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张裕B:2020年第三季度报告全文(英文版) 下载公告
公告日期:2020-10-24

YantaiChangyuPioneerWineCo.,Ltd.

2020ThirdQuarterReport

Final2020-04

October2020

I.ImportantNotice

Theboardofdirectors,theboardofsupervisors,directors,supervisorsandseniorexecutivesoftheCompanyguaranteethetruthfulness,accuracyandcompletenessofthecontentscontainedinthethirdquarterreportwithnofalserecords,misleadingstatementsorsignificantomissions,andundertakeindividualandjointlegalliabilities.Alldirectorsattendedthemeetingfordeliberatingthisquarterreport.Mr.ZhouHongjiang(PersoninchargeoftheCompany),Mr.JiangJianxun(Personinchargeofaccountingwork)andMrs.GuoCuimei(Personinchargeofaccountingorgan&Accountantincharge)assurethetruthfulness,accuracyandcompletenessofthefinancialstatementsinthethirdquarterreport.

II.CorporateInformation

1.KeyaccountingdataandfinancialindicatorsWhethertheCompanymakesretroactiveadjustmentsorrestatestheaccountingdataofpreviousfiscalyears.?Yes?NoThereasonofmakesretroactiveadjustmentsorrestates:businesscombinationunderthesamecontrol

TheendofthisreportperiodTheendoflastyearMoreorlessthanlastyear(%)
BeforeadjustmentAfteradjustmentAfteradjustment
Totalassets(CNY)13,049,517,85613,647,932,56813,767,237,838-5.21%
Netassetsattributedtotheshareholdersofthelistedcompany(CNY)10,198,945,03710,308,910,19810,401,071,088-1.94%
ThisreportperiodSameperiodoflastyearMoreorlessthanlastyear(%)FromthebeginningoftheyeartotheendofthisreportperiodSameperiodoflastyearMoreorlessthanlastyear(%)
BeforeadjustmentAfteradjustmentAfteradjustmentBeforeadjustmentAfteradjustmentAfteradjustment
Operatingincome(CNY)774,191,143968,100,175980,743,772-21.06%2,192,739,6903,526,374,9603,553,926,816-38.30%
Netprofitattributedtotheshareholdersofthelistedcompany(CNY)85,120,851125,557,834130,147,686-34.60%403,760,926728,961,623740,898,517-45.50%
Netprofitattributedtotheshareholdersofthelistedcompanyafterdeductingtheextraordinarygainsandlosses(CNY)73,406,867119,702,422119,702,422-38.68%340,173,716672,193,117672,193,117-49.39%
Netcashflowfromoperatingactivities(CNY)268,955,826145,855,707150,903,12578.23%252,437,074645,331,713656,726,875-61.56%
Basicearningspershare(CNY/share)0.120.180.19-36.84%0.591.061.08-45.37%
Dilutedearningspershare(CNY/share)0.120.180.19-36.84%0.591.061.08-45.37%
Weightedaverageforearningrateofthenetassets0.92%1.31%1.37%-0.45%3.85%7.38%7.50%-3.65%

Detailsofextraordinaryprofitandloss?Available?Notavailable

Unit:

CNY

ItemAmountfromthebeginningoftheyeartotheendofreportperiodExplanation
Disposalgainsandlossesfornon-currentassets,includingthereversalofaccruedimpairmentprovision-1,124,290
Governmentgrantscreditedincurrentprofitandloss(exceptforthoserecurringgovernmentgrantsthatarecloselyrelatedtotheentity'soperation,inlinewithrelatedregulationsandhaveproperbasisofcalculation)65,451,990
Currentnetprofitandlossofsubsidiaryarisingfrombusinesscombinationunderthesamecontrolforthecurrentperiodfromthebeginningoftheperiodtothedateofthemerger12,943,426
Othernon-operatingincomeandexpensesinadditiontoaboveitems4,701,227
Less:Incometaxeffect17,066,302
Minorityinterestseffect(after-tax)1,318,841
Total63,587,210--

ThereasonsshallbemadeclearanddefinitelyastotheextraordinaryprofitandlossthattheCompanyhasdefinedbyvirtueoftheExplanatoryAnnouncementonPublicCompany’sInformationDisclosureNo.1-ExtraordinaryProfitandLossandastoregardingtheextraordinaryprofitandlossasrecurrentprofitandlossasspecifiedintheExplanatoryAnnouncementonPublicCompany’sInformationDisclosureNo.1-ExtraordinaryProfitandLoss.?Available?NotavailableThereisnosituationregardingtheextraordinaryprofitandlossasdefinedandspecifiedintheExplanatoryAnnouncementonPublicCompany’sInformationDisclosureNo.1-ExtraordinaryProfitandLossasrecurrentprofitandloss.

2.Thetotalnumberofshareholdersandtheshareholdingoftop10shareholdersattheend

ofthereportperiod

1)Thetotalnumberofcommonshareholdersandthetotalnumberofpreferred

shareholderswithrecoveredvotingpoweraswellastheshareholdingoftop10shareholders

Unit:share

Totalnumberofcommonshareholdersattheendofreportperiod48,873Totalnumberofpreferredshareholderswithrecoveredvotingpowerattheendofreportperiod(ifhave)0
Thetop10commonshareholders
NameofShareholdersCharacterofshareholdersShareholdingratio(%)NumberofholdingsharesNumberofrestrictedPledgedorfrozen
ShareNumber
sharesstatus
YANTAICHANGYUGROUPCO.,LTD.Domesticnon-state-ownedlegalperson50.40%345,473,856
GAOLINGFUND,L.P.Foreignlegalperson3.08%21,090,219
CHINASECURITIESFINANCECORPState-ownedlegalperson2.25%15,440,794
BBHBOSS/AFIDELITYFD-CHINAFOCUSFDForeignlegalperson2.02%13,822,699
SHENWANHONGYUANSECURITIES(HONGKONG)LIMITEDForeignlegalperson1.20%8,228,333
FIDELITYPURITANTRUST:FIDELITYSERIESINTRINSICOPPORTUNITIESFUNDForeignlegalperson0.93%6,350,762
GUOTAIJUNANSECURITIES(HONGKONG)LIMITEDForeignlegalperson0.76%5,215,446
CENTRALHUIJINASSETMANAGEMENTLTD.State-ownedlegalperson0.69%4,761,200
HAITONGINTERNATIONALSECURITIESCOMPANYLIMITED-ACCOUNTCLIENTForeignlegalperson0.68%4,687,187
FIDELITYCHINASPECIALSITUATIONSPLCForeignlegalperson0.55%3,779,202
Theshareholdingoftop10shareholderswithunrestrictedshares
NameofShareholdersNumberofunrestrictedsharesheldTypeofshare
TypeofshareNumber
YANTAICHANGYUGROUPCO.,LTD.345,473,856Ashare345,473,856
GAOLINGFUND,L.P.21,090,219Bshare21,090,219
CHINASECURITIESFINANCECORP15,440,794Ashare15,440,794
BBHBOSS/AFIDELITYFD-CHINAFOCUSFD13,822,699Bshare13,822,699
SHENWANHONGYUANSECURITIES(HONGKONG)LIMITED8,228,333Bshare8,228,333
FIDELITYPURITANTRUST:FIDELITYSERIESINTRINSICOPPORTUNITIESFUND6,350,762Bshare6,350,762
GUOTAIJUNANSECURITIES(HONGKONG)LIMITED5,215,446Bshare5,215,446
CENTRALHUIJINASSETMANAGEMENTLTD.4,761,200Ashare4,761,200
HAITONGINTERNATIONALSECURITIESCOMPANYLIMITED-ACCOUNTCLIENT4,687,187Bshare4,687,187
FIDELITYCHINASPECIALSITUATIONSPLC3,779,202Bshare3,779,202
Theexplanationfortheassociatedrelationshipandaccordantactionofthetop10shareholdersYantaiChangyuGroupCompanyLimitedhasnoassociatedrelationshiporaccordantactionrelationshipwiththeother9listedshareholders,andtherelationshipamongtheothershareholdersisunknown.
Explanationforthetop10shareholderswhoinvolvedinfinancingactivitiesandstocktradingbusiness(ifany)No

