000,000.00
Borrowingsfromthecentralbank
Interbankloansobtained
Held-for-tradingfinancialliabilities
Derivativefinancialliabilities
Notespayable415,218,000.00403,035,000.00
Accountspayable543,545,367.15525,610,256.89
Advancesfromcustomers30,836,615.21
Contractualliabilities36,863,974.04
Financialassetssoldunderrepurchaseagreements
Customerdepositsandinterbankdeposits
Payablesforactingtradingofsecurities
Payablesforunderwritingofsecurities
Payrollpayable26,494,190.9944,559,015.79
Taxespayable15,645,039.829,094,382.58
Otherpayables215,627,249.06203,840,127.19
Including:Interestpayable
Dividendspayable3,891,433.833,891,433.83
Handlingchargesandcommissionspayable
Reinsurancepayables
Liabilitiesdirectlyassociatedwithassetsclassifiedasheldforsale
Currentportionofnon-currentliabilities
Othercurrentliabilities1,283,077.891,177,712.38
Totalcurrentliabilities1,276,676,898.951,240,153,110.04
Non-currentliabilities:
Insurancecontractreserve
Long-termborrowings
Bondspayable
Including:Preferredshares
Perpetualbonds
Leaseliabilities
Long-termpayables
Long-termpayrollpayable
Provisions
Deferredincome58,864,111.2258,864,111.22
Deferredincometaxliabilities49,849,890.2757,082,890.27
Othernon-currentliabilities
Totalnon-currentliabilities108,714,001.49115,947,001.49
Totalliabilities1,385,390,900.441,356,100,111.53
Owners’equity:
Sharecapital561,374,326.00561,374,326.00
Otherequityinstruments
Including:Preferredshares
Perpetualbonds
Capitalreserves164,328,665.43164,328,665.43
Less:Treasurystock
Othercomprehensiveincome276,072,775.00317,059,775.00
Specificreserve17,560,202.0717,560,202.07
Surplusreserves322,226,700.34322,226,700.34
Generalreserve
Retainedearnings728,200,234.70726,689,929.10
TotalequityattributabletoownersoftheCompanyastheparent2,069,762,903.542,109,239,597.94
Non-controllinginterests19,643,141.6819,636,281.01
Totalowners’equity2,089,406,045.222,128,875,878.95
Totalliabilitiesandowners’equity3,474,796,945.663,484,975,990.48

Legalrepresentative:ShiXinkunGeneralmanager:ZhangXinHeadoftheCompany’sfinancialdepartment:JiangHe

