资金清查明细表格汇总大全-南方基金管理公司的财务模型底稿.xls

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1、精品资料网() 25万份精华管理资料,2万多集管理视频讲座 公公司司名名称称:一一汽汽轿轿车车 000800 主主营营业业务务收收入入(万万元元)2001 A2002 A2003 1Q2003 2Q2003 3Q2003 4Q E2003 E 整整车车289,279.55421,268.64114,451.42187,774.39301,439.78285,814.02889,479.61 红旗114,451.4268,523.00101,225.0060,325.00344,524.42 MAZDA -119,251.39200,214.78225,489.02544,955.19 备备件件

2、55,247.3754,289.5211,286.6713,292.2814,314.8715,746.3654,640.18 合合计计344,526.92475,558.16125,738.09201,066.67315,754.65301,560.38944,119.79 主主营营业业务务成成本本(万万元元)2001 A2002 A2003 1Q2003 2Q2003 3Q2003 4Q E2003 E 整整车车244,971.40332,297.7484,644.04142,643.37232,525.32215,307.75675,120.48 红旗84,644.0457,163.19

3、87,821.5852,337.24281,966.05 MAZDA -85,480.18144,703.74162,970.51393,154.43 备备件件46,785.2842,823.7115,470.282,788.9510,767.6011,844.3640,871.19 合合计计291,756.68375,121.45100,114.32145,432.32243,292.92227,152.11715,991.67 主主营营业业务务成成本本 / 收收入入(%)2001 A2002 A2003 1Q2003 2Q2003 3Q 整整车车84.68%78.88%73.96%75.9

4、7%77.14% 红旗73.96%83.42%86.76% MAZDA -71.68%72.27% 备备件件84.68%78.88%137.07%20.98%75.22% 合合计计84.68%78.88%79.62%72.33%77.05% 毛毛利利(万万元元)2001 A2002 A2003 1Q2003 2Q2003 3Q2003 4Q E2003 E 整整车车44,308.1588,970.9029,807.3845,131.0268,914.4670,506.28214,359.14 红旗29,807.3811,359.8113,403.427,987.7662,558.37 MAZD

5、A -33,771.2155,511.0462,518.51151,800.77 备备件件8,462.0911,465.81-4,183.6110,503.333,547.273,902.0013,768.99 合合计计52,770.24100,436.7125,623.7755,634.3572,461.7374,408.27228,128.12 毛毛利利率率(%)2001 A2002 A2003 1Q2003 2Q2003 3Q 整整车车15.32%21.12%26.04%24.03%22.86% 红旗26.04%16.58%13.24% MAZDA -28.32%27.73% 备备件件1

6、5.32%21.12%-37.07%79.02%24.78% 合合计计15.32%21.12%20.38%27.67%22.95% 整整车车销销售售数数量量(辆辆)2002 A2003 E2004 E2005 E2006 E2007 E2008 E 红旗26,55726,00024,00024,00024,00024,00024,000 销售量增长(%) -2.1%-7.7%0.0%0.0%0.0%0.0% MAZDA -24,00050,00065,00081,250101,563121,875 销售量增长(%) - -108.3%30.0%25.0%25.0%20.0% 合计26,5575

7、0,00074,00089,000105,250125,563145,875 销售量增长(%) -88.3%48.0%20.3%18.3%19.3%16.2% 主主营营业业务务收收入入2002 A2003 E2004 E2005 E2006 E2007 E2008 E 整整车车421,268.64889,479.611,364,777.441,519,510.131,651,489.291,805,761.801,912,664.92 红旗421,268.64344,524.42286,220.29257,598.26231,838.43208,654.59187,789.13 MAZDA0.

8、00544,955.191,078,557.151,261,911.871,419,650.851,597,107.211,724,875.79 备备件件54,289.5254,640.1859,694.3965,216.1271,248.6277,839.1185,039.23 合合计计475,558.16944,119.791,424,471.841,584,726.251,722,737.901,883,600.911,997,704.15 主主营营业业务务收收入入增增长长(%) -98.53%50.88%11.25%8.71%9.34%6.06% 主主营营业业务务成成本本 / 收收入入

9、(%)2002 A2003 E2004 E2005 E2006 E2007 E2008 E 整整车车84.68%75.90% 红旗84.68%81.84%81.84%81.84%81.84%81.84%81.84% MAZDA -72.14%72.14%72.14%72.14%72.14%72.14% 备备件件84.68%74.80%74.80%74.80%74.80%74.80%74.80% 合合计计84.68%75.84%74.20%73.83%73.56%73.33%73.17% 2003 1Q2003 2Q2003 3Q2003 4Q E 红旗7,8055,2718,0984,826