WhetherornottheCompany’stop10commonshareholdersandtop10commonshareholderswithunrestrictedsharesconductagreedbuy-backtransactionduringthereportperiod?Yes?NoTherearenotop10commonshareholdersortop10commonshareholderswithunrestrictedsharesintheCompanyconductagreedbuy-backtransactionduringthereportperiod.

2)Thetotalnumberofpreferredshareholdersandtheshareholdingoftop10preferredshareholders?Available?Notavailable

III.MajorIssue

1.Situationandreasonsonchangesinmainfinancialdataandfinancialindexduringthereportperiod?Available?Notavailable

Unit:CNY

ItemEndingbalanceInitialbalanceIncreaserateReasonforchange
Accountsreceivables163,837,210265,693,603-38.34%Mainlyduetodecreaseintradereceivables
Accountprepaid22,130,40367,840,190-67.38%Mainlyduetodecreaseinadvancepaymentforrawmaterials
Otherreceivables65,496,61124,380,907168.64%Mainlyduetoreceivablesfromdisposaloffixedassets
Interestreceivable634,668148,927326.16%Mainlyduetoincreaseininterestreceivableoffixeddeposit
Advancereceipts131,429,639-100.00%MainlyduetobeingincludedincontractliabilityinaccordancewithnewRevenueStandardsin2020
Long-termborrowing203,994,136128,892,50158.27%Mainlyduetoincreaseinlong-termborrowingfromthebank
ItemAmountincurrentperiodAmountinlastperiodIncreaserateReasonforchange
Operatingincome2,192,739,6903,553,926,816-38.30%MainlyduetodecreaseinproductsalesvolumeaffectedbyCOVID-19
Sellingexpenses421,620,422932,125,012-54.77%MainlyduetoreduceinmarketingactivitiesaffectedbyCOVID-19
Lossofcreditimpairment(lossislistedwith"-")3,125,029-2,183,171NotapplicableMainlyduetotheturnbackofprovisionforbaddebts
Lossofimpairmentofassets(lossislistedwith"-")5,083,785.001,691,320200.58%Mainlyduetotheturnbackofpreparationforassetsimpairment
Netprofitsattributedtotheownerofparentcompany403,760,926740,898,517-45.50%MainlyduetodecreaseinsalesrevenueaffectedbyCOVID-19
Cashreceivedfromsalesofgoodsandrendingofservices2,310,331,8553,404,022,629-32.13%MainlyduetodecreaseinsalesrevenueaffectedbyCOVID-19
Sub-totalofcashinflowsofoperatingactivities2,413,325,1693,519,431,675-31.43%MainlyduetodecreaseinsalesrevenueaffectedbyCOVID-19
Netcashflowfromoperatingactivities252,437,074656,726,875-61.56%MainlyduetodecreaseinsalesrevenueaffectedbyCOVID-19
Sub-totalofcashinflowsofinvestmentactivities82,752,204175,995,217-52.98%Mainlyduetodecreaseincashreceivedfromreturnoffixeddeposit
Cashpaidtoacquirefixedassets,intangibleassetandotherlong-termassets100,318,579201,434,544-50.20%Mainlyduetodecreaseincashinvestedinnewprojectandcontinuedproject
Cashpaidtoacquirefixeddeposit58,200,000113,718,193-48.82%Mainlyduetodecreaseinfixeddeposit

2.Analysisexplanationofthemajorissue’sprogressaswellasitsinfluenceandsolution?Available?NotavailableImplementationprogressofsharerepurchases?Available?NotavailableImplementationprogressofreducingrepurchasedsharesbythewayofcentralizedcompetitivebidding?Available?Notavailable

3.ThecommitmentsthattheCompany’sactualcontrollers,shareholders,relatedparties,purchasers,theCompanyandotherrelatedpartiesdonotimplementcompletelyexceedingthetimelimitwithinthereportperiod?Available?Notavailable

CommitmentsCommitmentPartyCommitmentTypeCommitmentcontentCommitmenttimeCommitmentperiodImplementation
Commitmentsatsharereform
Commitmentsmadeinacquisitionreportorequitychangesreport
Commitmentsatassetrestructuring
CommitmentsattheinitialpublicofferingorrefinancingYantaiChangyuGroupCo.,Ltd.SolvehorizontalcompetitionNon-horizontalcompetition1997.05.18PermanentHasbeenfulfillingthecommitment
YantaiChangyuGroupCo.,Ltd.DefinetheuseoftrademarkusefeeAccordingtoTrademarkLicenseContract,theannualtrademarkusefeeoftrademarksincluding“张裕”(Changyu)paidbytheCompanytoYantaiChangyuGroupCo.,Ltd.shouldbemainlyusedbyYantaiChangyuGroupCo.,Ltd.topublicizetrademarksincluding“张裕”(Changyu)andcontractualproducts.1997.05.181997.05.18to2019.04.04AccordingtoTrademarkLicenseContract,theannualtrademarkusefeechargedbyYantaiChangyuGroupCo.,Ltd.shouldbemainlyusedtopublicizetrademarksincluding“张裕”(Changyu)andcontractualproducts.Excepttheperiodfrom
2013to2017whenYantaiChangyuGroupCo.,Ltd.Didn’tstrictlyfulfillthecommitment,YantaiChangyuGroupCo.,Ltd.hasbeenfulfillingthecommitment.
Equityincentivecommitments
CommitmentsmadetotheminorityshareholdersoftheCompanyYantaiChangyuGroupCo.,Ltd.CompensatingunfulfilledcommitmentTheCNY231,768,615thatwasnotusedforpublicityoftrademarksandcontractproductsaspromisedwillbeoffsetbythefour-yeartrademarkusefeefrom2019to2022.Ifinsufficient,theshortfallwouldbefilledinonetimein2023.Ifthereisanyexcess,theexcessportionofthetrademarkusefeewouldbecollectedfromtheyearwithexcessoccurrence.2019.04.042019.04.04to2023.12.31Hasbeenfulfillingthecommitment
CommitmentundertimelyimplementationornotNo
Forcommitmentsthatexceedthetimelimitandarenotcompleted,specificreasonsofnotcompletingtheimplementationandthenextstepAccordingtoTrademarkLicenseContract(hereafterreferredtoas“thisContract”),ChangyuGrouppromisedthattheannualtrademarkusefeepaidbytheCompanytoChangyuGroupwouldbemainlyusedbyChangyuGrouptopublicizethesetrademarksandcontractualproducts.However,theabove-mentioned“mainly”isnotaspecificnumber.Duringtheimplementationprocess,duetoinconsistentunderstanding,itiseasytocausedivergenceandleadstoproblems.From2013to2017,ChangyuGroupcollectedatotalofCNY420,883,902trademarkusefee,ofwhich51%wasusedtopublicizetrademarksincludingChangyuandcontractproductswithamountofCNY214,650,790.TheamounthasbeenusedtopublicizetrademarksincludingChangyuand