2.BalanceSheetoftheCompanyastheParent

Unit:RMB

Item31March202031December2019
Currentassets:
Monetaryassets588,185,079.91584,957,678.96
Held-for-tradingfinancialassets
Derivativefinancialassets
Notesreceivable468,199,058.92576,948,023.05
Accountsreceivable555,986,587.00337,447,538.04
Accountsreceivablefinancing
Prepayments5,286,406.816,386,284.14
Otherreceivables21,030,505.0923,639,899.46
Including:Interestreceivable
Dividendsreceivable
Inventories302,327,441.92368,653,472.39
Contractualassets
Assetsclassifiedasheldforsale
Currentportionofnon-currentassets
Othercurrentassets3,898,333.51
Totalcurrentassets1,941,015,079.651,901,931,229.55
Non-currentassets:
Investmentsindebtobligations
Investmentsinotherdebtobligations
Long-termreceivables
Long-termequityinvestments266,752,730.03251,752,730.03
Investmentsinotherequityinstruments484,666,000.00532,886,000.00
Othernon-currentfinancialassets50,000,000.0050,000,000.00
Investmentproperty47,895,581.6348,447,666.83
Fixedassets347,310,451.70364,071,199.07
Constructioninprogress93,455,413.3789,330,161.60
Productivelivingassets
Oilandgasassets
Userightsassets
Intangibleassets69,346,042.1170,169,770.91
R&Dexpense
Goodwill
Long-termprepaidexpense
Deferredincometaxassets970,026.67970,026.67
Othernon-currentassets
Totalnon-currentassets1,360,396,245.511,407,627,555.11
Totalassets3,301,411,325.163,309,558,784.66
Currentliabilities:
Short-termborrowings5,000,000.005,000,000.00
Held-for-tradingfinancialliabilities
Derivativefinancialliabilities
Notespayable404,288,000.00392,105,000.00
Accountspayable502,379,414.90481,854,210.18
Advancesfromcustomers28,673,664.87
Contractualliabilities34,190,302.40
Payrollpayable20,434,470.8039,125,477.30
Taxespayable12,499,731.485,952,664.10
Otherpayables203,834,517.21191,962,821.35
Including:Interestpayable
Dividendspayable3,243,179.973,243,179.97
Liabilitiesdirectlyassociatedwithassetsclassifiedasheldforsale
Currentportionofnon-currentliabilities
Othercurrentliabilities
Totalcurrentliabilities1,182,626,436.791,144,673,837.80
Non-currentliabilities:
Long-termborrowings
Bondspayable
Including:Preferredshares
Perpetualbonds
Leaseliabilities
Long-termpayables
Long-termpayrollpayable
Provisions
Deferredincome58,864,111.2258,864,111.22
Deferredincometaxliabilities48,718,725.0055,951,725.00
Othernon-currentliabilities
Totalnon-currentliabilities107,582,836.22114,815,836.22
Totalliabilities1,290,209,273.011,259,489,674.02
Owners’equity:
Sharecapital561,374,326.00561,374,326.00
Otherequityinstruments
Including:Preferredshares
Perpetualbonds
Capitalreserves183,071,147.70183,071,147.70
Less:Treasurystock
Othercomprehensiveincome276,072,775.00317,059,775.00
Specificreserve17,560,202.0717,560,202.07
Surplusreserves322,226,700.34322,226,700.34
Retainedearnings650,896,901.04648,776,959.53
Totalowners’equity2,011,202,052.152,050,069,110.64
Totalliabilitiesandowners’equity3,301,411,325.163,309,558,784.66

Legalrepresentative:ShiXinkunGeneralmanager:ZhangXinHeadoftheCompany’sfinancialdepartment:JiangHe

