深圳市桑达实业股份有限公司2002半年度报告摘要

    重要提示:公司董事会及董事保证本报告摘要所载资料不存在虚假记载、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。
董事李国栋先生、王敏先生因故未出席董事会会议,分别委托董事华龙兴先生、娄
春明先生代为行使表决权。公司半年度财务报告未经审计。
    本年度报告摘要的目的仅是为公众提供公司上半年的简要情况,报告全文同时
载于巨潮网www.cninfo.com.cn.投资者在作出重大决策之前,应当仔细阅读半年度
报告全文。
    
    

一、公司基本情况

    ㈠公司简介
    1、公司股票上市交易所:深圳证券交易所
    股票简称:深桑达A
    股票代码:000032
    2、公司董事会秘书:金涛
    电子信箱:jintao@sedind.com
    证券事务代表:李红梅
    联系地址:深圳市福田区振华路78号西二层
    联系电话:0755--83200636
    传   真:0755--83200639
    ㈡公司主要财务数据和指标

                                                       单位:人民币元
    项      目                      2002年1-6月        2001年1-6月
    净利润                          35,236,255.67       16,945,990.81
    扣除非经常性损益后的净利润      29,953,755.45       16,945,990.81
    每股收益                                 0.27                0.13
    净资产收益率 (%)                     11.72                6.54
    每股经营活动产生的现金流量净额           0.02                0.29
    项      目                       2002年6月30日     2001年12月31日
    股东权益(不含少数股东权益)     300,762,657.68      265,526,402.01
    每股净资产                               2.30                2.03
    调整后的每股净资产                       2.04                1.68

    (以上数据和指标以合并报表数填列)
    *注:扣除的非经常性损益项目包括:
    补贴收入3,300,000.00元;市政公共设施配套费减免收入 487,470.54元; 资
金占用费收入1,907,411.33元;其他营业外收入59,174.61 元; 其他营业外支出
121,703.28元;所得税影响349,852.98元。
    
    
二、股本变动和主要股东持股情况

    ㈠报告期内公司股份总数及结构未发生变动。
    ㈡报告期期末公司股东总数为21,809名。
    ㈢报告期期末公司前十大股东持股情况

       股东名称                 持股数量(股) 持股比例(%) 股份性质
    深圳桑达电子总公司              84,384,679     64.51        法人股
    深圳市龙岗区投资管理有限公司     7,409,036      5.66        国家股
    无锡市国联发展(集团)有限公司     2,718,282      2.08        法人股
    国信证券有限责任公司               482,000      0.37        流通股
    裕阳证券投资基金                   397,059      0.30        流通股
    王本秀                             168,000      0.13        流通股
    中国电子财务有限责任公司           165,850      0.13        流通股
    张香妹                             158,300      0.12        流通股
    宋敬忠                             151,500      0.12        流通股
    刘爱军                             149,914      0.11        流通股

    注:1、持有公司5%以上股份的股东,所持公司股份在报告期内未发生被质押、
冻结或托管的情况。
    2、 本公司第一大股东深圳桑达电子总公司与第七大股东中国电子财务有限责
任公司之间存在关联关系,同属于中国电子信息产业集团公司;第四大股东国信证券
有限责任公司与第五大股东裕阳证券投资基金之间存在关联关系, 裕阳证券投资基
金发起人之一是国信证券有限责任公司; 其他流通股股东之间是否存在关联关系未
知。
    ㈣报告期内公司控股股东未发生变化。
    
    
三、董事、监事、高级管理人员情况

    ㈠报告期内董事、监事和高级管理人员持股情况
    报告期内公司董事、监事、高级管理人员持有公司的股票未发生变动。
    ㈡报告期内公司董事、监事和高级管理人员变动情况
    2002年5月9日,公司2001年度股东大会审议通过同意傅新江先生辞去董事职务,
选举王敏先生为公司第三届董事会董事,选举杨淑雯女士、王捷先生为公司第三届
董事会独立董事。同日召开的董事会临时会议选举王敏先生为第三届董事会副董事
长(相关公告详见2002年5月10日《证券时报》、《中国证券报》)。
    
    
四、管理层讨论与分析

    ㈠主要指标的重大变化及原因
    1、报告期内公司主要财务数据的变动情况           单位:人民币元

    项    目               2002年1-6月     2001年1-6月    增减变动(%)
    主营业务收入           803,915,459.87    884,833,416.30       -9.14
    主营业务利润            71,364,960.63     60,988,554.18        17.01
    净利润                  35,236,255.67     16,945,990.81       107.93
    现金及现金等价物的
    净增加额              -28,113,144.15     29,391,006.81     -195.65
    项    目              2002年6月30日   2001年6月30日    增减变动(%)
    总资产                 906,586,036.23    893,896,557.56         1.42
    股东权益               300,762,657.68    265,526,402.01        13.27

