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        粵照明B:2017年第一季度報告全文(英文版)
        2017-04-28 08:00:00
        FOSHANELECTRICALANDLIGHTINGCO.,LTD.
        
                             FIRSTQUARTERREPORT2017
        
                                                April2017
        
                                  SectionIImportantStatements
        
        Theboardofdirectors(the“Board”),thesupervisoryboard(the“SupervisoryBoard”),as
        
        well as the directors, supervisors and senior executive officers of Foshan Electrical and
        
        Lighting Co., Ltd. (the “Company”) hereby guarantee the factuality, accuracy and
        
        completenessofthecontentsofthisReport,andshallbejointlyandseverallyliableforany
        
        falserepresentation,misleadingstatementsormaterialomissionsinthisReport.
        
        AlldirectorsattendedtheboardmeetingforthereviewofthisReport.
        
        HeYong,headoftheCompany,LiuXingming,accountingheadforthisReport,andTang
        
        Qionglan,headoftheaccountingdepartment(headofaccounting),herebyguaranteethatthe
        
        financialstatementscarriedinthisReportarefactual,accurateandcomplete.
        
                SectionIIKeyFinancialResultsandShareholders’Profile
        
        IKeyfinancialresults
        
        IndicatebytickmarkwhethertheCompanyretroactivelyrestatedanyofitsaccountingdataduetochangesof
        
        accountingpoliciesorcorrectionofaccountingerrors.
        
        □Yes√No
        
                                         January-March2017   January-March2016          +/-%
        
        Operatingrevenues(RMB)                1,093,649,938.81         904,310,757.83               20.94%
        
        Net    profit    attributable   to          119,874,574.94         107,776,865.30               11.22%
        
        shareholdersoftheCompany(RMB)
        
        Net    profit    attributable   to
        
        shareholdersoftheCompanybefore         119,491,016.83         107,348,727.74               11.31%
        
        exceptionalprofitandloss(RMB)
        
        Net cash flows from  operating          -50,923,130.47         186,104,091.50             -127.36%
        
        activities(RMB)
        
        Basicearningspershare                          0.0942               0.0847               11.22%
        
        (RMB/share)Dilutedearningspershare                         0.0942               0.0847               11.22%(RMB/share)Weightedaveragereturnonequity                  2.36%                2.12%                0.24%(%)                                   March31,2017      December31,2016          +/-%Totalassets(RMB)                       6,239,727,776.53        6,100,169,400.30                2.29%Net    assets   attributable   to        5,188,960,827.09        4,990,466,577.12                3.98%shareholdersoftheCompany(RMB)Exceptionalprofit/loss√Applicable□Notapplicable                                                                                      Unit:RMB                     Item                        January-March2017            NoteProfit/lossondisposalofnon-currentassets(including             -749,629.80offsetassetimpairmentprovisions)Governmentsubsidieschargedtotheprofit/lossforthisReporting Period (except for the government grantsclosely relatedto the businessofthe Company and             546,259.98givenatafixedquotaoramountinaccordancewiththeState’suniformstandards)Non-operatingincomeandexpenseotherthantheabove              639,662.92
        
        Less:Corporateincometax                                      53,451.07
        
             Minorityinterests(aftertax)                                  -716.08
        
        Total                                                        383,558.11           --
        
        ExplanationofwhytheCompanyclassifiedanitemasexceptionalprofit/lossaccordingtothedefinitioninthe
        
        ExplanatoryAnnouncementNo.1onInformationDisclosureforCompaniesOfferingTheirSecuritiestothe
        
        Public―ExceptionalProfitandLoss,orreclassifiedanyexceptionalprofit/lossitemgivenasanexampleinthe
        
        saidexplanatoryannouncementtorecurrentprofit/loss
        
        □Applicable√Notapplicable
        
        NosuchcasesinthisReportingPeriod.
        
        IITotalnumberofshareholdersattheperiod-endandtheirshareholdings
        
        1.Numbersofcommonshareholdersandpreferenceshareholderswithresumedvotingrights,aswellas
        
        shareholdingsoftoptenshareholders
        
                                                                                              Unit:share
        
                                                         Total number of preference
        
        Total   number   of   common                       shareholders with resumed
        
                                                   90,510                                           0
        
        shareholdersattheperiod-end                           votingrightsattheperiod-end
        
                                                         (ifany)
        
                                               Toptenshareholders
        
                                                                Numberof       Pledgedorfrozenshares
        
           Nameof       Natureof     Shareholding  Totalsharesheld
        
                                                              restrictedshares
        
          shareholder     shareholder   percentage(%)  attheperiod-end                  Status        Number
        
                                                                  held
        
        HongKongWah
        
        Shing  HoldingForeign
        
                                          13.47%    171,360,391             Pledged            83,966,592
        
        Company      corporation
        
        LimitedProsperityLampsForeign&  Components                     10.50%    133,577,143corporationLimitedShenzhen RisingInvestment     State-owned                                   5.12%     65,178,305Development   corporationCo.,Ltd.GuangdongElectronicsState-ownedInformation                          4.74%     60,357,728             Pledged            29,575,287corporationIndustry  GroupLtd.Central   Huijin
        