4.Financialassetsinvestment

1)Thesituationofsecurityinvestment?Available?NotavailableThereisnosecurityinvestmentduringthereportperiod.

2)Thesituationofderivativeinvestment?Available?NotavailableThereisnoderivativeinvestmentduringthereportperiod.

5.Progressoffund-raisinginvestmentproject?Available?Notavailable

6.Predictionfor2020annualbusinessperformanceWarningandcauseexplanationforthepredictionthatthecumulativenetprofitfromthebeginningoftheyeartotheendofthenextreportperiodmightbealossormightoccurasignificantchangecomparedwiththesameperiodoflastyear?Available?Notavailable

7.Majorcontractsduringdailyoperations?Available?Notavailable

8.Entrustedfinancialmanagement?Available?NotavailableThereisnoentrustedfinancialmanagementduringthereportperiod.

9.Thesituationofillegalexternalguarantee?Available?NotavailableThereisnoillegalexternalguaranteeduringthereportperiod.

10.Thesituationofnon-operatingfundoccupationofcontrollingshareholdersandrelatedparties?Available?NotavailableThereisnonon-operatingfundoccupationofcontrollingshareholdersandrelatedpartiesduringthereportperiod.

11.Theactivityregistrationformofreceptions,communicationandinterviewetc.duringthereportperiod

?Available?NotavailableThereisnoreception,communicationorinterviewetc.duringthereportperiod.

Ⅳ.FinancialStatements

1.Financialstatements

1)ConsolidatedbalancesheetYantaiChangyuPioneerWineCo.,Ltd.Unit:CNY

ItemSeptember30th,2020December31st,2019
CurrentAssets:
Monetaryfund1,203,006,6751,597,410,774
Pettycash
Lendingfunds
Transactionalfinancialassets
Derivativefinancialassets
Notesreceivable
Accountsreceivable163,837,210265,693,603
ReceivablesFinancing247,698,065317,270,229
Accountsprepaid22,130,40367,840,190
Premiumsreceivable
Reinsuranceaccountsreceivable
Receivablereservesforreinsurancecontract
Otherreceivables65,496,61124,380,907
Including:Interestreceivable634,668148,927
Dividendsreceivable
Buyingbackthesaleoffinancialassets
Inventory2,936,748,0592,903,817,750
Contractassets
Assetsclassifiedasholdingforsale
Non-currentassetsexpireinoneyear
Othercurrentassets259,694,494269,931,887
TotalCurrentAssets4,898,611,5175,446,345,340
Non-currentAssets:
Offeringloansandimprest
Debtinvestment
Otherdebtinvestment
Long-termaccountreceivable
Long-termequityinvestment42,725,02543,981,130
Investmentinotherequityinstrument
Othernon-currentfinancialassets
Realestateforinvestment27,333,70229,714,586
Fixedassets5,759,324,7135,943,969,100
Constructioninprogress672,423,746567,478,833
Biologicalassetsforproduction193,294,233202,425,286
Oilandgasassets
Right-of-useassets
Intangibleassets645,257,046652,543,848
Developmentexpenditure
Goodwill141,859,193141,859,193
Long-termdeferredexpenses270,342,238280,478,194
Deferredtaxassets218,464,419264,768,008
Othernon-currentassets179,882,024193,674,320
TotalNon-CurrentAssets8,150,906,3398,320,892,498
TotalAssets13,049,517,85613,767,237,838
Currentliabilities:
Short-termloan687,389,648754,313,744
BorrowingsfromtheCentralBank
Borrowingfunds
Transactionalfinancialliability
Derivativefinancialliabilities
Notespayable
Accountspayable422,825,916570,506,459
Advancesfromcustomers131,429,639
Contractliabilities134,944,827
Sales/buybackfinancialassets
Customerandinterbankdeposits
Actingtradingsecurities
Actingunderwritingsecurities
Wagepayable153,025,619235,555,474
Taxpayable179,804,765375,582,368
Otheraccountspayable400,730,391463,433,185
Including:Interestpayable2,370,128758,047
Dividendpayable6,252,2011,366,559
Payablehandlingfeesandcommission
Dividendpayableforreinsurance
Liabilitiesclassifiedasholdingforsale
Non-currentliabilitiesexpireinoneyear153,726,948150,826,221
Othercurrentliabilities17,542,827
TotalCurrentLiabilities2,149,990,9412,681,647,090
Non-CurrentLiabilities:
Insurancecontractreserve
Long-termborrowings203,994,136128,892,501
Bondspayable
Including:PreferredStock
Perpetualcapitalsecurities
Leaseliability
Long-termaccountspayable166,977,000191,000,000
Long-termaccruedpayroll
Estimatedliabilities
Deferredincome58,783,70970,701,288
Deferredtaxliabilities13,430,54214,691,424
Othernon-currentliabilities7,645,7777,645,777
Totalnon-currentliabilities450,831,164412,930,990
Totalliabilities2,600,822,1053,094,578,080
Owner’sequity(orshareholders’equity):
Capitalstock685,464,000685,464,000
Otherequityinstruments
Including:PreferredStock
Perpetualcapitalsecurities
Capitalreserve531,802,207642,775,360
Minus:treasurystock
Othercomprehensiveincome-6,867,531-4,235,583
Specialreserves
Surplusreserve342,732,000342,732,000
Generalriskpreparation
Undistributedprofits8,645,814,3618,734,335,311
Totalowner'sequityattributabletotheholdingcompany10,198,945,03710,401,071,088
Minorityinterests249,750,714271,588,670
Totalowner'sequity10,448,695,75110,672,659,758
Totalliabilitiesandowner'sequity13,049,517,85613,767,237,838