    2、本报告期内公司主要财务数据的变动原因
    ①主营业务收入同比下降9.14%, 原因为本公司销售的飞利浦手机型号改变,
在销量持平的情况下,单台价格比去年同期有一定幅度下调。
    ②主营业务利润比去年同期增长17.01%,原因为销售的产品型号变化,毛利率
上升,电子元器件类产品销售的增长,主营业务成本下降,致使主营业务利润上升。
    ③净利润较上年同期增长107.93%, 主要系本公司报告期内从参股公司深圳桑
菲消费通信有限公司分得2001年度股利2008.10万元所致。
    ④现金及现金等价物的净增加额比上年同期下降195.65%, 主要原因是本期货
款回笼较好,在保证生产经营的同时归还了部分流动资金贷款;另外本公司上年同
期房地产项目—御庭园处于销售回款期,而本期房地产项目为投入期,导致现金及
现金等价物的净增加额比上年同期下降幅度较大。
    ⑤总资产较年初微升1.42%, 原因为本期本公司之控股子公司深圳桑达房地产
开发有限公司的棕榈湾房地产项目开发投入及本期预付款增加所致。
    ⑥股东权益较年初增加13.27%,原因为本期实现利润增加本期股东权益。
    ㈡报告期经营情况
    1、本公司主营业务有电子设备、电子元器件、电子消费通信产品的生产、 销
售及房地产开发。报告期内公司主营业务收入803,915,459.87元,同比下降9.14%;
净利润35,236,255.67元,同比增长107.93%。报告期内彩电回扫变压器、 商业收
款机的产量与去年同期相比都增长30%以上;网络产品的销售量与去年同期相比有
了显著的提高;销售手机约36万部,与去年同期相当;房地产“棕榈湾”项目开发
面积2.1万平方米,预计在9月底封顶预售;高速公路紧急电话系统项目及手机电池、
动力电池项目发展势头良好。
    2、报告期内公司主营业务收入、主营业务成本按行业、产品的构成情况如下

    按行业、产品 :                     单位:人民币元
    项  目              主营业务收入         主营业务成本
    电子元器件         119,245,694.83       107,086,781.07
    电子设备           174,686,352.52       154,615,268.48
    通信产品           487,074,873.07       457,783,639.01
    房地产及房产租赁    19,726,188.50        10,338,605.06
    劳务                 3,182,350.95         1,384,917.19
    合    计           803,915,459.87       731,209,210.81

    3、报告期内公司主营业务较前一报告期未发生变化。
    4、对报告期净利润产生重大影响的其他经营业务
    报告期内本公司从参股公司深圳桑菲消费通信有限公司分得2001年度股利2008.
10万元。
    ㈢公司报告期投资情况
    1、报告期内公司无募集资金或以前期间募集资金的使用延续到报告期的情况。
    2、报告期内公司无重大非募集资金投资项目。
    ㈣公司未曾披露过报告期的盈利预测。
    ㈤公司下半年经营计划
    公司将根据全年度经营计划,在扶持和抓好重点项目的同时做好以下几方面工
作:
    1、继续对网络产品项目的发展给予关注和支持;
    2、支持税控收款机、手机电池、动力电池、电子警察、 高速公路紧急电话等
处在成长时期的项目在稳定质量、完善功能的同时,加大市场拓展力度,扩大销售
2量,提高市场占有率;
    3、积极支持和配合桑菲公司手机的经营以及商贸公司多种品牌手机的营销;
    4、继续贯彻“有进有退”、“有所为有所不为”的方针, 加强产业结构调整
和改革力度。
    
    
五、重要事项

    ㈠利润分配方案的执行情况
    公司2001年度利润分配方案经2002年5月9日召开的公司2001年度股东大会审议
通过并在报告期内实施。每10股派发1.00元(含税),计13,081,200元。公司已于
2002年6月20日在《证券时报》、《中国证券报》公布了派息公告, 股权登记日为
2002年6月26日,除息日为2002年6月27日。
    ㈡报告期内公司未发生及以前期间发生但持续到报告期的重大诉讼、仲裁事项。
    ㈢报告期内公司未发生及以前期间发生但持续到报告期的重大资产收购、出售
或处置以及企业收购兼并事项。
    ㈣报告期内公司无重大关联交易事项。
    ㈤重大合同事项
    1、报告期内公司未发生及以前期间发生但持续到报告期的重大托管、 承包、
租赁其他公司资产或其他公司托管、承包、租赁公司的事项。
    2、报告期内公司未发生及以前期间发生但持续到报告期的重大担保合同事项。
    3、 报告期内公司未发生及以前期间发生但持续到报告期的重大委托他人进行
现金资产管理事项。
    ㈥报告期内公司或持有公司股份5%以上(含5%)的股东未发生对公司经营成
果、财务状况可能产生重要影响的承诺事项。
    ㈦报告期内公司没有发生未曾在临时报告中披露过的其他重要事项。
    