        Asset         State-owned
        
                                           2.42%     30,799,000
        
        ManagementCo.,corporation
        
        Ltd.YunanInternationalTrustCo.,             Other                 1.91%     24,308,990Ltd.-HeshunNo.6AssembledFundsTrustPlanEssenceInternational    Foreign                                   1.91%     24,266,429Securities (HongcorporationKong)Co.,Ltd.DBSVickersForeign(HongKong)Ltd                      1.86%     23,645,755corporationA/CClientsHong    KongRisingForeignInvestment                           1.82%     23,165,684corporationDevelopmentCo.,Ltd.ForeignZhuangJianyi                         0.85%     10,821,372      8,116,029individual                                  Toptennon-restrictedshareholders                                                                           Typeofshares     Nameofshareholder      Numberofnon-restrictedsharesheldattheperiod-end                                                                       Type        NumberHong Kong Wah Shing Holding                                        RMB  common                                                         171,360,391                  171,360,391CompanyLimited                                                      shareProsperity Lamps& Components                                        RMB  common                                                         133,577,143                  133,577,143Limited                                                             shareShenzhen   Rising   Investment                                        RMB  common                                                          65,178,305                  65,178,305DevelopmentCo.,Ltd.                                                  shareGuangdongElectronicsInformation                                        RMB  common                                                          60,357,728                  60,357,728IndustryGroupLtd.                                                    shareCentral Huijin Asset Management                                        RMB  common                                                          30,799,000                  30,799,000Co.,Ltd.                                                            shareYunanInternationalTrustCo.,                                             RMB  common                                                          24,308,990                  24,308,990Ltd.-HeshunNo.6AssembledFunds                                        shareTrustPlan
        
                                                                           Domestically
        
        Essence  International  Securities
        
                                                                  24,266,429listed   foreign     24,266,429
        
        (HongKong)Co.,Ltd.
        
                                                                           share
        
                                                                           Domestically
        
        DBSVickers(HongKong)LtdA/C
        
                                                                  23,645,755listed   foreign     23,645,755
        
        Clientsshare
        
                                                                           Domestically
        
        Hong Kong Rising Investment
        
                                                                  23,165,684listed   foreign     23,165,684
        
        DevelopmentCo.,Ltd.
        
                                                                           share
        
        ChinaMerchantsSecurities(HK)                                           Domestically
        
                                                                  10,589,256listed   foreign     10,589,256
        
        Co.,Limited                                                          share
        
                                   Amongthe top10shareholders,Hong KongWah Shing Holding CompanyLimited,
        
                                   ShenzhenRisingInvestmentDevelopmentCo.,Ltd.,GuangdongElectronicsInformation
        
                                   Industry Group Ltd.and Hong Kong Rising Investment DevelopmentCo., Ltd. are
        
        Relatedoracting-in-concertparties
        
                                   acting-in-concertparties;andProsperityLamps&ComponentsLimitedandZhuangJianyi
        
        amongtheshareholdersabove
        
                                   areacting-in-concertparties.Apartfromthat,itisunknownwhetherthereisamongthetop
        
                                   10shareholdersanyotherrelated partiesoracting-in-concertpartiesasdefinedinthe
        
                                   AdministrativeMeasuresfortheAcquisitionofListedCompanies.
        
        Top  ten common  shareholders
        
        conductingsecuritiesmargintradingN/A
        
        (ifany)
        
        Indicatebytickmarkwhetheranyofthetoptencommonshareholdersorthetoptennon-restrictedcommon
        
        shareholdersoftheCompanyconductedanypromissoryrepoduringthisReportingPeriod.
        
        □Yea√No
        
        NosuchcasesinthisReportingPeriod.
        
        2.Totalnumberofpreferenceshareholdersandshareholdingsofthetoptenofthem
        
        □Applicable√Notapplicable
        
                                      SectionIIISignificantEvents
        
          IChangesinthekeyfinancialresultsofthisReportingPeriod,aswellasthereasonsforsuch
        
          changes√Applicable□Notapplicable                                                                                         Unit:RMB                       March31,                                     December31,2016/   Statementitem     2017/January-March                         +/-%               Reasonforchange                                     January-March20162017
        
        Accountsreceivable      811,126,367.75     595,257,954.00       36.26%     Increasedoperatingrevenues
        
                             6,726,391.09      4,612,406.80        45.83%     Increasedincomereceivablefromundue
        
        Interestreceivable                                                        bank’swealthmanagementproducts
        