Legalrepresentative:ZhouHongjiang;Personinchargeofaccounting:JiangJianxun;Personinchargeofaccountingorgan:GuoCuimei

2)Balancesheetofparentcompany

Unit:CNY

ItemSeptember30th,2020December31st,2019
CurrentAssets:
Monetaryfund283,795,444710,505,269
Transactionalfinancialassets
Derivativefinancialassets
Notesreceivable
Accountsreceivable1,076,9521,988,326
ReceivablesFinancing24,736,52441,679,635
Accountsprepaid2,867,357776,539
Otherreceivables273,989,436586,424,958
Including:Interestreceivable290,66190,355
Dividendsreceivable2,985,375200,000,000
Inventory492,785,866434,007,808
Contractassets
Assetsclassifiedasholdingforsale
Non-currentassetsexpireinoneyear
Othercurrentassets34,002,54239,130,466
TotalCurrentAssets1,113,254,1211,814,513,001
Non-currentAssets:
Debtinvestment
Otherdebtinvestment
Long-termaccountreceivable
Long-termequityinvestment7,571,920,4487,432,422,621
Investmentinotherequityinstrument
Othernon-currentfinancialassets
Realestateforinvestment29,714,58629,714,586
Fixedassets242,616,583261,137,072
Constructioninprogress1,578,127
Biologicalassetsforproduction115,250,024121,414,096
Oilandgasassets
Right-of-useassets
Intangibleassets63,080,54964,864,913
Developmentexpenditure
Goodwill
Long-termdeferredexpenses
Deferredtaxassets17,404,53316,255,870
Othernon-currentassets1,534,700,0001,427,700,000
TotalNon-CurrentAssets9,576,264,8509,353,509,158
TotalAssets10,689,518,97111,168,022,159
Currentliabilities:
Short-termloan150,000,000150,000,000
Transactionalfinancialliability
Derivativefinancialliabilities
Notespayable
Accountspayable30,321,88263,655,240
Advancesfromcustomers
Contractliabilities
Wagepayable58,238,34870,445,847
Taxpayable7,610,1886,052,456
Otheraccountspayable601,714,603660,149,563
Including:Interestpayable137,671181,250
Dividendpayable
Liabilitiesclassifiedasholdingforsale
Non-currentliabilitiesexpireinoneyear
Othercurrentliabilities
TotalCurrentLiabilities847,885,021950,303,106
Non-CurrentLiabilities:
Long-termborrowings
Bondspayable
Including:PreferredStock
Perpetualcapitalsecurities
Leaseliability
Long-termaccountspayable
Long-termaccruedpayroll
Estimatedliabilities
Deferredincome7,101,5269,176,315
Deferredtaxliabilities
Othernon-currentliabilities3,146,7063,146,707
Totalnon-currentliabilities10,248,23212,323,022
Totalliabilities858,133,253962,626,128
Owner’sequity(orshareholders’equity):
Capitalstock685,464,000685,464,000
Otherequityinstruments
Including:PreferredStock
Perpetualcapitalsecurities
Capitalreserve559,208,768557,222,454
Minus:treasurystock
Othercomprehensiveincome
Specialreserves
Surplusreserve342,732,000342,732,000
Undistributedprofits8,243,980,9508,619,977,577
Totalowner'sequity9,831,385,71810,205,396,031
Totalliabilitiesandowner'sequity10,689,518,97111,168,022,159

3)Consolidatedprofitstatementinthisreportperiod

Unit:CNY

ItemAmountinthisreportperiodAmountinpriorreportperiod
1.Revenue774,191,143980,743,772
Including:Operatingincome774,191,143980,743,772
Interestincome
Earnedpremium
Handlingfeesandcommissionincome
2.Totaloperatingcosts674,063,423805,641,704
Including:Operatingcosts375,604,374344,875,471
Interestexpenditure
Handlingfeesandcommissionexpenditure
Premiumrebate
Netamountofindemnityexpenditure
Netamountofinsurancecontractreservefundwithdrawal
Policybonuspayment
Amortizedreinsuranceexpenditures
Taxesandsurcharges47,921,20862,399,991
Sellingexpenses168,492,290324,667,610
Administrativeexpenses77,883,83163,818,231
Researchanddevelopmentexpenditure869,2691,149,179
Financialexpenses3,292,4518,731,222
Including:Interestexpenses10,174,5419,525,615
Interestincome3,760,8985,613,745
Plus:Otherincome15,671,7594,809,425
Investmentprofit(lossislistedwith"-")-85,420-128,956
Including:Investmentprofitforjoint-runbusinessandjointventure-85,420-959,797
Terminationofrecognizedincomeoffinancialassetsmeasuredatamortizedcost
Exchangeincome(lossislistedwith"-")
Netexposurehedgingincome(Lossislistedwith“-”)
Fairvaluechargeprofit(lossislistedwith"-")
Lossofcreditimpairment(lossislistedwith"-")3,024,194-2,284,006
Lossforimpairmentofassets(lossislistedwith"-")1,474,952-3,590,639
Assetsdisposalincome(lossislistedwith"-")-1,163,931-167,802
3.Operatingprofit(lossislistedwith"-")119,049,274173,740,090
Plus:Non-operatingincome932,9942,705,357
Minus:Non-operatingexpenditure46,725730,796
4.Totalprofits(totallossislistedwith"-")119,935,543175,714,651
Minus:Incometaxes33,798,40245,230,193
5.Netprofit(netlossislistedwith"-")86,137,141130,484,458
(一)Classificationbycontinuousoperation
1.Netprofitfromcontinuousoperation(netlossislistedwith"-")
2.Netprofitfromterminationaloperation(netlossislistedwith"-")
(二)Classificationbyownership
1.Netprofitsattributetoequityholdersofthecompany85,120,851130,147,686
2.Minorityinterests1,016,290336,772
6.Netvalueofothercomprehensiveincomeaftertax3,475,361-16,794,085
6.1Netvalueofothercomprehensiveincomeaftertaxofholdingcompany'sowners2,374,705-16,794,085
6.1.1Othercomprehensiveincomethatwillnotbeclassifiedintotheprofitandloss
6.1.1.1Changesofthedefinedbenefitplansthatre-measured
6.1.1.2Othercomprehensiveincomeunderequitymethodthatcannotbetransfertogain/loss
6.1.1.3Changeoffairvalueofinvestmentinotherequityinstrument
6.1.1.4Fairvaluechangeofenterprise'screditrisk
6.1.1.5Other
6.1.2Othercomprehensiveincomethatwillbeclassifiedintotheprofitandloss2,374,705-16,794,085
6.1.2.1Othercomprehensiveincomeunderequitymethodthatcantransfertogain/loss
6.1.2.2Changeoffairvalueofotherdebtinvestment
6.1.2.3Amountoffinancialassetsre-classifytoothercomprehensiveincome
6.1.2.4Creditimpairmentprovisionforotherdebtinvestment
6.1.2.5Cashflowhedgingreserve
6.1.2.6Translationdifferencesarisingontranslationofforeigncurrencyfinancialstatements2,374,705-16,794,085
6.1.2.7Other
6.2Netvalueofothercomprehensiveincomeaftertaxofminorityshareholders1,100,656
7.TotalcomprehensiveIncome89,612,502113,690,373
Totalcomprehensiveincomeofholdingcompany87,495,556113,353,601
Totalcomprehensiveincomeofminorityshareholders2,116,946336,772
8.Earningspershare
8.1Basicearningspershare0.120.19
8.2Dilutedearningspershare0.120.19