10、14.6613.0012.5012.50 10.8410.8410.8410.84 MAZDA05,2878,8019,912 -22.5622.7522.75 -16.1716.4416.44 整整车车销销售售数数量量(辆辆)2003 012003 022003 032003 042003 052003 062003 07 红旗3,0161,9872,8021,7011,2112,3592,790 销售量增长(%) -34.1%41.0%-39.3%-28.8%94.8%18.3% MAZDA0009441,8722,4712,675 销售量增长(%) - - - -98.3%32.0%8.

11、3% 合计2,6453,0834,8305,465 销售量增长(%) -#DIV/0!#DIV/0!#DIV/0!16.6%56.7%13.1% 轿车价格10万以下10-15万15-20万20万以上 2002年市场占有率20.90%37.60%18.40%22.30% 000 944 1872 2471 2675 2957 3169 3470 3016 1987 2802 1701 1211 2359 2790 2469 2839 1895 图图:2 20 00 03 3年年马马自自达达M M6 6、红红旗旗月月销销售售量量 2003 01 2003 02 2003 03 2003 04 20

12、03 05 2003 06 2003 07 2003 08 2003 09 2003 10 0 500 1000 1500 2000 2500 3000 3500 4000 MAZDA 红旗 0.209 0.376 0.184 0.223 10万以下 10-15万 15-20万 20万以上 红红旗旗 MAZDA 2001 A2002 A2003 1H 应收帐款 + 其他应收款43,30237,56637,339 三年以上款项8,78419,72920,638 三年以上款项比例 (%)20.3%52.5%55.3% 三年以上款项坏帐准备3,7238,9769,247 坏帐准备 / 应收款 (%)

13、42.4%45.5%44.8% 2001 A2002 A2003 1H 存货 - 产成品40,40368,38167,352 产成品跌价准备4702,3672,337 产成品跌价准备比例1.16%3.46%3.47% 市市净净率率ROE净净利利率率资资产产周周转转率率权权益益乘乘数数PRICE 600104 上上海海汽汽车车3.5914.84%27.01%0.461.2813.85 927 一一汽汽夏夏利利4.8916.49%11.82%0.502.878.73 625 长长安安汽汽车车4.5925.43%10.58%1.142.2416.57 600006 东东风风汽汽车车2.7513.74

14、%9.80%0.771.9510.81 2004年年M6销销售售量量(辆辆)35,00040,00045,00050,00055,000 主营业务收入增长率16.6%28.0%39.5%50.9%62.3% 净净利利润润(万万元元)70,01378,36886,72295,077103,432 净利率6.36%6.48%6.59%6.67%6.75% EPS(元元)0.4300.4820.5330.5840.636 P/E2017161413 市场零售价265,800 经销商费用10,000主营业务收入218,632100.0% 增值税(17%)37,168主营业务成本161,50073.9%

15、 出厂价218,632主营业务税金及附加17,4918.0% 消费税(8%)17,491管理费用2,5001.1% 进口KD件160,000营业费用8,3333.8% 国产零部件与组装1,500利润28,80913.2% 固定成本摊销2,500 广告费用摊销8,333 利润28,809 4% 14% 7% 60% 1% 1% 3% 11% M M6 6主主营营业业务务收收入入组组成成 经销商费用 增值税(17%) 消费税(8%) 进口KD件 国产零部件与组装 固定成本摊销 广告费用摊销 利润 0.209 0.376 0.184 0.223 10万以下 10-15万 15-20万 20万以上 经

16、销商费用10,000 增值税(17%)37,168 消费税(8%)17,491 进口KD件160,000 国产零部件与组装1,500 固定成本摊销2,500 广告费用摊销8,333 利润28,809 4% 14% 7% 60% 1% 1% 3% 11% M M6 6主主营营业业务务收收入入组组成成 经销商费用 增值税(17%) 消费税(8%) 进口KD件 国产零部件与组装 固定成本摊销 广告费用摊销 利润 2003 1-62003 1-9 302,225.81603,665.59 24,578.9538,893.82 326,804.76642,559.41 2003 1-62003 1-9