        Other       accounts   16,077,582.68     11,977,660.58        34.23%
        
                                                                             Increaseinperformancebondspaid
        
        receivable                                                                     Year-endbonusesforlastyearwerepaidPayrollpayable          66,821,140.57     96,021,156.06       -30.41%                                                                     intheCurrentPeriod                                                                     In the fourth quarterof last year,the                                                                     income from the sale of GuoxuanTaxesandfarespayable    34,756,373.76     138,282,644.72       -74.87%     High-techsharesresultedinanincreasein                                                                     thecorporateincometaxpayable,which                                                                     waspaidintheCurrentPeriodDividendspayable            0.00          6,287,923.09       -100.00%    Payoutofdividendsbysubsidiaries                                                                     Thechargesforvehicleandvesseluseand                                                                     so onwere included in thetaxes andTaxesandsurtaxes        9,755,058.67      4,841,999.66        101.47%     surtaxesfromMay 1,2016as perthe                                                                     accounting  and  taxation  regulatory                                                                     document[2016]No.22                                                                     Increase intransportation expenses andSellingexpenses         38,400,329.73     27,744,850.71        38.41%     othersellingexpensesduetoincreasedsales
        
        Financecost            -5,743,864.20     -3,553,912.01       -61.62%     Increasedinterestincome
        
        Assetimpairmentloss     22,650,361.26     11,137,926.24       103.36%     Inventoryfallingpriceprovisions
        
                                                                             Increased income from bank’s wealth
        
        Investmentincome        2,646,308.80       -106,841.26        2576.86%
        
                                                                             management
        
        Minorityshareholders’
        
                             1,930,823.27       -378,242.41        610.47%     Earningsofnewsubsidiaries
        
        incomeOthercomprehensive                                                      Increasedfairvalueofavailable-for-sale                     78,619,675.02     -30,685,157.22       356.21%incomenetoftax                                                         financialassetsTotalcomprehensive                                                      Increased net profit and fair value of                    200,425,073.23     76,713,465.67       161.26%income                                                                available-for-salefinancialassetsTotalcomprehensive                                                      Increasedtotalcomprehensiveincomeincomeattributableto     198,494,249.96     77,091,708.08       157.48%ownersoftheCompany                                                                     Considerable  increase  in  materialNetcashflowsfrom                    -50,923,130.47     186,104,091.50       -127.36%    procurementandcorporateincometaxdueoperatingactivities                                                                     tobusinessgrowth                                                                     The Companyhasceaseditssecurities                                                                     investment  since  April  2016  andNetcashflowsfrom                    -29,321,560.03    -124,290,416.89       76.41%     recoveredtheamountinvestedinbank’sinvestingactivities                                                                     wealth management products in the                                                                     CurrentPeriodNetcashflowsfrom                     -5,660,290.78         0.00              /       Payoutofdividendsbysubsidiariesfinancingactivities  IIProgressofsignificanteventsandtheirinfluenceandsolutions√Applicable□Notapplicable          Summaryofsignificantevent              Disclosuredate             Disclosurewebsite  On January 19, 2017, the Proposal on  Transfer of Equity Interests of Qinghai        01/20/2017              www.cninfo.com.cn  FozhaoLithiumEnergyExploitationCo.,Ltd.was considered and approved at the 12th
        
        meetingofthe8thBoard.Assuch,theBoard
        
        has agreed to transfer its 38% stake in
        
        Qinghai Fozhao to a potential buyer for
        
        RMB189.8176 million. The success of the
        
        saidtransactionstilldependsonthepotential
        
        buyer’s   execution   results   of   its
        
        decision-making and approval procedure.
        
        Therefore,it isveryuncertainwhetherthis
        
        transactioncanbesuccessfullyconcludedor
        
        not.IIIOverduecommitmentsoftheCompany’sactualcontroller,shareholders,relatedpartiesandacquirer,aswellastheCompanyandothercommitmentmakersinthisReportingPeriodorongoingattheperiod-end□Applicable√NotapplicableNosuchcasesinthisReportingPeriod.IVOperatingresultforecastforJanuary-June2017WarningofaforecastdeficitorconsiderableYoYchangeintheaccumulativenetprofitmadeduringtheperiodfromthebeginningoftheyeartotheendofthenextreportingperiod,aswellasexplanationofwhy:□Applicable√NotapplicableVSecuritiesinvestments□Applicable√NotapplicableNosuchcasesintheReportingPeriod.VIInvestmentsinderivativefinancialinstruments□Applicable√NotapplicableNosuchcasesintheReportingPeriod.VII Visits paid to the Company in the Reporting Period for purposes of research,communication,interview,etc.√Applicable□Notapplicable     Dateofvisit           Wayofvisit          Typeofvisitor        Maininquiryinformation02/16/2017             One-on-onemeeting        Institution       SeeEasyIR-InvestorRelationsonwww.cninfo.com.cn
        
        VIIIIllegalprovisionofguaranteesforexternalparties
        
        □Applicable√Notapplicable
        
        NosuchcasesintheReportingPeriod.
        