Duringthisreportperiod,theissuerelatestocompanyconsolidationundercommoncontrol,consolidatedpartycompletesnetprofitamountofCNY924,213beforebeingconsolidated,andconsolidatedpartycompletesnetprofitamountofCNY4,885,903inthesameperiodoflastyear.Legalrepresentative:ZhouHongjiang;Personinchargeofaccounting:JiangJianxun;Personinchargeofaccountingorgan:GuoCuimei

4)Profitstatementofparentcompanyinthisreportperiod

Unit:CNY

ItemAmountinthisreportperiodAmountinpriorreportperiod
1.Revenue105,418,687200,488,769
Minus:Operatingcosts87,036,926184,071,670
Taxesandsurcharges4,744,35310,446,607
Sellingexpenses
Administrativeexpenses14,936,06316,494,204
Researchanddevelopmentexpenditure175,365206,023
Financialexpenses-1,086,829-547,440
Including:Interestexpenses2,108,7572,190,828
Interestincome2,792,5623,602,659
Plus:Otherincome858,264858,264
Investmentprofit(lossislistedwith"-")32,523,81855,000,000
Including:Investmentprofitforjoint-runbusinessandjointventure
Terminationofrecognizedincomeoffinancialassetsmeasuredatamortizedcost(lossislistedwith"-")
Netexposurehedgingincome(Lossislistedwith“-”)
Fairvaluechargeprofit(lossislistedwith"-")
Lossofcreditimpairment(lossislistedwith"-")
Lossforimpairmentofassets(lossislistedwith"-")
Assetsdisposalincome(lossislistedwith"-")21,901
2.Operatingprofit(lossislistedwith"-")32,989,82345,697,870
Plus:Non-operatingincome51,398122,208
Minus:Non-operatingexpenses748,159
3.Totalprofits(totallossislistedwith"-")33,041,22145,071,919
Minus:Incometax160,153-181,802
4.Netprofit(netlossislistedwith"-")32,881,06845,253,721
1.Netprofitfromcontinuousoperation(netlossislistedwith"-")32,881,06845,253,721
2.Netprofitfromterminationaloperation(netlossislistedwith"-")
5.Netvalueofothercomprehensiveincomeaftertax
5.1Othercomprehensiveincomethatwillnotbeclassifiedintotheprofitandloss
5.1.1Remeasurethechangesinnetassetsorliabilitiesofdefinedbenefitplans
5.1.2Sharesofothercomprehensiveincomefrominvesteewhichcannotbereclassifiedintoprofitandlossundertheequitymethod
5.1.3Changeoffairvalueofinvestmentinotherequityinstrument
5.1.4Fairvaluechangeofenterprise'screditrisk
5.1.5Other
5.2Othercomprehensiveincomethatwillbeclassifiedintotheprofitandloss
5.2.1Othercomprehensiveincomeunderequitymethodthatcantransfertogain/loss
5.2.2Changeoffairvalueofotherdebtinvestment
5.2.3Amountoffinancialassetsre-classifytoothercomprehensiveincome
5.2.4Creditimpairmentprovisionforotherdebtinvestment
5.2.5Cashflowhedgingreserve
5.2.6Translationdifferencesarisingontranslationofforeigncurrencyfinancialstatements
5.2.7Other
6.Totalcomprehensiveincome32,881,06845,253,721
7.Earningspershare
7.1Basicearningspershare0.050.07
7.2Dilutedearningspershare0.050.07

5)Consolidatedprofitstatementfromthebeginningoftheyeartotheendofthereportperiod

Unit:CNY

ItemAmountinthisreportperiodAmountinpriorreportperiod
1.Revenue2,192,739,6903,553,926,816
Including:Operatingincome2,192,739,6903,553,926,816
Interestincome
Earnedpremium
Handlingfeesandcommissionincome
2.Totaloperatingcosts1,717,091,0472,629,345,172
Including:Operatingcosts950,246,7861,269,673,410
Interestexpenditure
Handlingfeesandcommissionexpenditure
Premiumrebate
Netamountofindemnityexpenditure
Netamountofinsurancecontractreservefundwithdrawal
Policybonuspayment
Amortizedreinsuranceexpenditures
Taxesandsurcharges136,365,030186,796,533
Sellingexpenses421,620,422932,125,012
Administrativeexpenses190,953,700219,370,543
Researchanddevelopmentexpenditure2,675,2573,855,990
Financialexpenses15,229,85217,523,684
Including:Interestexpenses25,065,85219,338,175
Interestincome9,907,30810,250,903
Plus:Otherincome66,451,99069,021,317
Investmentprofit(lossislistedwith"-")-1,256,105-128,956
Including:Investmentprofitforjoint-runbusinessandjointventure-1,256,105-959,797
Terminationofrecognizedincomeoffinancialassetsmeasuredatamortizedcost(lossislistedwith"-")
Exchangeincome(lossislistedwith"-")
Netexposurehedgingincome(Lossislistedwith“-”)
Fairvaluechargeprofit(lossislistedwith"-")
Lossofcreditimpairment(lossislistedwith"-")3,125,029-2,183,171
Lossforimpairmentofassets(lossislistedwith"-")5,083,7851,691,320
Assetsdisposalincome(lossislistedwith"-")-1,139,783-166,664
3.Operatingprofit(lossislistedwith"-")547,913,559992,815,490
Plus:Non-operatingincome7,619,5146,340,525
Minus:Non-operatingexpenditure1,073,199902,287
4.Totalprofits(totallossislistedwith"-")554,459,874998,253,728
Minus:Incometaxes147,252,351257,857,213
5.Netprofit(netlossislistedwith"-")407,207,523740,396,515
(一)Classificationbycontinuousoperation
1.Netprofitfromcontinuousoperation(netlossislistedwith"-")
2.Netprofitfromterminationaloperation(netlossislistedwith"-")
(二)Classificationbyownership
1.Netprofitsattributetoequityholdersofthecompany403,760,926740,898,517
2.Minorityinterests3,446,597-502,002
6.Netvalueofothercomprehensiveincomeaftertax-2,290,461-21,451,376
6.1Netvalueofothercomprehensiveincomeaftertaxofholdingcompany'sowners-2,631,948-19,854,806
6.1.1Othercomprehensiveincomethatwillnotbeclassifiedintotheprofitandloss
6.1.1.1Changesofthedefinedbenefitplansthatre-measured
6.1.1.2Othercomprehensiveincomeunderequitymethodthatcannotbetransfertogain/loss
6.1.1.3Changeoffairvalueofinvestmentinotherequityinstrument
6.1.1.4Fairvaluechangeofenterprise'screditrisk
6.1.1.5Other
6.1.2Othercomprehensiveincomethatwillbeclassifiedintotheprofitandloss-2,631,948-19,854,806
6.1.2.1Othercomprehensiveincomeunderequitymethodthatcantransfertogain/loss
6.1.2.2Changeoffairvalueofotherdebtinvestment
6.1.2.3Amountoffinancialassetsre-classifytoothercomprehensiveincome
6.1.2.4Creditimpairmentprovisionforotherdebtinvestment
6.1.2.5Cashflowhedgingreserve
6.1.2.6Translationdifferencesarisingontranslationofforeigncurrencyfinancialstatements-2,631,948-19,854,806
6.1.2.7Other
6.2Netvalueofothercomprehensiveincomeaftertaxofminorityshareholders341,487-1,596,570
7.TotalcomprehensiveIncome404,917,062718,945,139
Totalcomprehensiveincomeofholdingcompany401,128,978721,043,711
Totalcomprehensiveincomeofminorityshareholders3,788,084-2,098,572
8.Earningspershare
8.1Basicearningspershare0.591.08
8.2Dilutedearningspershare0.591.08