17、227,287.41459,812.73 18,259.2329,026.83 245,546.64488,839.56 2003 1-62003 1-9 75.20%76.17% 74.29%74.63% 75.14%76.08% 2003 1-62003 1-9 74,938.40143,852.86 6,319.729,866.99 81,258.12153,719.85 2003 1-62003 1-9 24.80%23.83% 25.71%25.37% 24.86%23.92% 2003 1-92003 1-10 21,17423,069 14,08817,558 35,26240,

18、627 2003 1-9 603,665.59 38,893.82 642,559.41 2003 1-9 2003 082003 092003 102003 112003 12 2,4692,8391,895 -11.5%15.0%-33.3%-100.0%#DIV/0! 2,9573,1693,470 10.5%7.2%9.5%-100.0%#DIV/0! 5,4266,0085,365 -0.7%10.7%-10.7%-100.0%#DIV/0! 000 944 1872 2471 2675 2957 3169 3470 3016 1987 2802 1701 1211 2359 279

19、0 2469 2839 1895 图图:2 20 00 03 3年年马马自自达达M M6 6、红红旗旗月月销销售售量量 2003 01 2003 02 2003 03 2003 04 2003 05 2003 06 2003 07 2003 08 2003 09 2003 10 0 500 1000 1500 2000 2500 3000 3500 4000 MAZDA 红旗 BVTATOTAL 973,4301,244,293252,000 284,554816,215159,517 442,738991,879122,667 392,980767,837100,000 4% 14% 7%

20、60% 1% 1% 3% 11% M M6 6主主营营业业务务收收入入组组成成 经销商费用 增值税(17%) 消费税(8%) 进口KD件 国产零部件与组装 固定成本摊销 广告费用摊销 利润 4% 14% 7% 60% 1% 1% 3% 11% M M6 6主主营营业业务务收收入入组组成成 经销商费用 增值税(17%) 消费税(8%) 进口KD件 国产零部件与组装 固定成本摊销 广告费用摊销 利润 公公司司名名称称:一一汽汽轿轿车车 000800000800 1、经经营营活活动动2001 A2002 A2003 1-92003 E2004 E2005 E 主营业务收入同比增长率 -38.0% -

21、98.5%50.9%11.3% 主营业务成本 /主营业务收入79.7%76.6%76.1%75.8%74.2%73.8% 主营业务税金及附加 /主营业务收入4.98%2.24%6.27%6.27%6.27%6.27% 营业费用 /主营业务收入5.92%6.65%5.55%5.60%5.60%5.60% 管理费用 /主营业务收入8.09%7.65%5.92%6.00%6.00%6.00% 财务费用 /主营业务收入-0.92%-0.82%0.28%0.09%-0.09%-0.35% 实际税率63.4%23.4%4.6%6.0%15.0%15.0% 股利分配比率335.5%131.7% -75.0%

22、75.0%75.0% 2、营营运运资资金金2001 A2002 A2003 1-92003 E2004 E2005 E 货币资金 /主营业务收入65.55%55.40%60.40%65.00%20.00%20.00% 应收帐款周转天数(相对于主营业务收入) -24.116.115.015.015.0 存货周转天数(相对于主营业务成本) -122.680.360.060.060.0 应付帐款周转天数(相对于主营业务成本) -99.0114.885.085.085.0 预付帐款增加 /主营业务成本 -0.39%0.38%0.50%0.50%0.50% 待摊费用增加 /营业费用和管理费用 -0.28

23、%0.22%0.22%0.00%0.00% 预收帐款(负债)增加 /主营业务收入 -2.06%1.51%1.51%1.51%1.51% 预提费用增加 /营业费用和管理费用 -0.09%29.28%30.00%0.00%0.00% 其他流动资产增加 /主营业务收入增加 - - -0.00.00.0 其他流动负债增加 /主营业务收入增加 - - -0.00.00.0 其他长期资产增加 /主营业务收入增加 - - -0.00.00.0 其他长期负债增加 /主营业务收入增加 - - -0.00.00.0 其他长期资产增加 /主营业务收入增加 - - -0.00.00.0 其他长期负债增加 /主营业务收

24、入增加 - - -0.00.00.0 坏帐准备 /应收帐款19.21%25.94% -28.00%28.00%28.00% 短期投资跌价准备0.00.00.00.00.00.0 存货跌价准备(含工程亏损准备)5.52%4.33%3.50%3.50%3.50% 长期投资减值准备0.00.00.00.00.00.0 固定资产减值准备0.54%0.23%0.08% 在建工程减值准备0.00.00.00.00.00.0 3、资资本本性性投投资资 a、假定固定资产采用直线法折旧 b、现有固定资产和新建固定资产的折旧年限均为845年,残值率3,年折旧率为2.1612.13. c、各年的固定资产投资如下:

25、d、无形资产无采用直线法折旧2003 1H2003 E2004 E2005 E 固定资产投资42,000.0120,000.060,000.0 无形资产投资137.20.00.0 4、债债务务和和利利息息 a、公司最低现金余额为主营业务收入20.00% b、公司长期银行债务,利率为6.00%2003 1H2003 E2004 E2005 E c、公司现金不足时增加循环贷款,利率为4.00%0.00.00.00.0 d、公司现金余额时利息收入,利率为2.00% 5、短短期期投投资资当年变现 2006 E2007 E2008 E 8.7%9.3%6.1% 73.6%73.3%73.2% 6.27%

26、6.27%6.27% 5.60%5.60%5.60% 6.00%6.00%6.00% -0.41%-0.48%-0.55% 15.0%15.0%15.0% 75.0%75.0%75.0% 2006 E2007 E2008 E 20.00%20.00%20.00% 15.015.015.0 60.060.060.0 85.085.085.0 0.50%0.50%0.50% 0.00%0.00%0.00% 1.51%1.51%1.51% 0.00%0.00%0.00% 0.00.00.0 0.00.00.0 0.00.00.0 0.00.00.0 0.00.00.0 0.00.00.0 28.00

27、%28.00%28.00% 0.00.00.0 3.50%3.50%3.50% 0.00.00.0 0.00.00.0 2006 E2007 E2008 E 0.00.00.0 0.00.00.0 2006 E2007 E2008 E 0.00.00.0 公公司司名名称称:一一汽汽轿轿车车 000800000800 (单位:万元) 利利润润表表 会计年度截止日:12/312001 A2002 A2003 1-92003 E2004 E 主主营营业业务务收收入入344,526.92475,558.16642,559.41944,119.791,424,471.84 增长率(YOY)38.0%98

28、.5%50.9% 减:折扣与折让 主主营营业业务务收收入入净净额额344,526.92475,558.16642,559.41944,119.791,424,471.84 减:主营业务成本274,590.32364,448.37488,839.56715,991.671,057,018.63 主营业务税金及附加17,166.3610,673.0840,295.1659,196.3189,314.38 主主营营业业务务利利润润52,770.24100,436.71113,424.69168,931.81278,138.82 毛利率15.3%21.1%17.7%17.9%19.5% 加:其他业务利

29、润87.26102.25773.84773.840.00 减:存货跌价损失-1,490.044,384.87 营业费用20,378.9831,642.4235,679.0152,870.7179,770.42 管理费用27,882.3136,403.5738,034.0556,647.1985,468.31 利息费用122.17186.877,299.287,689.25 利息收入8,771.188,985.72 汇兑损失 财务费用-3,170.43-3,897.111,813.12828.09-1,296.48 营营业业利利润润7,766.6436,390.0838,672.3560,849

30、.70109,811.70 加:投资收益-1,157.53402.291,021.802,043.60 加:期货收益 补贴收入 营业外收入1.040.6816.1416.14 减:营业外支出942.20943.17-737.53-737.53 加:以前年度损益调整 税税前前利利润润6,825.4834,290.0639,828.3162,625.17111,855.30 减:所得税4,327.348,038.431,842.393,757.5116,778.29 实际税率63.4%23.4%4.6%6.0%15.0% 加:财政返还0.000.00 减:少数股东损益7.27153.46553.9

31、7553.97 加:未确认的投资损失-65.45-1,381.17-4,985.76-4,985.76 减:购并利润 净净利利润润2,425.4224,717.0032,446.1953,327.9395,077.00 净利率0.7%5.2%5.0%5.6%6.7% 增长率(%) -919.1%115.8%78.3% 发行在外股份数量(万股)162,750.0162,750.0162,750.0162,750.0162,750.0 EPS0.0150.1520.1990.3280.584 摊薄EPS 增长率 -919.1%115.8%78.3% 股股利利8,137.5032,550.0039,