        IXOccupationoftheCompany’sfundsbythecontrollingshareholderoritsrelatedparties
        
        fornon-operatingpurposes
        
        □Applicable√Notapplicable
        
        NosuchcasesintheReportingPeriod.
        
                                 SectionIVFinancialStatements
        
        IFinancialstatements
        
        1.Consolidatedbalancesheet
        
        PreparedbyFoshanElectricalandLightingCo.,Ltd.
        
                                                 March31,2017
        
                                                                                              Unit:RMB
        
                    Item                       Closingbalance                    Openingbalance
        
        Currentassets:
        
         Monetaryfunds                                   1,393,827,082.88                    1,479,283,642.54
        
         Settlementreserve
        
         Interbanklendings
        
         Financialassetsatfairvaluethrough
        
        profit/loss Derivativefinancialassets Notesreceivable                                     48,473,852.00                      67,925,843.74 Accountsreceivable                                 811,126,367.75                     595,257,954.00 Accountspaidinadvance                              35,777,618.94                      30,292,007.11 Premiumsreceivable Reinsurancepremiumsreceivable Receivable  reinsurance  contractreserve Interestreceivable                                    6,726,391.09                       4,612,406.80 Dividendsreceivable Otheraccountsreceivable                              16,077,582.68                      11,977,660.58 Financial assets purchased underagreementstoresell Inventories                                        676,437,700.82                     753,681,605.19 Assetsheldforsale Non-current assetsdue within oneyear Othercurrentassets                                 432,782,210.54                     441,205,461.72Totalcurrentassets                                  3,421,228,806.70                    3,384,236,581.68Non-currentassets: Loansandadvancestocustomers
        
         Available-for-salefinancialassets                      1,824,394,592.21                    1,732,150,857.01
        
         Held-to-maturityinvestments
        
         Long-termaccountsreceivable
        
         Long-termequityinvestments                          208,317,481.49                     210,394,932.69
        
         Investmentproperty
        
         Fixedassets                                       446,158,295.04                     446,006,929.66
        
         Constructioninprogress                               88,525,487.88                      71,479,325.91
        
         Engineeringmaterials
        
         Disposaloffixedassets
        
         Productivelivingassets
        
         Oil-gasassets
        
         Intangibleassets                                    159,251,490.70                     160,330,395.13
        
         R&Dexpenses
        
         Goodwill Long-termdeferredexpenses                             6,096,713.09                       6,897,119.78 Deferredtaxassets                                   41,535,629.42                      43,547,918.44 Othernon-currentassets                               44,219,280.00                      45,125,340.00Totalnon-currentassets                               2,818,498,969.83                    2,715,932,818.62Totalassets                                        6,239,727,776.53                    6,100,169,400.30Currentliabilities: Short-termborrowings BorrowingsfromtheCentralBank Money  deposits  accepted  andinter-bankdeposits Interbankborrowings Financial liabilities at fair valuethroughprofit/loss Derivativefinancialliabilities Notespayable Accountspayable                                   624,304,073.74                     552,255,512.33 Accountsreceivedinadvance                            45,363,524.40                      41,180,818.13 Financialassetssoldforrepurchase Feesandcommissionspayable Payrollpayable                                      66,821,140.57                      96,021,156.06 Taxespayable                                       34,756,373.76                     138,282,644.72
        
         Interestpayable
        
         Dividendspayable                                                                     6,287,923.09
        
         Otheraccountspayable                                36,685,273.36                      50,104,338.81
        
         Reinsurancepremiumspayable
        
         Insurancecontractreserve
        
         Payables for acting trading of
        
        securities Payablesforactingunderwritingofsecurities Liabilitiesheldforsale Non-currentliabilitiesduewithinoneyear OthercurrentliabilitiesTotalcurrentliabilities                                 807,930,385.83                     884,132,393.14Non-currentliabilities: Long-termborrowings Bondspayable   Ofwhich:Preferenceshares           Perpetualbonds Long-termaccountspayable Long-termpayrollpayable SpecialpayablesProvisions Deferredincome                                     11,911,018.51                      10,449,768.49 Deferredtaxliabilities                                213,986,655.40                     200,112,595.11 Othernon-currentliabilitiesTotalnon-currentliabilities                              225,897,673.91                     210,562,363.60Totalliabilities                                      1,033,828,059.74                    1,094,694,756.74Owners’equity: Sharecapital                                     1,272,132,868.00                    1,272,132,868.00 Otherequityinstruments   Ofwhich:Preferenceshares           Perpetualbonds Capitalreserve                                     285,821,459.07                     285,821,459.07 Less:Treasuryshares
        
         Othercomprehensiveincome                          1,212,591,047.27                    1,133,971,372.25
        
         Specialreserve
        
         Surplusreserve                                     733,924,951.81                     733,924,951.81
        
         Provisionsforgeneralrisks
        
         Retainedearnings                                  1,684,490,500.94                    1,564,615,925.99
        