3.ConsolidatedIncomeStatement

Unit:RMB

ItemQ12020Q12019
1.Revenue537,033,349.19557,670,611.48
Including:Operatingrevenue537,033,349.19557,670,611.48
Interestincome
Premiumincome
Handlingchargeandcommissionincome
2.Costsandexpenses529,922,440.47549,460,701.31
Including:Costofsales468,398,298.69490,367,392.94
Interestexpense
Handlingchargeandcommissionexpense
Surrenders
Netclaimspaid
Netamountprovidedaspolicyreserve
Expenditureonpolicydividends
Reinsurancepremiumexpense
Taxesandsurcharges3,081,606.932,586,596.10
Sellingexpense27,529,136.0925,812,066.86
Administrativeexpense16,267,262.6814,279,960.47
R&Dexpense15,470,032.8414,077,360.88
Financecosts-823,896.762,337,324.06
Including:Interestexpense272,391.02813,946.55
Interestincome1,559,568.831,405,261.21
Add:Otherincome805,876.00129,300.00
Returnoninvestment(“-”forloss)24,734.34115,280.60
Including:Shareofprofitorlossofjointventuresandassociates
Incomefromthederecognitionoffinancialassetsatamortizedcost(“-”forloss)
Foreignexchangegain(“-”forloss)
Netgainonexposurehedges(“-”forloss)
Gainonchangesinfairvalue(“-”forloss)
Creditimpairmentloss(“-”forloss)-5,148,895.63-6,247,186.29
Assetimpairmentloss(“-”forloss)
Assetdisposalincome(“-”forloss)-29,514.41984,535.95
3.Operatingprofit(“-”forloss)2,763,109.023,191,840.43
Add:Non-operatingincome131,146.74452,748.32
Less:Non-operatingexpense368,721.4420,108.63
4.Profitbeforetax(“-”forloss)2,525,534.323,624,480.12
Less:Incometaxexpense1,008,368.051,057,440.67
5.Netprofit(“-”fornetloss)1,517,166.272,567,039.45
5.1Byoperatingcontinuity
5.1.1Netprofitfromcontinuingoperations(“-”fornetloss)1,517,166.272,567,039.45
5.1.2Netprofitfromdiscontinuedoperations(“-”fornetloss)
5.2Byownership
5.2.1NetprofitattributabletoownersoftheCompanyastheparent1,510,305.602,518,025.10
5.2.1Netprofitattributabletonon-controllinginterests6,860.6749,014.35
6.Othercomprehensiveincome,netoftax-40,987,000.0081,621,250.00
AttributabletoownersoftheCompanyastheparent-40,987,000.0081,621,250.00
6.1Itemsthatwillnotbereclassifiedtoprofitorloss-40,987,000.0081,621,250.00
6.1.1Changescausedbyremeasurementsondefinedbenefitpensionschemes
6.1.2Othercomprehensiveincomethatwillnotbereclassifiedtoprofitorlossundertheequitymethod
6.1.3Changesinthefairvalueofinvestmentsinotherequityinstruments-40,987,000.0081,621,250.00
6.1.4Changesinthefairvalueofthecompany’screditrisks
6.1.5Other
6.2Itemsthatwillbereclassifiedtoprofitorloss
6.2.1Othercomprehensiveincomethatwillbereclassifiedtoprofitorlossundertheequitymethod
6.2.2Changesinthefairvalueofinvestmentsinotherdebtobligations
6.2.3Othercomprehensiveincomearisingfromthereclassificationoffinancialassets
6.2.4Allowanceforcreditimpairmentsininvestmentsinotherdebtobligations
6.2.5Reserveforcashflowhedges
6.2.6Differencesarisingfromthetranslationofforeigncurrency-denominatedfinancialstatements
6.2.7Other
Attributabletonon-controllinginterests
7.Totalcomprehensiveincome-39,469,833.7384,188,289.45
AttributabletoownersoftheCompanyastheparent-39,476,694.4084,139,275.10
Attributabletonon-controllinginterests6,860.6749,014.35
8.Earningspershare
8.1Basicearningspershare0.00270.0045
8.2Dilutedearningspershare0.00270.0045

Legalrepresentative:ShiXinkunGeneralmanager:ZhangXinHeadoftheCompany’sfinancialdepartment:JiangHe

4.IncomeStatementoftheCompanyastheParent

Unit:RMB

ItemQ12020Q12019
1.Operatingrevenue503,170,117.52517,869,769.55
Less:Costofsales442,502,103.14460,358,879.40
Taxesandsurcharges2,157,929.612,027,946.33
Sellingexpense25,275,600.9123,691,858.67
Administrativeexpense12,115,923.019,526,479.22
R&Dexpense15,078,747.4013,521,905.65
Financecosts-1,041,410.011,105,188.53
Including:Interestexpense54,875.67558,794.31
Interestincome1,479,923.861,325,611.24
Add:Otherincome300,000.00129,300.00
Returnoninvestment(“-”forloss)
Including:Shareofprofitorlossofjointventuresandassociates
Incomefromthederecognitionoffinancialassetsatamortizedcost(“-”forloss)
Netgainonexposurehedges(“-”forloss)
Gainonchangesinfairvalue(“-”forloss)
Creditimpairmentloss(“-”forloss)-4,870,810.22-6,247,186.29
Assetimpairmentloss(“-”forloss)
Assetdisposalincome(“-”forloss)-29,514.41984,535.95
2.Operatingprofit(“-”forloss)2,480,898.832,504,161.41
Add:Non-operatingincome14,530.00187,691.12
Less:Non-operatingexpense1,380.009,093.98
3.Profitbeforetax(“-”forloss)2,494,048.832,682,758.55
Less:Incometaxexpense374,107.32402,413.78
4.Netprofit(“-”fornetloss)2,119,941.512,280,344.77
4.1Netprofitfromcontinuingoperations(“-”fornetloss)2,119,941.512,280,344.77
4.2Netprofitfromdiscontinuedoperations(“-”fornetloss)
5.Othercomprehensiveincome,netoftax-40,987,000.0081,621,250.00
5.1Itemsthatwillnotbereclassifiedtoprofitorloss-40,987,000.0081,621,250.00
5.1.1Changescausedbyremeasurementsondefinedbenefit
pensionschemes
5.1.2Othercomprehensiveincomethatwillnotbereclassifiedtoprofitorlossundertheequitymethod
5.1.3Changesinthefairvalueofinvestmentsinotherequityinstruments-40,987,000.0081,621,250.00
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.Totalcomprehensiveincome-38,867,058.4983,901,594.77
7.Earningspershare
7.1Basicearningspershare0.00380.0041
7.2Dilutedearningspershare0.00380.0041