32、995.9571,307.75 每每股股股股利利0.0500.2000.2460.438 增长率 -300.0%22.9%78.3% 未未分分配配利利润润-5,712.08-7,833.0013,331.9823,769.25 报报告告期期股股价价 200311248.40 2001 A2002 A2003 1-92003 E2004 E P/E563.6555.3131.6025.6414.38 P/B3.033.062.832.942.80 D/P0.60%2.38% -2.93%5.22% BV per share2.772.742.972.853.00 2001 A2002 A2003

33、 1-92003 E2004 E ROE0.54%5.54%6.71%11.48%19.47% 净净利利率率0.70%5.20%5.05%5.65%6.67% 资资产产周周转转率率0.570.710.770.861.57 权权益益乘乘数数1.351.491.722.361.86 2001 A2002 A2003 1-92003 E2004 E EBIT / I37.6173.9 -8.414.1 资资产产负负债债率率26.1%33.2%41.8%57.7%46.2% 2005 E2006 E2007 E2008 E 1,584,726.251,722,737.901,883,600.911,9

34、97,704.15 11.3%8.7%9.3%6.1% 1,584,726.251,722,737.901,883,600.911,997,704.15 1,170,004.131,267,233.861,381,214.201,461,701.02 99,362.34108,015.67118,101.78125,256.05 315,359.79347,488.37384,284.94410,747.08 19.9%20.2%20.4%20.6% 0.000.000.000.00 -3,084.764,203.57-2,892.013,818.16 88,744.6796,473.3210

35、5,481.65111,871.43 95,083.58103,364.27113,016.05119,862.25 836.930.000.000.00 6,375.557,088.518,973.9310,946.95 -5,538.61-7,088.51-8,973.93-10,946.95 140,154.92150,535.72177,653.18186,142.19 2,043.602,043.602,043.602,043.60 142,198.52152,579.32179,696.78188,185.79 21,329.7822,886.9026,954.5228,227.8

36、7 15.0%15.0%15.0%15.0% 120,868.74129,692.42152,742.26159,957.92 7.6%7.5%8.1%8.0% 27.1%7.3%17.8%4.7% 162,750.0162,750.0162,750.0162,750.0 0.7430.7970.9390.983 27.1%7.3%17.8%4.7% 90,651.5597,269.31114,556.70119,968.44 0.5570.5980.7040.737 27.1%7.3%17.8%4.7% 30,217.1832,423.1038,185.5739,989.48 利利润润表表

37、2005 E2006 E2007 E2008 E 11.3110.548.958.55 2.642.482.322.17 6.63%7.12%8.38%8.78% 3.193.393.623.87 2005 E2006 E2007 E2008 E 23.31%23.54%25.92%25.42% 7.63%7.53%8.11%8.01% 1.751.681.741.67 1.751.861.841.90 2005 E2006 E2007 E2008 E 160.8#DIV/0!#DIV/0!#DIV/0! 42.8%46.2%45.7%47.5% 公公司司名名称称:一一汽汽轿轿车车 00080

38、0000800 (单位:万元) 资资产产负负债债表表 会计年度截止日:12/312001 A2002 A2003 1-92003 E2004 E2005 E 资产 货货币币资资金金225,825.78263,440.57388,102.02613,677.86284,894.37352,660.24 短期投资300.00500.00500.000.000.00 减:短期投资跌价准备 短期投资0.00300.00500.00500.000.000.00 应收票据41,945.3253,734.96109,523.84109,523.840.000.00 应收股利754.16 应收利息 应收帐款3

39、7,813.6631,770.3825,099.4140,032.4077,047.4853,203.99 其他应收款5,488.485,796.113,734.430.000.000.00 减:坏帐准备8,320.309,744.5311,209.0721,573.2914,897.12 应收帐款净额34,981.8227,821.9628,833.8428,823.3355,474.1938,306.87 预付帐款3,215.621,792.583,626.105,372.5410,657.6316,507.65 应收补贴款 存货133,217.33124,279.0196,238.621

40、11,115.51236,397.46148,261.43 其中:工程施工 减:存货跌价准备(含工程亏损准备)7,347.755,379.083,889.048,273.915,189.15 存货净额125,869.58118,899.9396,238.62107,226.47228,123.55143,072.28 内部往来 待摊费用205.1915.11180.00256.05256.05256.05 待处理流动资产净损失 一年内到期的长期债券投资 其他流动资产0.000.000.00 流流动动资资产产总总额额432,043.31466,759.26627,004.43865,380.09

