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博汇纸业(600966)公告正文

博汇纸业:2013年第一季度报告

公告日期:2013-04-27

山东博汇纸业股份有限公司
         600966
    2013 年第一季度报告
    600966                                                                           山东博汇纸业股份有限公司 2013 年第一季度报告
                                                                    目录
    §1   重要提示 .................................................................................................................................... 2
    §2   公司基本情况 ............................................................................................................................ 3
    §3   重要事项 .................................................................................................................................... 5
    §4   附录 ............................................................................................................................................ 7
    600966                                     山东博汇纸业股份有限公司 2013 年第一季度报告§1 重要提示1.1 本公司董事会、监事会及其董事、监事、高级管理人员保证本报告所载资料不存在任何虚假记载、误导性陈述或者重大遗漏,并对其内容的真实性、准确性和完整性承担个别及连带责任。1.2 公司全体董事出席董事会会议。1.3 公司第一季度财务报告未经审计。1.4
    公司负责人姓名                               杨振兴
    主管会计工作负责人姓名                       史霄
    会计机构负责人(会计主管人员)姓名           岳晗公司负责人杨振兴、主管会计工作负责人史霄及会计机构负责人(会计主管人员)岳晗声明:保证本季度报告中财务报告的真实、完整。
    600966                                     山东博汇纸业股份有限公司 2013 年第一季度报告§2 公司基本情况2.1 主要会计数据及财务指标
                                                                              币种:人民币
                                                                                本报告期末比上
                                         本报告期末            上年度期末       年度期末增减
                                                                                      (%)
    总资产(元)                             10,862,246,578.17    10,571,593,586.70             2.75
    所有者权益(或股东权益)(元)            3,081,283,949.60     3,079,908,945.62             0.04归属于上市公司股东的每股净资产(元/
                                                     6.11               6.10                0.16股)
                                                                               比上年同期增减
                                                年初至报告期期末
                                                                                     (%)
    经营活动产生的现金流量净额(元)                               -154,804,645.42             -81.24每股经营活动产生的现金流量净额(元/
                                                                     -0.3068               -81.22股)
                                                            年初至报告期期     本报告期比上年
                                            报告期
                                                                  末             同期增减(%)
    归属于上市公司股东的净利润(元)              1,373,214.14        1,373,214.14             -95.22
    基本每股收益(元/股)                             0.0027              0.0027             -95.25扣除非经常性损益后的基本每股收益(元/
                                                 0.0027               0.0027               -95.33股)
    稀释每股收益(元/股)                            0.0027               0.0027             -95.25
                                                                               减少 0.89 个百分
    加权平均净资产收益率(%)                            0.04               0.04
                                                                                             点
    扣除非经常性损益后的加权平均净资产收                                           减少 0.90 个百分
                                                     0.04               0.04
    益率(%)                                                                                    点扣除非经常性损益项目和金额:
                                                                   单位:元 币种:人民币
                             项目                                          金额
    非流动资产处置损益                                                                   29,022.32