Duringthisreportperiod,theissuerelatestocompanyconsolidationundercommoncontrol,consolidatedpartycompletesnetprofitamountofCNY12,943,426beforebeingconsolidated,andconsolidatedpartycompletesnetprofitamountofCNY12,619,645inthesameperiodoflastyear.Legalrepresentative:ZhouHongjiang;Personinchargeofaccounting:JiangJianxun;Personinchargeofaccountingorgan:GuoCuimei

6)Profitstatementofparentcompanyfromthebeginningoftheyeartotheendofthereportperiod

Unit:CNY

ItemAmountinthisreportperiodAmountinpriorreportperiod
1.Revenue258,369,202552,839,771
Minus:Operatingcosts230,278,120493,642,250
Taxesandsurcharges9,123,71823,586,763
Sellingexpenses
Administrativeexpenses45,086,37455,928,450
Researchanddevelopmentexpenditure494,283611,084
Financialexpenses-152,052-4,204,810
Including:Interestexpenses4,916,507-514,245
Interestincome5,043,7975,073,326
Plus:Otherincome2,678,1542,574,791
Investmentprofit(lossislistedwith"-")119,998,422319,221,755
Including:Investmentprofitforjoint-runbusinessandjointventure
Terminationofrecognizedincomeoffinancialassetsmeasuredatamortizedcost(lossislistedwith"-")
Netexposurehedgingincome(Lossislistedwith“-”)
Fairvaluechargeprofit(lossislistedwith"-")
Lossofcreditimpairment(lossislistedwith"-")
Lossforimpairmentofassets(lossislistedwith"-")
Assetsdisposalincome(lossislistedwith"-")21,901
2.Operatingprofit(lossislistedwith"-")96,809,899305,094,481
Plus:Non-operatingincome2,058,634825,767
Minus:Non-operatingexpenses525,000845,797
3.Totalprofits(totallossislistedwith"-")98,343,533305,074,451
Minus:Incometax-5,484,640-908,748
4.Netprofit(netlossislistedwith"-")103,828,173305,983,199
1.Netprofitfromcontinuousoperation(netlossislistedwith"-")103,828,173305,983,199
2.Netprofitfromterminationaloperation(netlossislistedwith"-")
5.Netvalueofothercomprehensiveincomeaftertax
5.1Othercomprehensiveincomethatwillnotbeclassifiedintotheprofitandloss
5.1.1Remeasurethechangesinnetassetsorliabilitiesofdefinedbenefitplans
5.1.2Sharesofothercomprehensiveincomefrominvesteewhichcannotbereclassifiedintoprofitandlossundertheequitymethod
5.1.3Changeoffairvalueofinvestmentinotherequityinstrument
5.1.4Fairvaluechangeofenterprise'screditrisk
5.1.5Other
5.2Othercomprehensiveincomethatwillbeclassifiedintotheprofitandloss
5.2.1Othercomprehensiveincomeunderequitymethodthatcantransfertogain/loss
5.2.2Changeoffairvalueofotherdebtinvestment
5.2.3Amountoffinancialassetsre-classifytoothercomprehensiveincome
5.2.4Creditimpairmentprovisionforotherdebtinvestment
5.2.5Cashflowhedgingreserve
5.2.6Translationdifferencesarisingontranslationofforeigncurrencyfinancialstatements
5.2.7Other
6.Totalcomprehensiveincome103,828,173305,983,199
7.Earningspershare
7.1Basicearningspershare0.150.45
7.2Dilutedearningspershare0.150.45

7)Consolidatedcashflowstatementfromthebeginningoftheyeartotheendofthereportperiod