Legalrepresentative:ShiXinkunGeneralmanager:ZhangXinHeadoftheCompany’sfinancialdepartment:JiangHe

5.ConsolidatedCashFlowStatement

Unit:RMB

ItemQ12020Q12019
1.Cashflowsfromoperatingactivities:
Proceedsfromsaleofcommoditiesandrenderingofservices394,536,274.90385,993,156.10
Netincreaseincustomerdepositsandinterbankdeposits
Netincreaseinborrowingsfromthecentralbank
Netincreaseinloansfromotherfinancialinstitutions
Premiumsreceivedonoriginalinsurancecontracts
Netproceedsfromreinsurance
Netincreaseindepositsandinvestmentsofpolicyholders
Interest,handlingchargesandcommissionsreceived
Netincreaseininterbankloansobtained
Netincreaseinproceedsfromrepurchasetransactions
Netproceedsfromactingtradingofsecurities
Taxrebates8,340,486.9913,338,440.09
Cashgeneratedfromotheroperatingactivities3,065,965.225,026,831.34
Subtotalofcashgeneratedfromoperatingactivities405,942,727.11404,358,427.53
Paymentsforcommoditiesandservices281,322,512.13345,226,371.02
Netincreaseinloansandadvancestocustomers
Netincreaseindepositsinthecentralbankandininterbankloansgranted
Paymentsforclaimsonoriginalinsurancecontracts
Netincreaseininterbankloansgranted
Interest,handlingchargesandcommissionspaid
Policydividendspaid
Cashpaidtoandforemployees76,966,977.1287,234,321.19
Taxespaid7,741,624.228,260,325.27
Cashusedinotheroperatingactivities20,670,317.6827,470,041.46
Subtotalofcashusedinoperatingactivities386,701,431.15468,191,058.94
Netcashgeneratedfrom/usedinoperatingactivities19,241,295.96-63,832,631.41
2.Cashflowsfrominvestingactivities:
Proceedsfromdisinvestment1,500,000.004,000,000.00
Returnoninvestment1,778.18115,280.60
Netproceedsfromthedisposaloffixedassets,intangibleassetsandotherlong-livedassets46,500.001,001,035.95
Netproceedsfromthedisposalofsubsidiariesandotherbusinessunits
Cashgeneratedfromotherinvestingactivities
Subtotalofcashgeneratedfrominvestingactivities1,548,278.185,116,316.55
Paymentsfortheacquisitionoffixedassets,intangibleassetsandotherlong-livedassets25,124,094.047,647,974.81
Paymentsforinvestments3,000,000.0010,000,000.00
Netincreaseinpledgedloansgranted
Netpaymentsfortheacquisitionofsubsidiariesandotherbusinessunits
Cashusedinotherinvestingactivities930,300.00
Subtotalofcashusedininvestingactivities29,054,394.0417,647,974.81
Netcashgeneratedfrom/usedininvestingactivities-27,506,115.86-12,531,658.26
3.Cashflowsfromfinancingactivities:
Capitalcontributionsreceived
Including:Capitalcontributionsbynon-controllingintereststosubsidiaries
Borrowingsobtained7,000,000.00
Cashgeneratedfromotherfinancingactivities
Subtotalofcashgeneratedfromfinancingactivities7,000,000.00
Repaymentsofborrowings7,000,000.00
Paymentsforinterestanddividends272,391.02813,946.55
Including:Dividendspaidbysubsidiariestonon-controllinginterests
Cashusedinotherfinancingactivities
Subtotalofcashusedinfinancingactivities272,391.027,813,946.55
Netcashgeneratedfrom/usedinfinancingactivities-272,391.02-813,946.55
4.Effectofforeignexchangeratechangesoncashandcashequivalents
5.Netincreaseincashandcashequivalents-8,537,210.92-77,178,236.22
Add:Cashandcashequivalents,beginningoftheperiod544,584,744.17687,079,639.59
6.Cashandcashequivalents,endoftheperiod536,047,533.25609,901,403.37