    除上述各项之外的其他营业外收入和支出                                                 10,000.00
    所得税影响额                                                                         -9,755.58
                          合计                                                       29,266.742.2 报告期末股东总人数及前十名无限售条件股东持股情况表
                                                                                单位:股
    报告期末股东总数(户)                                                                  54,728
                           前十名无限售条件流通股股东持股情况
                         期末持有无限售条件流通股的数
    股东名称(全称)                                                 种类
                                     量
    山东博汇集团有限公司                       170,397,730 人民币普通股
    罗建明                                       2,886,429 人民币普通股
    于莉                                         1,679,307 人民币普通股
    孙杰                                         1,510,000 人民币普通股
    600966                 山东博汇纸业股份有限公司 2013 年第一季度报告中信信托有限责任公司-中信宁聚量化对冲 1
                         1,500,000   人民币普通股期管理型金融投资集合资金信托计划
    詹伟东                   1,397,100   人民币普通股
    于向芹                   1,368,800   人民币普通股申银万国证券股份有限
    公司客户信用交易担保     1,363,860   人民币普通股证券账户
    许春明                   1,346,800   人民币普通股
    杨德胜                   1,258,326   人民币普通股
    600966                                        山东博汇纸业股份有限公司 2013 年第一季度报告§3 重要事项3.1 公司主要会计报表项目、财务指标大幅度变动的情况及原因√适用 □不适用1、货币资金比期初减少 43.56%,主要是子公司江苏博汇纸业其他货币资金减少所致。2、其他应收期末比期初增加 68.11%,主要是预付的备用金增加所致。3、其他流动资产期末比期初增加 36.47%,主要是子公司江苏博汇纸业可抵扣增值税进项税增加所致。4、工程物资期末比期初增加 293.96%,主要是子公司江苏博汇纸业 75 万吨高档包装纸板项目建设增加投入所致。5、应付帐款期末比期初增加 45.07%,主要是子公司江苏博汇纸业应付设备款增加所致。6、预收款项期末比期初减少 35.49%,主要是以预收方式销售货款减少所致。7、应交税费期末比期初减少 39.71%,主要是 2013 年 3 月份较 2012 年 12 月份实现的流转税款减少所致。8、应付利息期末比期初增加 46.61%,主要是子公司江苏博汇纸业因贷款增加相应应付利息增加所致。9、一年内到期的非流动负债比期初增加 57.89%,主要是一年内到期的长期借款较年初增加所致。10、营业税金及附加同比增加 73.34%,主要是本期较去年同期实现增值税增加,相应提取的营业税金及附加增加所致。11、资产减值损失同比增加 101.18%,主要是本期提取的坏帐准备较去年同期增加所致。12、营业外收入同比增加 4,831.86%,主要是本期处置非流动资产利得较去年同期增加所致。13、营业外支出同比减少 100%,主要是本期无处置固定资产损失。14、所得税费用同比减少 88.26%,主要是本期净利润同比大幅减少,相应所得税费用减少所致。15、经营活动产生的现金流量净额同比减少 81.24%,主要为购买商品接受劳务支付的现金同比增加所致。16、投资活动产生的现金流量净额同比减少 78.13%,主要为子公司江苏博汇纸业购建固定资产、无形资产支付的现金同比大幅增加所致。17、筹资活动产生的现金流量净额同比减少 117.54%,主要为本期较去年同期银行贷款减少所致。3.2 重大事项进展情况及其影响和解决方案的分析说明□适用 √不适用3.3 公司、股东及实际控制人承诺事项履行情况□适用 √不适用3.4 预测年初至下一报告期期末的累计净利润可能为亏损或者与上年同期相比发生大幅度变动的警示及原因说明□适用 √不适用3.5 报告期内现金分红政策的执行情况报告期内,公司根据《上海证券交易所上市公司现金分红指引》和公司《章程》的有关规定,制定了以 2012 年 12 月 31 日总股本 504,619,197 股为基数,每 10 股派送现金 0.05 元(含税)的 2012 年度利润分配预案。本预案经公司 2012 年度股东大会审议通过后实施。
                                                                山东博汇纸业股份有限公司
                                                                        法定代表人:杨振兴
                                                                          2013 年 4 月 25 日§4 附录4.1
                                 合并资产负债表
                                2013 年 3 月 31 日编制单位: 山东博汇纸业股份有限公司
                                        单位:元 币种:人民币 审计类型:未经审计
                       项目                        期末余额               年初余额流动资产:
      货币资金                                       433,189,081.16        767,486,230.37
      结算备付金
      拆出资金
      交易性金融资产
      应收票据                                       925,246,873.28        947,290,054.66
      应收账款                                       445,099,219.16        374,282,735.31
      预付款项                                       153,354,253.73        126,473,634.24
      应收保费
      应收分保账款
      应收分保合同准备金
      应收利息
      应收股利
      其他应收款                                       6,712,104.76          3,992,626.31
      买入返售金融资产
      存货                                         1,246,558,399.48       1,008,902,660.34
      一年内到期的非流动资产
      其他流动资产                                   349,439,075.64        256,059,865.11
        流动资产合计                               3,559,599,007.21       3,484,487,806.34非流动资产:
      发放委托贷款及垫款
      可供出售金融资产
      持有至到期投资
      长期应收款