        Equity attributable to ownersof the
        
                                                        5,188,960,827.09                    4,990,466,577.12
        
        Company Minorityinterests                                    16,938,889.70                      15,008,066.44Totalowners’equity                                 5,205,899,716.79                    5,005,474,643.56Totalliabilitiesandowners’equity                       6,239,727,776.53                    6,100,169,400.30Legalrepresentative:HeYong                               AccountingheadforthisReport:LiuXingmingHeadoftheaccountingdepartment:TangQionglan2.BalancesheetoftheCompany                                                                                      Unit:RMB            Item                       Closingbalance                    OpeningbalanceCurrentassets: Monetaryfunds                                   1,131,036,357.36                    1,235,417,964.88 Financialassetsatfairvaluethroughprofit/loss Derivativefinancialassets Notesreceivable                                     46,492,698.33                      66,222,840.44 Accountsreceivable                                 827,241,447.26                     611,855,496.90 Accountspaidinadvance                              99,148,172.32                     117,217,953.23 Interestreceivable                                    5,576,877.20                       3,590,629.01 Dividendsreceivable                                                                  14,671,820.57 Otheraccountsreceivable                              73,969,687.47                      56,714,849.84 Inventories                                        626,573,651.25                     717,097,516.25 Assetsheldforsale Non-current assetsdue within oneyear Othercurrentassets                                 372,266,177.91                     379,932,325.87Totalcurrentassets                                  3,182,305,069.10                    3,202,721,396.99Non-currentassets: Available-for-salefinancialassets                      1,824,394,592.21                    1,732,150,857.01 Held-to-maturityinvestments
        
         Long-termaccountsreceivable
        
         Long-termequityinvestments                          691,914,771.25                     693,992,222.45
        
         Investmentproperty
        
         Fixedassets                                       371,222,819.47                     375,075,102.44
        
         Constructioninprogress                               85,852,715.45                      69,589,510.14
        
         Engineeringmaterials
        
         Disposaloffixedassets
        
         Productivelivingassets
        
         Oil-gasassets
        
         Intangibleassets                                    115,826,159.16                     117,017,633.92
        
         R&Dexpenses
        
         Goodwill Long-termdeferredexpenses                             6,096,713.09                       6,897,119.78 Deferredtaxassets                                   35,795,534.18                      37,790,043.38 Othernon-currentassets                               43,812,480.00                      44,519,790.00Totalnon-currentassets                               3,174,915,784.81                    3,077,032,279.12Totalassets                                        6,357,220,853.91                    6,279,753,676.11Currentliabilities: Short-termborrowings Financial liabilities at fair valuethroughprofit/loss Derivativefinancialliabilities Notespayable Accountspayable                                   762,976,559.10                     701,814,818.26 Accountsreceivedinadvance                            43,977,440.53                      38,406,798.91 Payrollpayable                                      34,902,154.82                      66,764,581.34 Taxespayable                                       23,848,519.90                     121,939,572.62 Interestpayable Dividendspayable Otheraccountspayable                               196,228,019.07                     258,368,416.59 Liabilitiesheldforsale Non-currentliabilitiesduewithinoneyear OthercurrentliabilitiesTotalcurrentliabilities                                1,061,932,693.42                    1,187,294,187.72
        
        Non-currentliabilities:
        
         Long-termborrowings
        
         Bondspayable
        
           Ofwhich:Preferenceshares
        
                   Perpetualbonds
        
         Long-termpayables
        
         Long-termpayrollpayable
        
         Specialpayables
        
         Provisions Deferredincome                                     11,484,768.34                       9,984,768.34 Deferredtaxliabilities                                213,986,655.40                     200,112,595.11 Othernon-currentliabilitiesTotalnon-currentliabilities                              225,471,423.74                     210,097,363.45Totalliabilities                                      1,287,404,117.16                    1,397,391,551.17Owners’equity: Sharecapital                                     1,272,132,868.00                    1,272,132,868.00 Otherequityinstruments   Ofwhich:Preferenceshares           Perpetualbonds Capitalreserve                                     293,425,065.15                     293,425,065.15 Less:Treasuryshares Othercomprehensiveincome                          1,212,591,047.27                    1,133,971,372.25 Specialreserve Surplusreserve                                     733,924,951.81                     733,924,951.81 Retainedearnings                                  1,557,742,804.52                    1,448,907,867.73Totalowners’equity                                 5,069,816,736.75                    4,882,362,124.94Totalliabilitiesandowners’equity                       6,357,220,853.91                    6,279,753,676.11Legalrepresentative:HeYong                               AccountingheadforthisReport:LiuXingmingHeadoftheaccountingdepartment:TangQionglan3.Consolidatedincomestatement                                                                                      Unit:RMB             Item                     January-March2017                 January-March20161.Operatingrevenues                                 1,093,649,938.81                    904,310,757.83Including:Salesincome                               1,093,649,938.81                    904,310,757.83
        
             Interestincome
        
             Premiumincome
        
             Feeandcommissionincome
        
        2.Operatingcosts                                     951,661,802.26                    776,257,794.04
        