Legalrepresentative:ShiXinkunGeneralmanager:ZhangXinHeadoftheCompany’sfinancialdepartment:JiangHe

6.CashFlowStatementoftheCompanyastheParent

Unit:RMB

ItemQ12020Q12019
1.Cashflowsfromoperatingactivities:
Proceedsfromsaleofcommoditiesandrenderingofservices354,637,979.41350,605,925.78
Taxrebates5,440,557.3810,449,706.25
Cashgeneratedfromotheroperatingactivities2,354,261.652,573,315.54
Subtotalofcashgeneratedfromoperatingactivities362,432,798.44363,628,947.57
Paymentsforcommoditiesandservices254,044,882.14321,914,661.45
Cashpaidtoandforemployees65,955,095.3874,643,724.56
Taxespaid3,705,225.584,780,770.52
Cashusedinotheroperatingactivities16,543,652.6920,159,658.65
Subtotalofcashusedinoperatingactivities340,248,855.79421,498,815.18
Netcashgeneratedfrom/usedinoperatingactivities22,183,942.65-57,869,867.61
2.Cashflowsfrominvestingactivities:
Proceedsfromdisinvestment
Returnoninvestment
Netproceedsfromthedisposaloffixedassets,intangibleassetsandotherlong-livedassets46,500.00984,535.95
Netproceedsfromthedisposalofsubsidiariesandotherbusinessunits
Cashgeneratedfromotherinvestingactivities
Subtotalofcashgeneratedfrominvestingactivities46,500.00984,535.95
Paymentsfortheacquisitionoffixedassets,intangibleassetsandotherlong-livedassets6,656,932.635,500,496.74
Paymentsforinvestments15,000,000.0010,000,000.00
Netpaymentsfortheacquisitionofsubsidiariesandotherbusinessunits
Cashusedinotherinvestingactivities
Subtotalofcashusedininvestingactivities21,656,932.6315,500,496.74
Netcashgeneratedfrom/usedininvestingactivities-21,610,432.63-14,515,960.79
3.Cashflowsfromfinancingactivities:
Capitalcontributionsreceived
Borrowingsobtained
Cashgeneratedfromotherfinancingactivities
Subtotalofcashgeneratedfromfinancingactivities
Repaymentsofborrowings
Paymentsforinterestanddividends54,875.67558,794.31
Cashusedinotherfinancingactivities
Subtotalofcashusedinfinancingactivities54,875.67558,794.31
Netcashgeneratedfrom/usedinfinancingactivities-54,875.67-558,794.31
4.Effectofforeignexchangeratechangesoncashandcashequivalents
5.Netincreaseincashandcashequivalents518,634.35-72,944,622.71
Add:Cashandcashequivalents,beginningoftheperiod497,777,104.81651,854,206.79
6.Cashandcashequivalents,endoftheperiod498,295,739.16578,909,584.08

Legalrepresentative:ShiXinkunGeneralmanager:ZhangXinHeadoftheCompany’sfinancialdepartment:JiangHe

IIAdjustmentstotheFinancialStatements

1.AdjustmentstotheFinancialStatementsattheBeginningoftheFirstExecutionYearofanyNewStandardsGoverningFinancialInstruments,RevenueorLeasesfrom2020