      长期股权投资                                    51,000,000.00         51,000,000.00
      投资性房地产
      固定资产                                     3,521,612,489.32       3,595,857,883.49
      在建工程                                     3,159,460,695.16       3,105,523,109.30
      工程物资                                       314,596,990.94         79,854,238.58
      固定资产清理
      生产性生物资产
      油气资产
      无形资产                                       217,618,875.34        219,192,107.91
      开发支出
      商誉
    长期待摊费用
    递延所得税资产                  35,723,478.94       32,779,895.69
    其他非流动资产                    2,635,041.26        2,898,545.39
      非流动资产合计              7,302,647,570.96    7,087,105,780.36
          资产总计               10,862,246,578.17   10,571,593,586.70流动负债:
    短期借款                      2,791,394,976.41    2,759,104,494.63
    向中央银行借款
    吸收存款及同业存放
    拆入资金
    交易性金融负债
    应付票据                          8,000,000.00      10,000,000.00
    应付账款                       745,280,699.90      513,738,931.70
    预收款项                        58,817,518.88       91,181,667.04
    卖出回购金融资产款
    应付手续费及佣金
    应付职工薪酬                    34,896,357.36        34,117,936.23
    应交税费                        30,207,400.59       50,105,489.09
    应付利息                        26,357,749.27       17,978,196.38
    应付股利
    其他应付款                        3,643,932.19        3,075,830.50
    应付分保账款
    保险合同准备金
    代理买卖证券款
    代理承销证券款
    一年内到期的非流动负债          90,000,000.00       57,000,000.00
    其他流动负债
      流动负债合计                3,788,598,634.60    3,536,302,545.57非流动负债:
    长期借款                      2,437,660,000.00    2,410,615,000.00
    应付债券                       892,172,696.63      887,961,990.90
    长期应付款                     317,567,491.94      316,256,606.17
    专项应付款
    预计负债
    递延所得税负债                  20,637,075.84       21,698,004.76
    其他非流动负债
      非流动负债合计              3,668,037,264.41    3,636,531,601.83
        负债合计                  7,456,635,899.01    7,172,834,147.40所有者权益(或股东权益):
    实收资本(或股本)             504,619,521.00      504,619,197.00
    资本公积                      1,204,412,371.42    1,204,410,905.58
    减:库存股
    专项储备
    盈余公积                                          196,440,348.02         196,440,348.02
    一般风险准备
    未分配利润                                      1,175,811,709.16        1,174,438,495.02
    外币报表折算差额
    归属于母公司所有者权益合计                      3,081,283,949.60        3,079,908,945.62
    少数股东权益                                      324,326,729.56         318,850,493.68
            所有者权益合计                           3,405,610,679.16        3,398,759,439.30
         负债和所有者权益总计                       10,862,246,578.17       10,571,593,586.70公司法定代表人: 杨振兴 主管会计工作负责人:史霄 会计机构负责人:岳晗
                                母公司资产负债表
                                2013 年 3 月 31 日编制单位: 山东博汇纸业股份有限公司
                                              单位:元 币种:人民币 审计类型:未经审计
                      项目                           期末余额                年初余额流动资产:
    货币资金                                          375,530,611.10         649,208,716.58
    交易性金融资产
    应收票据                                          789,290,776.39         821,382,908.09
    应收账款                                          401,363,273.21         331,449,231.44
    预付款项                                          139,303,602.73         110,862,795.62
    应收利息
    应收股利
    其他应收款                                        239,687,216.31            5,071,145.31
    存货                                            1,034,050,432.35         935,168,423.34
    一年内到期的非流动资产
    其他流动资产
       流动资产合计                                  2,979,225,912.09        2,853,143,220.38非流动资产:
    可供出售金融资产
    持有至到期投资
    长期应收款
    长期股权投资                                    1,379,730,426.13        1,379,730,426.13
    投资性房地产
    固定资产                                        3,134,867,019.34        3,199,502,589.66