        Including:Costofsales                                 830,819,079.30                    681,520,513.44
        
             Interestexpenses
        
             Feeandcommissionexpenses
        
             Surrenders     Netclaimspaid     Netamountprovidedasinsurancecontractreserve     Expenditureonpolicydividends     Reinsurancepremium     Taxesandsurtaxes                                 9,755,058.67                      4,841,999.66     Sellingexpenses                                  38,400,329.73                     27,744,850.71     Administrativeexpenses                            55,780,837.50                     54,566,416.00     Financecosts                                    -5,743,864.20                      -3,553,912.01     Assetimpairmentloss                              22,650,361.26                     11,137,926.24Add:Profitonfairvaluechanges(“-”meansloss)   Investmentincome(“-”meansloss)                      2,646,308.80                       -106,841.26   Including: Share of profit/loss of2,939.30
        
        associatesandjointventures
        
           Exchangegains(“-”meansloss)
        
        3.Operatingprofit(“-”meansloss)                         144,634,445.35                    127,946,122.53
        
           Add:Non-operatingincome                            1,445,858.46                      1,187,884.46
        
             Including:Profit ondisposalof
        
                                                                  0.00                         10,852.26
        
        non-currentassets
        
           Less:Non-operatingexpense                           1,009,565.36                      1,239,705.73
        
             Including: Loss on disposal of
        
                                                             749,629.80                         50,139.27
        
        non-currentassets
        
        4.Totalprofit(“-”meansloss)                            145,070,738.45                    127,894,301.26
        
           Less:Corporateincometax                            23,265,340.24                     20,495,678.37
        
        5.Netprofit(“-”meansloss)                             121,805,398.21                    107,398,622.89
        
           Netprofitattributabletoownersof
        
                                                          119,874,574.94                    107,776,865.30
        
        theCompany
        
           Minorityinterests’income                             1,930,823.27                       -378,242.41
        
        6.Othercomprehensiveincomenetoftax                     78,619,675.02                     -30,685,157.22
        
           Othercomprehensiveincomenetof
        
        tax attributable to owners of the                     78,619,675.02                     -30,685,157.22
        
        Company     6.1Othercomprehensiveincomethat will not be  reclassified intoprofit/loss       6.1.1Changesinnetliabilitiesorassetswithadefinedbenefitplanuponre-measurement       6.1.2   Share   of   othercomprehensiveincomeofinvesteesthatcannot be reclassified into profit/lossundertheequitymethod     6.2Othercomprehensiveincometo be subsequently reclassified into                     78,619,675.02                     -30,685,157.22profit/loss       6.2.1   Share   of   othercomprehensiveincomeofinvesteesthatwillbereclassifiedintoprofit/lossundertheequitymethod       6.2.2Profit/lossonfairvaluechanges of available-for-sale financial                     78,619,675.02                     -30,685,157.22assets       6.2.3     Profit/loss    onreclassifying         held-to-maturityinvestments   into  available-for-salefinancialassets       6.2.4 Effective profit/loss oncashflowhedges       6.2.5  Currency  translationdifferences       6.2.6Other   Othercomprehensiveincomenetoftaxattributabletominorityinterests7.Totalcomprehensiveincome                            200,425,073.23                     76,713,465.67   Attributable to owners of the                                                  198,494,249.96                     77,091,708.08Company   Attributabletominorityinterests                         1,930,823.27                       -378,242.418.Earningspershare   8.1Basicearningspershare                                0.0942                           0.0847   8.2Dilutedearningspershare                               0.0942                           0.0847
        
        WherebusinessmergersunderthesamecontroloccurredinthisReportingPeriod,thenetprofitachievedbythemergedparties
        
        beforethebusinessmergerswasRMB0.00,withthecorrespondingamountforthelastperiodbeingRMB0.00.
        
        Legalrepresentative:HeYong                               AccountingheadforthisReport:LiuXingming
        
        Headoftheaccountingdepartment:TangQionglan
        
        4.IncomestatementoftheCompany
        
                                                                                              Unit:RMB
        
                    Item                     January-March2017                 January-March2016
        
        1.Operatingrevenues                                 1,065,186,916.21                     916,228,477.71
        
         Less:Operatingcosts                                830,329,549.74                     715,477,230.48
        
           Taxesandsurtaxes                                  6,876,291.73                       2,844,766.16
        
           Sellingexpenses                                   35,427,725.59                      27,528,676.46
        
           Administrativeexpenses                              49,721,540.15                      44,685,990.61
        
           Financecosts                                     -4,394,600.15                      -2,174,344.12
        
           Assetimpairmentloss                               21,943,712.75                      11,178,161.37
        
         Add:profitonfairvaluechanges(“-”
        
        meansloss)
        
           Investment income (“-” means
        
                                                           2,202,183.81                       -106,841.26
        
        loss)   Including:Shareofprofit/lossof2,939.30
        
        associatesandjointventures
        
        2.Operatingprofit(“-”meansloss)                        127,484,880.21                     116,581,155.49
        