Unit:CNY

ItemAmountinthisreportperiodAmountinpriorreportperiod
1.Cashflowsfromoperatingactivities:
Cashreceivedfromsalesofgoodsandrendingofservices2,310,331,8553,404,022,629
Netincreaseincustomerandinterbankdeposits
Netincreaseinborrowingsfromcentralbank
Netincreaseinborrowingsfromotherfinancialinstitutions
Cashreceivedfromreceivinginsurancepremiumoforiginalinsurancecontract
Netcashreceivedfromreinsurancebusiness
Netincreaseofdepositofinsuredandinvestmentfund
Netincreaseindisposingoffinancialassetsthatmeasuredbyfairvaluewithchangesrecordedintothecurrentprofitandloss
Cashreceivedfromcollectinginterest,handlingfeesandcommission
Netincreaseinborrowings
Netincreaseinrepurchasementbusinessfunds
Taxrefundreceived33,733,60429,762,041
Othercashreceivedrelatedtooperatingactivities69,259,71085,647,005
Sub-totalofcashinflowsofoperatingactivities2,413,325,1693,519,431,675
Cashpaidforgoodsandservices855,818,9281,207,473,323
Netincreaseincustomerloansandadvances
Netincreaseindepositsincentralbankandinterbankdeposits
Cashpaidtooriginalinsurancecontractpayments
Cashpaidtointerest,handlingfeesandcommission
Cashpaidtopolicybonus
Cashpaidtoandonbehalfofemployees325,519,463385,086,539
Cashpaidfortaxesandexpenses605,846,671685,034,497
Othercashpaidrelatedtooperatingactivities373,703,033585,110,441
Sub-totalofcashoutflowsofoperatingactivities2,160,888,0952,862,704,800
Netcashflowfromoperatingactivities252,437,074656,726,875
2.Cashflowfrominvestingactivities:
Cashreceivedfromreturnofinvestment
Cashreceivedfromreturnoffixeddeposit80,128,600174,597,650
Cashreceivedfromobtaininginvestmentprofit
Cashreceivedfrominterestincome1,484,2441,199,968
Cashreceivedfromdisposaloffixedassets,intangibleassetsandotherlong-termassets1,139,360197,599
Netcashreceivedfromdisposalofbranchandotherbusinessunit
Othercashreceivedrelatedtoinvestingactivities
Sub-totalofcashinflowsofinvestmentactivities82,752,204175,995,217
Cashpaidtoacquirefixedassets,intangibleassetandotherlong-termassets100,318,579201,434,544
Cashforinvestments401,647
Cashpaidtoacquirefixeddeposit58,200,000113,718,193
Netincreaseinhypothecatedloan
Netcashpaidtoacquirebranchandotherbusinessunit
Othercashpaidrelatedtoinvestmentactivities170,752
Subtotalofcashoutflowsofinvestmentactivities158,518,579315,725,136
Netcashflowfrominvestingactivities-75,766,375-139,729,919
3.Cashflowfromfinancingactivities
Cashreceivedfromacquiringinvestment
Including:Cashreceivedfromacquiringminorityshareholders'investmentbybranch
Cashreceivedfromacquiringloans784,217,057684,581,027
Othercashreceivedrelatedtofinancingactivities
Sub-totalcashinflowsoffinancingactivities784,217,057684,581,027
Cashpaidtorepaydebts775,223,291697,660,583
Cashpaidtodistributedividend,profitorpayinterest514,217,826446,242,354
Including:Dividendandprofitpaidtominorityshareholdersbybranch2,932,523
Othercashpaidrelatedtofinancingactivities44,025,637
Sub-totalofcashoutflowsoffinancingactivities1,333,466,7541,143,902,937
Netcashflowfromfinancingactivities-549,249,697-459,321,910
4.Influencesofexchangeratefluctuationoncashandcashequivalents-301,828-308,084
5.NetIncreaseofcashandcashequivalents-372,880,82657,366,962
Plus:balanceatthebeginningoftheperiodofcashandcashequivalents1,397,399,4691,236,286,115
6.Balanceattheendoftheperiodofcashandcashequivalents1,024,518,6431,293,653,077

8)Cashflowstatementofparentcompanyfromthebeginningoftheyeartotheendofthereportperiod

Unit:CNY

ItemAmountinthisreportperiodAmountinpriorreportperiod
1.Cashflowsfromoperatingactivities:
Cashreceivedfromsalesofgoodsandrendingofservices240,400,432442,359,311
Taxrefundreceived
Othercashreceivedrelatedtooperatingactivities19,575,79644,030,652
Sub-totalofcashinflowsofoperatingactivities259,976,228486,389,963
Cashpaidforgoodsandservices171,128,867332,017,753
Cashpaidtoandonbehalfofemployees46,232,64657,697,044
Cashpaidfortaxesandexpenses4,938,03034,602,597
Othercashpaidrelatedtooperatingactivities153,027,196236,084,524
Sub-totalofcashoutflowsofoperatingactivities375,326,739660,401,918
Netcashflowfromoperatingactivities-115,350,511-174,011,955
2.Cashflowfrominvestingactivities:
Cashreceivedfromreturnofinvestment
Cashreceivedfromreturnoffixeddeposit35,200,000110,000,000
Cashreceivedfromobtaininginvestmentprofit319,744,088815,117,830
Cashreceivedfrominterestincome493,434715,111
Cashreceivedfromdisposaloffixedassets,intangibleassetsandotherlong-termassets83,69929,815
Netcashreceivedfromdisposalofbranchandotherbusinessunit
Othercashreceivedrelatedtoinvestingactivities
Sub-totalofcashinflowsofinvestmentactivities355,521,221925,862,756
Cashpaidtoacquirefixedassets,intangibleassetandotherlong-termassets2,411,97114,223,638
Cashforinvestments47,991,725265,479,443
Cashpaidtoacquirefixeddeposit38,200,000105,238,750
Netcashpaidtoacquirebranchandotherbusinessunit
Othercashpaidrelatedtoinvestmentactivities97,000,000
Subtotalofcashoutflowsofinvestmentactivities185,603,696384,941,831
Netcashflowfrominvestingactivities169,917,525540,920,925
3.Cashflowfromfinancingactivities
Cashreceivedfromacquiringinvestment
Cashreceivedfromacquiringloans150,000,000
Othercashreceivedrelatedtofinancingactivities
Sub-totalcashinflowsoffinancingactivities150,000,000
Cashpaidtorepaydebts150,000,000
Cashpaidtodistributedividend,profitorpayinterest484,681,932416,717,150
Othercashpaidrelatedtofinancingactivities
Sub-totalofcashoutflowsoffinancingactivities634,681,932416,717,150
Netcashflowfromfinancingactivities-484,681,932-416,717,150
4.Influencesofexchangeratefluctuationoncashandcashequivalents
5.NetIncreaseofcashandcashequivalents-430,114,918-49,808,180
Plus:balanceatthebeginningoftheperiodofcashandcashequivalents623,116,542532,384,882
6.Balanceattheendoftheperiodofcashandcashequivalents193,001,624482,576,702

2.Explanationforadjustmentinfinancialstatements

1)Thesituationofadjustingrelateditemsinfinancialstatementsatthebeginningof2020owingtothefirstimplementationofnewRevenueStandardsandnewLeaseStandardssince2020?Available?NotavailableWhetherneedstoadjustthebalancesheetaccountatthebeginningoftheyear?Yes?No