    在建工程
    工程物资
    固定资产清理
    生产性生物资产
    油气资产
    无形资产                                          157,097,507.85         158,313,624.63
    开发支出
    商誉
    长期待摊费用
    递延所得税资产                                   15,310,434.71      15,288,484.84
    其他非流动资产                                    2,635,041.26       2,898,545.39
       非流动资产合计                               4,689,640,429.29   4,755,733,670.65
         资产总计                                   7,668,866,341.38   7,608,876,891.03流动负债:
    短期借款                                       2,669,419,580.60   2,670,804,494.63
    交易性金融负债
    应付票据
    应付账款                                        402,041,120.82     352,066,838.68
    预收款项                                         47,501,395.62      76,701,715.19
    应付职工薪酬                                     30,216,210.72      29,788,648.35
    应交税费                                         12,005,916.10      30,393,819.44
    应付利息                                         11,724,458.00      13,630,487.33
    应付股利
    其他应付款                                        3,501,793.04       3,014,930.50
    一年内到期的非流动负债                           90,000,000.00      57,000,000.00
    其他流动负债
       流动负债合计                                 3,266,410,474.90   3,233,400,934.12非流动负债:
    长期借款                                        505,900,000.00     478,855,000.00
    应付债券                                        892,172,696.63     887,961,990.90
    长期应付款                                      317,567,491.94     316,256,606.17
    专项应付款
    预计负债
    递延所得税负债                                   20,637,075.84      21,698,004.76
    其他非流动负债
       非流动负债合计                               1,736,277,264.41   1,704,771,601.83
         负债合计                                   5,002,687,739.31   4,938,172,535.95所有者权益(或股东权益):
    实收资本(或股本)                              504,619,521.00     504,619,197.00
    资本公积                                       1,204,412,371.42   1,204,410,905.58
    减:库存股
    专项储备
    盈余公积                                        196,440,348.02     196,440,348.02
    一般风险准备
    未分配利润                                      760,706,361.63     765,233,904.48
    所有者权益(或股东权益)合计                        2,666,178,602.07   2,670,704,355.08
         负债和所有者权益(或股东权益)总计         7,668,866,341.38   7,608,876,891.03公司法定代表人: 杨振兴 主管会计工作负责人:史霄 会计机构负责人:岳晗4.2
                                    合并利润表
                                  2013 年 1—3 月编制单位: 山东博汇纸业股份有限公司
                                         单位:元 币种:人民币 审计类型:未经审计
                         项目                       本期金额               上期金额
    一、营业总收入                                     1,072,846,568.85       1,278,014,599.72
        其中:营业收入                              1,072,846,568.85       1,278,014,599.72
             利息收入
             已赚保费
             手续费及佣金收入
    二、营业总成本                                     1,063,937,161.14       1,226,577,826.38
        其中:营业成本                                925,809,694.13       1,097,804,557.63
             利息支出
             手续费及佣金支出
             退保金
             赔付支出净额
             提取保险合同准备金净额
             保单红利支出
             分保费用
             营业税金及附加                             3,765,026.96          2,172,004.00
             销售费用                                  47,693,099.51         41,140,834.25
             管理费用                                  35,814,881.45         36,624,272.02
             财务费用                                  50,810,310.00         52,568,692.07
             资产减值损失                                  44,149.09          -3,732,533.59
        加:公允价值变动收益(损失以“-”号填列)
            投资收益(损失以“-”号填列)
              其中:对联营企业和合营企业的投资收益
            汇兑收益(损失以“-”号填列)
    三、营业利润(亏损以“-”号填列)                     8,909,407.71         51,436,773.34
        加:营业外收入                                     39,022.32                  791.23