√Applicable□NotapplicableConsolidatedBalanceSheet

Unit:RMB

Item31December20191January2020Adjusted
Currentassets:
Monetaryassets637,214,006.06637,214,006.06
Settlementreserve
Interbankloansgranted
Held-for-tradingfinancialassets10,000,000.0010,000,000.00
Derivativefinancialassets
Notesreceivable606,283,023.05606,283,023.05
Accountsreceivable419,295,665.51419,295,665.51
Accountsreceivablefinancing
Prepayments12,930,546.1612,930,546.16
Premiumsreceivable
Reinsurancereceivables
Receivablereinsurancecontractreserve
Otherreceivables10,597,073.1810,597,073.18
Including:Interestreceivable
Dividendsreceivable
Financialassetspurchasedunderresaleagreements
Inventories473,352,010.58473,352,010.58
Contractualassets
Assetsclassifiedasheldforsale
Currentportionofnon-currentassets
Othercurrentassets6,353,920.336,353,920.33
Totalcurrentassets2,176,026,244.872,176,026,244.87
Non-currentassets:
Loansandadvancestocustomers
Investmentsindebtobligations
Investmentsinotherdebtobligations
Long-termreceivables
Long-termequityinvestments
Investmentsinotherequityinstruments532,886,000.00532,886,000.00
Othernon-currentfinancialassets77,952,101.6377,952,101.63
Investmentproperty48,447,666.8348,447,666.83
Fixedassets457,582,514.13457,582,514.13
Constructioninprogress91,358,156.2491,358,156.24
Productivelivingassets
Oilandgasassets
Userightsassets
Intangibleassets99,699,450.2699,699,450.26
R&Dexpense
Goodwill
Long-termprepaidexpense
Deferredincometaxassets1,023,856.521,023,856.52
Othernon-currentassets
Totalnon-currentassets1,308,949,745.611,308,949,745.61
Totalassets3,484,975,990.483,484,975,990.48
Currentliabilities:
Short-termborrowings22,000,000.0022,000,000.00
Borrowingsfromthecentralbank
Interbankloansobtained
Held-for-tradingfinancialliabilities
Derivativefinancialliabilities
Notespayable403,035,000.00403,035,000.00
Accountspayable525,610,256.89525,610,256.89
Advancesfromcustomers30,836,615.21-30,836,615.21
Contractualliabilities30,836,615.2130,836,615.21
Financialassetssoldunderrepurchaseagreements
Customerdepositsandinterbank
deposits
Payablesforactingtradingofsecurities
Payablesforunderwritingofsecurities
Payrollpayable44,559,015.7944,559,015.79
Taxespayable9,094,382.589,094,382.58
Otherpayables203,840,127.19203,840,127.19
Including:Interestpayable
Dividendspayable3,891,433.833,891,433.83
Handlingchargesandcommissionspayable
Reinsurancepayables
Liabilitiesdirectlyassociatedwithassetsclassifiedasheldforsale
Currentportionofnon-currentliabilities
Othercurrentliabilities1,177,712.381,177,712.38
Totalcurrentliabilities1,240,153,110.041,240,153,110.04
Non-currentliabilities:
Insurancecontractreserve
Long-termborrowings
Bondspayable
Including:Preferredshares
Perpetualbonds
Leaseliabilities
Long-termpayables
Long-termpayrollpayable
Provisions
Deferredincome58,864,111.2258,864,111.22
Deferredincometaxliabilities57,082,890.2757,082,890.27
Othernon-currentliabilities
Totalnon-currentliabilities115,947,001.49115,947,001.49
Totalliabilities1,356,100,111.531,356,100,111.53
Owners’equity:
Sharecapital561,374,326.00561,374,326.00
Otherequityinstruments
Including:Preferredshares
Perpetualbonds
Capitalreserves164,328,665.43164,328,665.43
Less:Treasurystock
Othercomprehensiveincome317,059,775.00317,059,775.00
Specificreserve17,560,202.0717,560,202.07
Surplusreserves322,226,700.34322,226,700.34
Generalreserve
Retainedearnings726,689,929.10726,689,929.10
TotalequityattributabletoownersoftheCompanyastheparent2,109,239,597.942,109,239,597.94
Non-controllinginterests19,636,281.0119,636,281.01
Totalowners’equity2,128,875,878.952,128,875,878.95
Totalliabilitiesandowners’equity3,484,975,990.483,484,975,990.48