         Add:Non-operatingincome                              1,262,962.66                       1,041,340.99
        
           Including: Profit on disposalof
        
                                                                  0.00
        
        non-currentassets
        
         Less:Non-operatingexpense                              706,740.75                         71,261.90
        
           Including: Loss on disposal of
        
                                                             448,822.74                         32,003.23
        
        non-currentassets
        
        3.Totalprofit(“-”meansloss)                            128,041,102.12                     117,551,234.58
        
         Less:Corporateincometax                             19,206,165.33                      17,626,085.93
        
        4.Netprofit(“-”meansloss)                             108,834,936.79                      99,925,148.65
        
        5.Othercomprehensiveincomenetof
        
                                                          78,619,675.02                     -30,685,157.22
        
        tax 5.1Othercomprehensiveincomethatwillnotbereclassifiedintoprofitandloss   5.1.1Changesinnetliabilitiesorassetswithadefinedbenefitplanupon
        
        re-measurement   5.1.2    Share    of    othercomprehensiveincomeofinvesteesthatcannot bereclassified intoprofit/lossundertheequitymethod 5.2Othercomprehensiveincometobe  subsequently  reclassified  into                      78,619,675.02                     -30,685,157.22profit/loss   5.2.1    Share    of    othercomprehensiveincomeofinvesteesthatwill be reclassified into profit/lossundertheequitymethod   5.2.2 Profit/loss on fair valuechangesofavailable-for-salefinancial                      78,619,675.02                     -30,685,157.22assets   5.2.3 Profit/loss on reclassifyingheld-to-maturity  investments  intoavailable-for-salefinancialassets   5.2.4Effectiveprofit/lossoncashflowhedges   5.2.5   Currency   translationdifferences   5.2.6Other6.Totalcomprehensiveincome                            187,454,611.81                      69,239,991.437.Earningspershare  7.1Basicearningspershare  7.2DilutedearningspershareLegalrepresentative:HeYong                               AccountingheadforthisReport:LiuXingmingHeadoftheaccountingdepartment:TangQionglan5.Consolidatedcashflowstatement                                                                                      Unit:RMB            Item                     January-March2017                  January-March20161.Cashflowsfromoperatingactivities: Cash  received  from  sale  of                                                 891,447,570.02                      751,648,546.04commoditiesandrenderingofservice Netincreaseinmoneydepositsfromcustomersandinterbankplacements Net increase in loans from theCentralBank Netincreaseinfundsborrowedfrom
        
        otherfinancialinstitutions
        
         Cash received from premium of
        
        originalinsurancecontracts
        
         Netcashreceivedfromreinsurance
        
        business Netincrease indepositsof policyholdersandinvestmentfund Netincreaseindisposaloffinancialassetsatfairvaluethroughprofit/loss Interest,  fees and commissionsreceived Netincreaseininterbankborrowings Netincreaseinfundsinrepurchasebusiness Taxrefundsreceived                                 24,106,127.07                       34,432,771.16 Cashreceivedfromotheroperating                                                  5,770,626.16                       10,956,963.96activitiesSubtotalofcashinflowsfromoperating                                                 921,324,323.25                      797,038,281.16activities Cashpaidforgoodsandservices                       552,182,800.34                      388,307,756.52 Netincreaseinloansandadvancestocustomers Netincreaseinfundsdepositedinthe Central Bank and interbankplacements Cash paid for claims of originalinsurancecontracts Interest,feesandcommissionspaid Cashpaidaspolicydividends Cashpaidtoandforemployees                         198,007,961.77                      142,895,599.81 Taxespaid                                       165,193,093.74                       34,192,711.05 Cash paid for other operating                                                  56,863,597.87                       45,538,122.28activitiesSubtotal of cash outflows due to                                                 972,247,453.72                      610,934,189.66operatingactivitiesNet  cash  flows from  operating                                                 -50,923,130.47                      186,104,091.50activities2.Cashflowsfrominvestingactivities: Cash received from retraction of                                                  4,580,255.71                           7,005.00investments Cashreceivedasinvestmentincome                       5,202,481.38                         341,953.73
        