        减:营业外支出                                                          656,665.16
          其中:非流动资产处置损失
    四、利润总额(亏损总额以“-”号填列)                 8,948,430.03         50,780,899.41
        减:所得税费用                                  2,098,980.01         17,874,295.47
    五、净利润(净亏损以“-”号填列)                     6,849,450.02         32,906,603.94
        归属于母公司所有者的净利润                      1,373,214.14         28,718,074.63
        少数股东损益                                    5,476,235.88          4,188,529.31六、每股收益:
        (一)基本每股收益                                        0.0027              0.0569
        (二)稀释每股收益                                        0.0027              0.0569七、其他综合收益
    八、综合收益总额                                         6,849,450.02       32,906,603.94
        归属于母公司所有者的综合收益总额                  1,373,214.14       28,718,074.63
        归属于少数股东的综合收益总额                      5,476,235.88        4,188,529.31公司法定代表人: 杨振兴 主管会计工作负责人:史霄 会计机构负责人:岳晗
                                   母公司利润表
                                  2013 年 1—3 月编制单位: 山东博汇纸业股份有限公司
                                         单位:元 币种:人民币 审计类型:未经审计
                         项目                          本期金额            上期金额
    一、营业收入                                          1,004,202,059.76    1,236,997,931.50
        减:营业成本                                    887,000,139.37     1,100,149,548.81
            营业税金及附加                                2,827,767.17        1,001,393.39
            销售费用                                     41,889,216.92       37,341,204.04
            管理费用                                     30,034,588.43       32,885,845.40
            财务费用                                     48,070,769.51       49,422,381.42
            资产减值损失                                                      -3,732,533.59
        加:公允价值变动收益(损失以“-”号填列)
            投资收益(损失以“-”号填列)
              其中:对联营企业和合营企业的投资收益
    二、营业利润(亏损以“-”号填列)                       -5,620,421.64      19,930,092.03
        加:营业外收入                                       10,000.00
        减:营业外支出                                                              28,229.97
          其中:非流动资产处置损失
    三、利润总额(亏损总额以“-”号填列)                   -5,610,421.64      19,901,862.06
        减:所得税费用                                    -1,082,878.79       7,254,573.59
    四、净利润(净亏损以“-”号填列)                       -4,527,542.85      12,647,288.47五、每股收益:
        (一)基本每股收益
        (二)稀释每股收益六、其他综合收益
    七、综合收益总额                                         -4,527,542.85      12,647,288.47公司法定代表人: 杨振兴 主管会计工作负责人:史霄 会计机构负责人:岳晗4.3
                                     合并现金流量表
                                     2013 年 1—3 月编制单位: 山东博汇纸业股份有限公司
                                       单位:元 币种:人民币 审计类型:未经审计
                      项目                         本期金额              上期金额一、经营活动产生的现金流量:
    销售商品、提供劳务收到的现金                   898,980,263.92        766,525,233.76
    客户存款和同业存放款项净增加额
    向中央银行借款净增加额
    向其他金融机构拆入资金净增加额
    收到原保险合同保费取得的现金
    收到再保险业务现金净额
    保户储金及投资款净增加额
    处置交易性金融资产净增加额
    收取利息、手续费及佣金的现金
    拆入资金净增加额
    回购业务资金净增加额
    收到的税费返还
    收到其他与经营活动有关的现金                      1,681,317.00           428,226.07
       经营活动现金流入小计                         900,661,580.92        766,953,459.83
    购买商品、接受劳务支付的现金                   872,493,252.17        685,667,375.88
    客户贷款及垫款净增加额
    存放中央银行和同业款项净增加额
    支付原保险合同赔付款项的现金
    支付利息、手续费及佣金的现金
    支付保单红利的现金
    支付给职工以及为职工支付的现金                  56,381,454.60         59,859,113.67
    支付的各项税费                                  74,593,434.17         47,391,317.73
    支付其他与经营活动有关的现金                    51,998,085.40         59,451,859.49
       经营活动现金流出小计                        1,055,466,226.34       852,369,666.77
         经营活动产生的现金流量净额                 -154,804,645.42        -85,416,206.94二、投资活动产生的现金流量:
    收回投资收到的现金
    取得投资收益收到的现金
    处置固定资产、无形资产和其他长期资产收
                                                        550,000.00                70,000.00回的现金净额