Consolidatedbalancesheet

Unit:CNY

ItemDecember31st,2019January1st,2020Adjustedamount
CurrentAssets:
Monetaryfund1,597,410,7741,597,410,774
Pettycash
Lendingfunds
Transactionalfinancialassets
Derivativefinancialassets
Notesreceivable
Accountsreceivable265,693,603265,693,603
ReceivablesFinancing317,270,229317,270,229
Accountsprepaid67,840,19067,840,190
Premiumsreceivable
Reinsuranceaccountsreceivable
Receivablereservesforreinsurancecontract
Otherreceivables24,380,90724,380,907
Including:Interestreceivable148,927148,927
Dividendsreceivable
Buyingbackthesaleoffinancialassets
Inventory2,903,817,7502,903,817,750
Contractassets
Assetsclassifiedasholdingforsale
Non-currentassetsexpireinoneyear
Othercurrentassets269,931,887269,931,887
TotalCurrentAssets5,446,345,3405,446,345,340
Non-currentAssets:
Offeringloansandimprest
Debtinvestment
Otherdebtinvestment
Long-termaccountreceivable
Long-termequityinvestment43,981,13043,981,130
Investmentinotherequityinstrument
Othernon-currentfinancialassets
Realestateforinvestment29,714,58629,714,586
Fixedassets5,943,969,1005,943,969,100
Constructioninprogress567,478,833567,478,833
Biologicalassetsforproduction202,425,286202,425,286
Oilandgasassets
Right-of-useassets
Intangibleassets652,543,848652,543,848
Developmentexpenditure
Goodwill141,859,193141,859,193
Long-termdeferredexpenses280,478,194280,478,194
Deferredtaxassets264,768,008264,768,008
Othernon-currentassets193,674,320193,674,320
TotalNon-CurrentAssets8,320,892,4988,320,892,498
TotalAssets13,767,237,83813,767,237,838
Currentliabilities:
Short-termloan754,313,744754,313,744
BorrowingsfromtheCentralBank
Borrowingfunds
Transactionalfinancialliability
Derivativefinancialliabilities
Notespayable
Accountspayable570,506,459570,506,459
Advancesfromcustomers131,429,639-131,429,639
Contractliabilities116,309,415116,309,415
Sales/buybackfinancialassets
Customerandinterbankdeposits
Actingtradingsecurities
Actingunderwritingsecurities
Wagepayable235,555,474235,555,474
Taxpayable375,582,368375,582,3680
Otheraccountspayable463,433,185463,433,185
Including:Interestpayable758,047758,047
Dividendpayable1,366,5591,366,559
Payablehandlingfeesandcommission
Dividendpayableforreinsurance
Liabilitiesclassifiedasholdingforsale
Non-currentliabilitiesexpireinoneyear150,826,221150,826,221
Othercurrentliabilities15,120,22415,120,224
TotalCurrentLiabilities2,681,647,0902,681,647,0900
Non-CurrentLiabilities:
Insurancecontractreserve
Long-termborrowings128,892,501128,892,501
Bondspayable
Including:PreferredStock
Perpetualcapitalsecurities
Leaseliability
Long-termaccountspayable191,000,000191,000,000
Long-termaccruedpayroll
Estimatedliabilities
Deferredincome70,701,28870,701,288
Deferredtaxliabilities14,691,42414,691,424
Othernon-currentliabilities7,645,7777,645,777
Totalnon-currentliabilities412,930,990412,930,990
Totalliabilities3,094,578,0803,094,578,080
Owner’sequity(orshareholders’equity):
Capitalstock685,464,000685,464,000
Otherequityinstruments
Including:PreferredStock
Perpetualcapitalsecurities
Capitalreserve642,775,360642,775,360
Minus:treasurystock
Othercomprehensiveincome-4,235,583-4,235,583
Specialreserves
Surplusreserve342,732,000342,732,000
Generalriskpreparation
Undistributedprofits8,734,335,3118,734,335,311
Totalowner'sequityattributabletotheholdingcompany10,401,071,08810,401,071,088
Minorityinterests271,588,670271,588,670
Totalowner'sequity10,672,659,75810,672,659,758
Totalliabilitiesandowner'sequity13,767,237,83813,767,237,838

ExplanationforadjustmentBalancesheetofparentcompany

Unit:CNY

ItemDecember31st,2019January1st,2020Adjustedamount
CurrentAssets:
Monetaryfund710,505,269710,505,269
Transactionalfinancialassets
Derivativefinancialassets
Notesreceivable
Accountsreceivable1,988,3261,988,326
ReceivablesFinancing41,679,63541,679,635
Accountsprepaid776,539776,539
Otherreceivables586,424,958586,424,958
Including:Interestreceivable90,35590,355
Dividendsreceivable200,000,000200,000,000
Inventory434,007,808434,007,808
Contractassets
Assetsclassifiedasholdingforsale
Non-currentassetsexpireinoneyear
Othercurrentassets39,130,46639,130,466
TotalCurrentAssets1,814,513,0011,814,513,001
Non-currentAssets:
Debtinvestment
Otherdebtinvestment
Long-termaccountreceivable
Long-termequityinvestment7,432,422,6217,432,422,621
Investmentinotherequityinstrument
Othernon-currentfinancialassets
Realestateforinvestment29,714,58629,714,586
Fixedassets261,137,072261,137,072
Constructioninprogress
Biologicalassetsforproduction121,414,096121,414,096
Oilandgasassets
Right-of-useassets
Intangibleassets64,864,91364,864,913
Developmentexpenditure
Goodwill
Long-termdeferredexpenses
Deferredtaxassets16,255,87016,255,870
Othernon-currentassets1,427,700,0001,427,700,000
TotalNon-CurrentAssets9,353,509,1589,353,509,158
TotalAssets11,168,022,15911,168,022,159
Currentliabilities:
Short-termloan150,000,000150,000,000
Transactionalfinancialliability
Derivativefinancialliabilities
Notespayable
Accountspayable63,655,24063,655,240
Advancesfromcustomers
Contractliabilities
Wagepayable70,445,84770,445,847
Taxpayable6,052,4566,052,456
Otheraccountspayable660,149,563660,149,563
Including:Interestpayable181,250181,250
Dividendpayable
Liabilitiesclassifiedasholdingforsale
Non-currentliabilitiesexpireinoneyear
Othercurrentliabilities
TotalCurrentLiabilities950,303,106950,303,106
Non-CurrentLiabilities:
Long-termborrowings
Bondspayable
Including:PreferredStock
Perpetualcapitalsecurities
Leaseliability
Long-termaccountspayable
Long-termaccruedpayroll
Estimatedliabilities
Deferredincome9,176,3159,176,315
Deferredtaxliabilities
Othernon-currentliabilities3,146,7073,146,707
Totalnon-currentliabilities12,323,02212,323,022
Totalliabilities962,626,128962,626,128
Owner’sequity(orshareholders’equity):
Capitalstock685,464,000685,464,000
Otherequityinstruments
Including:PreferredStock
Perpetualcapitalsecurities
Capitalreserve557,222,454557,222,454
Minus:treasurystock
Othercomprehensiveincome
Specialreserves
Surplusreserve342,732,000342,732,000
Undistributedprofits8,619,977,5778,619,977,577
Totalowner'sequity10,205,396,03110,205,396,031
Totalliabilitiesandowner'sequity11,168,022,15911,168,022,159

Explanationforadjustment

2)ExplanationforretroactiveadjustmentincomparabledatainpriorreportperiodowingtotheimplementationofnewRevenueStandardsandnewLeaseStandardssince2020

?Available?NotavailableDuringthereportperiod,theCompanyimplementedthenewRevenueStandardsandretroactivelyadjustedthepreviouscomparativedataaccordingtotheStandards,resultinginadecreaseofCNY131,429,639intheadvancereceiptsatthebeginningoftheperiod,anincreaseofCNY116,309,415inthecontractliabilitiesandanincreaseofCNY15,120,224inothercurrentliabilities.

3.AuditreportWhetherthethirdquarterreporthasbeenaudited.?Yes?NoThethirdquarterreporthasnotbeenaudited.

YantaiChangyuPioneerWineCo.,Ltd.

BoardofDirectors

October24

th

,2020


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