         Netcashreceivedfromdisposalof
        
        fixedassets,intangibleassetsandother                                                          54,000.00
        
        long-termassets
        
         Netcashreceivedfromdisposalof
        
        subsidiariesorotherbusinessunits
        
           Cash  received  from  other
        
        investingactivities
        
        Subtotalofcashinflowsfrominvesting
        
                                                          9,782,737.09                         402,958.73
        
        activities Cashpaidtoacquirefixed assets,intangibleassetsandotherlong-term                     39,104,297.12                       14,704,385.62assets Cashpaidforinvestment                                                              109,988,990.00 Netincreaseinpledgedloans Netcashpaidtoacquiresubsidiariesandotherbusinessunits   Cash paid for other investingactivitiesSubtotal of cash outflows due to                                                  39,104,297.12                      124,693,375.62investingactivitiesNetcashflowsfrominvestingactivities                     -29,321,560.03                     -124,290,416.893.Cashflowsfromfinancingactivities:  Cash  received  from  capitalcontributions  Including: Cash received fromminority shareholder investments bysubsidiaries  Cashreceivedasborrowings  Cash received from issuance ofbonds  CashreceivedfromotherfinancingactivitiesSubtotalofcashinflowsfromfinancingactivities  Repaymentofborrowings  Cashpaidforinterestexpensesand5,660,290.78
        
        distributionofdividendsorprofit
        
           Including:dividendsorprofitpaid
        
        bysubsidiariestominorityinterests
        
          Cash paid for other financing
        
        activitiesSub-total of cash outflows due to
        
                                                          5,660,290.78
        
        financingactivities
        
        Net  cash  flows from  financing
        
                                                          -5,660,290.78
        
        activities4. Effect of foreign exchange rate                                                    448,421.62                       2,339,324.91changesoncashandcashequivalents5. Net increase in cash and cash                                                 -85,456,559.66                       64,152,999.52equivalents   Add:Openingbalanceofcashand                                               1,479,283,642.54                      935,241,205.20cashequivalents6.Closingbalance ofcashandcash                                               1,393,827,082.88                      999,394,204.72equivalentsLegalrepresentative:HeYong                               AccountingheadforthisReport:LiuXingmingHeadoftheaccountingdepartment:TangQionglan6.CashflowstatementoftheCompany                                                                                      Unit:RMB            Item                     January-March2017                  January-March20161.Cashflowsfromoperatingactivities: Cash  received  from  sale  of                                                 862,744,439.39                      746,819,116.75commoditiesandrenderingofservice Taxrefundsreceived                                 24,106,127.07                       34,432,771.16 Cashreceivedfromotheroperating                                                  3,825,641.43                       8,309,282.13activitiesSubtotalofcashinflowsfromoperating                                                 890,676,207.89                      789,561,170.04activities Cashpaidforgoodsandservices                       699,760,627.60                      492,802,614.83 Cashpaidtoandforemployees                         103,479,544.66                       70,076,334.33 Taxespaid                                       132,294,837.84                       9,335,332.53 Cash paid for other operating                                                  50,830,424.51                       43,078,475.07activitiesSubtotal of cash outflows due to                                                 986,365,434.61                      615,292,756.76operatingactivitiesNet  cash  flows from  operating                                                 -95,689,226.72                      174,268,413.28activities2.Cashflowsfrominvestingactivities: Cash received from retraction of                                                  4,580,255.71                           7,005.00investments Cashreceivedasinvestmentincome                      19,424,371.39                         341,953.73 Netcashreceivedfromdisposaloffixedassets,intangibleassetsandotherlong-termassets
        
         Netcashreceivedfromdisposalof
        
        subsidiariesorotherbusinessunits
        
         Cashreceivedfromotherinvesting
        
        activitiesSubtotalofcashinflowsfrominvesting                                                  24,004,627.10                         348,958.73activities Cashpaidtoacquirefixed assets,intangibleassetsandotherlong-term                     33,145,429.52                       14,236,431.87assets Cashpaidforinvestment                                                              109,988,990.00 Netcashpaidtoacquiresubsidiariesandotherbusinessunits Cash paid for other investingactivitiesSubtotal of cash outflows due to                                                  33,145,429.52                      124,225,421.87investingactivitiesNetcashflowsfrominvestingactivities                      -9,140,802.42                     -123,876,463.143.Cashflowsfromfinancingactivities:  Cash  received  from  capitalcontributions  Cashreceivedasborrowings  Cash received from issuance ofbonds  CashreceivedfromotherfinancingactivitiesSubtotalofcashinflowsfromfinancingactivities  Repaymentofborrowings  Cashpaidforinterestexpensesanddistributionofdividendsorprofit  Cash paid for other financingactivitiesSub-total of cash outflows due tofinancingactivitiesNet  cash  flows from  financingactivities4. Effect of foreign exchange rate                                                    448,421.62                       2,339,324.46changesoncashandcashequivalents5. Net increase in cash and cash                                                -104,381,607.52                       52,731,274.60equivalents   Add:Openingbalanceofcashand                   1,235,417,964.88                      633,291,177.30cashequivalents
        
        6.Closingbalance ofcashandcash
        
                                                       1,131,036,357.36                      686,022,451.90
        
        equivalentsLegalrepresentative:HeYong                               AccountingheadforthisReport:LiuXingmingHeadoftheaccountingdepartment:TangQionglanIIAuditor’sreportIsthisReportaudited□Yes√NoThisReportisnotaudited.                                                        TheBoardofDirectors                                                   FoshanElectricalandLightingCo.,Ltd.                                                            April26,2017
        稿件來源: 電池中國網
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