    处置子公司及其他营业单位收到的现金净额
    收到其他与投资活动有关的现金
       投资活动现金流入小计                             550,000.00                70,000.00
    购建固定资产、无形资产和其他长期资产支
                                                    140,130,229.07         78,426,740.94付的现金
    投资支付的现金
    质押贷款净增加额
    取得子公司及其他营业单位支付的现金净额
    支付其他与投资活动有关的现金
       投资活动现金流出小计                            140,130,229.07          78,426,740.94
         投资活动产生的现金流量净额                   -139,580,229.07          -78,356,740.94三、筹资活动产生的现金流量:
    吸收投资收到的现金
    其中:子公司吸收少数股东投资收到的现金
    取得借款收到的现金                                862,659,953.94        1,105,296,776.18
    发行债券收到的现金
    收到其他与筹资活动有关的现金
       筹资活动现金流入小计                            862,659,953.94        1,105,296,776.18
    偿还债务支付的现金                                854,340,623.24         824,234,487.62
    分配股利、利润或偿付利息支付的现金                 45,489,005.97          53,485,647.40
    其中:子公司支付给少数股东的股利、利润
    支付其他与筹资活动有关的现金                        2,742,599.45
       筹资活动现金流出小计                            902,572,228.66         877,720,135.02
         筹资活动产生的现金流量净额                    -39,912,274.72         227,576,641.16四、汇率变动对现金及现金等价物的影响
    五、现金及现金等价物净增加额                          -334,297,149.21          63,803,693.28
    加:期初现金及现金等价物余额                      496,993,677.37         592,442,490.58
    六、期末现金及现金等价物余额                           162,696,528.16         656,246,183.86公司法定代表人: 杨振兴 主管会计工作负责人:史霄 会计机构负责人:岳晗
                                母公司现金流量表
                                  2013 年 1—3 月编制单位: 山东博汇纸业股份有限公司
                                              单位:元 币种:人民币 审计类型:未经审计
                      项目                           本期金额                上期金额一、经营活动产生的现金流量:
    销售商品、提供劳务收到的现金                      645,610,640.24         749,707,727.87
    收到的税费返还
    收到其他与经营活动有关的现金                        1,588,724.50             409,001.09
       经营活动现金流入小计                            647,199,364.74         750,116,728.96
    购买商品、接受劳务支付的现金                      673,242,275.04         711,438,604.64
    支付给职工以及为职工支付的现金                     49,964,205.00          53,802,940.67
    支付的各项税费                                     48,863,784.92          30,879,746.33
    支付其他与经营活动有关的现金                       45,912,085.64          53,802,940.67
       经营活动现金流出小计                            817,982,350.60         849,924,232.31
         经营活动产生的现金流量净额                   -170,782,985.86          -99,807,503.35二、投资活动产生的现金流量:
    收回投资收到的现金
    取得投资收益收到的现金
    处置固定资产、无形资产和其他长期资产收                550,000.00回的现金净额
    处置子公司及其他营业单位收到的现金净额
    收到其他与投资活动有关的现金
       投资活动现金流入小计                              550,000.00
    购建固定资产、无形资产和其他长期资产支
                                                      34,637,380.85       7,484,856.58付的现金
    投资支付的现金
    取得子公司及其他营业单位支付的现金净额
    支付其他与投资活动有关的现金                     20,520,000.00
       投资活动现金流出小计                           55,157,380.85       7,484,856.58
         投资活动产生的现金流量净额                   -54,607,380.85      -7,484,856.58三、筹资活动产生的现金流量:
    吸收投资收到的现金
    取得借款收到的现金                              812,659,953.94    1,105,296,776.18
    发行债券收到的现金
    收到其他与筹资活动有关的现金
       筹资活动现金流入小计                          812,659,953.94    1,105,296,776.18
    偿还债务支付的现金                              814,340,623.24     824,234,487.62
    分配股利、利润或偿付利息支付的现金               43,864,476.30      52,239,825.04
    支付其他与筹资活动有关的现金                       2,742,593.17
       筹资活动现金流出小计                          860,947,692.71     876,474,312.66
         筹资活动产生的现金流量净额                   -48,287,738.77    228,822,463.52四、汇率变动对现金及现金等价物的影响
    五、现金及现金等价物净增加额                         -273,678,105.48    121,530,103.59
    加:期初现金及现金等价物余额                    398,496,163.58     364,515,621.23
    六、期末现金及现金等价物余额                         124,818,058.10     486,045,724.82公司法定代表人: 杨振兴 主管会计工作负责人:史霄 会计机构负责人:岳晗