41、579,405.79550,803.10 长期股权投资14,748.5416,187.6916,673.2716,187.6916,187.6916,187.69 长期债权投资 长期投资合计14,748.5416,187.6916,673.2716,187.6916,187.6916,187.69 减:长期投资减值准备 长长期期投投资资净净额额14,748.5416,187.6916,673.2716,187.6916,187.6916,187.69 其中:合并价差-214.71-214.71-214.71 股权投资差额-177.63 固定资产原值235,968.27238,120.19259

42、,291.21 减:累计折旧93,211.30102,128.00106,260.58118,566.69142,656.75174,532.49 固定资产净值142,756.98135,992.19153,030.63 减:固定资产减值准备764.20315.75126.17315.75315.75315.75 固定资产净额141,992.78135,676.44152,904.46 工程物资 在建工程8,435.9539,045.7318,612.1319,522.879,761.434,880.72 减:在建工程减值准备0.000.000.00 固定资产清理772.68 待处理固定资产净

43、损失 固固定定资资产产合合计计150,428.73174,722.17172,289.27200,283.48296,193.42324,317.68 无形资产130.31621.34758.50742.97727.43711.90 递延资产 开办费 长期待摊费用11,909.308,460.6014,715.3014,715.3014,715.3014,715.30 其他长期资产0.000.000.00 其中:临时设施净值 无无形形资资产产及及其其他他资资产产合合计计12,039.619,081.9415,473.8015,458.2715,442.7315,427.20 递延税款借项 资资

44、产产总总额额 609,260.19666,751.06831,440.771,097,309.52907,229.63906,735.66 负债和股东权益 循循环环贷贷款款40,200.0022,348.2555,263.60342,615.5741,846.700.00 应付票据8,000.00 应付帐款77,680.36120,029.15187,434.04213,446.42278,863.63266,069.80 预收帐款(负债)5,995.9515,810.8625,538.5430,067.0751,576.5975,505.96 代销商品款 应付工资2,601.281,927.

45、071,058.900.000.000.00 应付福利190.08101.99108.060.000.000.00 应付股利8,163.2032,582.652,047.63 应交税金7,300.041,174.1431,258.420.000.000.00 其他应交款2,254.702,272.854,136.69 其他应付款7,999.956,585.975,571.060.000.000.00 预提费用880.50943.7422,528.2833,799.1133,799.1133,799.11 一年内到期的长期负债242.867.007.007.00 其他流动负债 流流动动负负债债1

46、53,508.93211,783.67334,952.23619,935.17406,086.03375,374.87 长期银行贷款0.000.000.00 应付债券 长期应付款3,497.543,497.543,497.543,497.543,497.543,497.54 住房周转金 其他长期负债2,167.345,838.129,284.229,284.229,284.229,284.22 长长期期负负债债合合计计5,664.889,335.6612,781.7512,781.7612,781.7612,781.76 递延税款贷项 负负债债总总额额159,173.81221,119.323

47、47,733.99632,716.93418,867.79388,156.63 少数股东权益-711.18-557.72-3.74-3.74-3.74-3.74 股本162,750.00162,750.00162,750.00 减:已归还投资 股本净额162,750.00162,750.00162,750.00162,750.00162,750.00162,750.00 资本公积金241,821.30241,827.79241,916.82241,916.82241,916.82241,916.82 其中:补充流动资本 盈余公积金19,686.8825,181.7325,181.7325,18

48、1.7325,181.7325,181.73 其中:公益金7,562.2310,309.6610,309.66 未确认的投资损失-6,615.33-5,234.16-248.41-248.41-248.41-248.41 未分配利润33,154.7121,664.1054,110.2934,996.0858,765.3388,982.52 外币报表折算差额-0.010.100.100.100.10 资本汇差调整 股股东东权权益益合合计计450,797.56446,189.46483,710.53464,596.32488,365.57518,582.76 负负债债和和股股东东权权益益 609,

49、260.19666,751.06 831,440.77 1,097,309.51907,229.62906,735.65 检查0.000.000.000.010.010.01 2006 E2007 E2008 E 356,190.56541,202.79553,492.37 0.000.000.00 0.000.000.00 0.000.000.00 88,390.9066,425.6197,769.25 0.000.000.00 24,749.4518,599.1727,375.39 63,641.4547,826.4470,393.86 22,843.8229,749.8937,058.40 268,363.40185,734.42294,824.82 9,392.726,500.7010,318.87 258,970.68179,233.71284,505.95 256.05256.05256.05 0.000.000.00 701,902.57798,268.88945,

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