NotetoadjustmentBalanceSheetoftheCompanyastheParent

Unit:RMB

Item31December20191January2020Adjusted
Currentassets:
Monetaryassets584,957,678.96584,957,678.96
Held-for-tradingfinancialassets
Derivativefinancialassets
Notesreceivable576,948,023.05576,948,023.05
Accountsreceivable337,447,538.04337,447,538.04
Accountsreceivablefinancing
Prepayments6,386,284.146,386,284.14
Otherreceivables23,639,899.4623,639,899.46
Including:Interestreceivable
Dividendsreceivable
Inventories368,653,472.39368,653,472.39
Contractualassets
Assetsclassifiedasheldforsale
Currentportionofnon-currentassets
Othercurrentassets3,898,333.513,898,333.51
Totalcurrentassets1,901,931,229.551,901,931,229.55
Non-currentassets:
Investmentsindebtobligations
Investmentsinotherdebtobligations
Long-termreceivables
Long-termequityinvestments251,752,730.03251,752,730.03
Investmentsinotherequityinstruments532,886,000.00532,886,000.00
Othernon-currentfinancialassets50,000,000.0050,000,000.00
Investmentproperty48,447,666.8348,447,666.83
Fixedassets364,071,199.07364,071,199.07
Constructioninprogress89,330,161.6089,330,161.60
Productivelivingassets
Oilandgasassets
Userightsassets
Intangibleassets70,169,770.9170,169,770.91
R&Dexpense
Goodwill
Long-termprepaidexpense
Deferredincometaxassets970,026.67970,026.67
Othernon-currentassets
Totalnon-currentassets1,407,627,555.111,407,627,555.11
Totalassets3,309,558,784.663,309,558,784.66
Currentliabilities:
Short-termborrowings5,000,000.005,000,000.00
Held-for-tradingfinancialliabilities
Derivativefinancialliabilities
Notespayable392,105,000.00392,105,000.00
Accountspayable481,854,210.18481,854,210.18
Advancesfromcustomers28,673,664.87-28,673,664.87
Contractualliabilities28,673,664.8728,673,664.87
Payrollpayable39,125,477.3039,125,477.30
Taxespayable5,952,664.105,952,664.10
Otherpayables191,962,821.35191,962,821.35
Including:Interestpayable0.000.00
Dividendspayable3,243,179.973,243,179.97
Liabilitiesdirectlyassociatedwithassetsclassifiedasheldforsale
Currentportionofnon-currentliabilities
Othercurrentliabilities
Totalcurrentliabilities1,144,673,837.801,144,673,837.80
Non-currentliabilities:
Long-termborrowings
Bondspayable
Including:Preferredshares
Perpetualbonds
Leaseliabilities
Long-termpayables
Long-termpayrollpayable
Provisions
Deferredincome58,864,111.2258,864,111.22
Deferredincometaxliabilities55,951,725.0055,951,725.00
Othernon-currentliabilities
Totalnon-currentliabilities114,815,836.22114,815,836.22
Totalliabilities1,259,489,674.021,259,489,674.02
Owners’equity:
Sharecapital561,374,326.00561,374,326.00
Otherequityinstruments
Including:Preferredshares
Perpetualbonds
Capitalreserves183,071,147.70183,071,147.70
Less:Treasurystock
Othercomprehensiveincome317,059,775.00317,059,775.00
Specificreserve17,560,202.0717,560,202.07
Surplusreserves322,226,700.34322,226,700.34
Retainedearnings648,776,959.53648,776,959.53
Totalowners’equity2,050,069,110.642,050,069,110.64
Totalliabilitiesandowners’equity3,309,558,784.663,309,558,784.66

2.RetrospectiveRestatementofPreviousComparativeDataduetotheFirstExecutionofanyNewStandardsGoverningFinancialInstrumentsorLeasesfrom2020

□Applicable√NotapplicableIIIIndependentAuditor’sReport

Indicatebytickmarkwhetherthefinancialstatementsabovehavebeenauditedbyanindependentauditor.

□Yes√NoThesefinancialstatementshavenotbeenauditedbysuchanauditor.


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