    
六、财务报告(未经审计)

    ㈠会计报表(附后)
    1、资产负债表
    2、利润及利润分配表
    3、现金流量表
    ㈡会计报表附注
    1、报告期内公司执行的会计政策、会计估计、 会计核算方法与上年度相比无
重大变化。
    2、合并报表范围无重大变化。
    
    
七、备查文件

    ㈠载有董事长签名的半年度报告文本;
    ㈡载有单位负责人、主管会计工作负责人、会计机构负责人签名并盖章的财务
报告文本;
    ㈢报告期内在中国证监会指定报刊上公开披露过的所有文件文本;
    ㈣《公司章程》文本;
    ㈤其他有关资料。
    
深圳市桑达实业股份有限公司
    董   事    会
    二OO二年八月十七日


                                     资产负债表
    编制单位:深圳市桑达实业股份有限公司                       单位:人民币元
                                           2002年6月30日     2001年12月31日
             资产类          附注               合并              合并     
    流动资产:                                                              
    货币资金                 五.1          137,221,036.39    165,334,180.54
    短期投资                 五.2            2,907,901.92      3,013,120.66
    应收票据                 五.2            8,642,773.28      9,696,746.27
    应收股利                                                               
    应收利息                                                               
    应收账款                 五.4          147,049,357.02    133,020,874.50
    其他应收款               五.5           55,086,764.49     62,525,895.34
    预付账款                 五.6           67,879,968.71     33,539,772.69
    应收补贴款                                                             
    存货                     五.7          244,080,633.23    243,932,507.49
    待摊费用                 五.8              818,477.07      1,063,889.46
    一年内到期的长期债权投资                                               
    其他流动资产                                                           
    流动资产合计                           663,686,912.11    652,126,986.95
    长期投资                                                               
    长期股权投资             五.9           55,437,987.65     54,650,548.00
    长期债权投资                                                           
    长期投资合计                            55,437,987.65     54,650,548.00
    固定资产                                                               
    固定资产原价             五.10         255,825,706.79    249,323,292.49
    减累计折旧               五.10          85,429,245.10     78,771,252.48
    固定资产净值             五.10         170,396,461.69    170,552,040.01
    减:固定资产减值准备                      1,474,159.55      1,474,159.55
    固定资产净额                           168,922,302.14    169,077,880.46
    工程物资                                                               
    在建工程                 五.11           1,545,876.44      1,167,423.10
    固定资产清理                                                           
    固定资产合计                           170,468,178.58    170,245,303.56
    无形资产及其他资产                                                     
    无形资产                 五.12          10,986,264.25     11,420,351.09
    长期待摊费用             五.13           6,006,693.64      5,453,367.96
    其他长期资产                                                           
    无形资产及其他资产合计                  16,992,957.89     16,873,719.05
    递延税项                                                               
    递延税款借项                                                           
    资产总计                               906,586,036.23    893,896,557.56
    负债和股东权益                                                         
    短期借款                 五.14         201,400,000.00    243,900,000.00
    应付票据                 五.15          10,660,000.00      3,000,000.00
    应付账款                 五.16         162,567,870.36    169,416,200.00
    预收账款                 五.17          57,502,909.78     39,496,956.22
    应付工资                                   494,401.85      1,379,659.26
    应付福利费                               6,221,642.68      5,350,387.90
    应付股利                                                  13,081,200.00
    应交税金                 五.18          -7,818,421.09      3,018,348.34
    其他应交款                                                             
    其他应付款               五.19          67,339,533.08     65,539,146.07
    预提费用                 五.20           5,838,005.50      1,914,205.49
    预计负债                                                               
    一年内到期的长期负债                                                   
    其他流动负债                                                           
    流动负债合计                           504,205,942.16    546,096,103.28
    长期负债                                                               
    长期借款                 五.21          15,600,000.00      1,000,000.00
    应付债券                                                               
    长期应付款               五.22          49,000,000.00     49,000,000.00
    专项应付款                                                             
    其他长期负债                                                           
    长期负债合计                            64,600,000.00     50,000,000.00
    递延税项                                                               
    递延税款贷项                                                           
    负债合计                               568,805,942.16    596,096,103.28
    少数股东权益                            37,017,436.39     32,274,052.27
    股东权益                                                               
    股本                     五.23         130,812,000.00    130,812,000.00
    资本公积                 五.24          77,413,487.35     77,413,487.35
    盈余公积                 五.25          56,923,004.45     56,923,004.45
    其中公益金                              11,542,202.91     11,542,202.91
    未分配利润                              35,614,165.88        377,910.21
    股东权益合计                           300,762,657.68    265,526,402.01
    负债和股东权益总计                     906,586,036.23    893,896,557.56

                                            2002年6月30日    2001年12月31日
             资产类          附注               公司              公司     
    流动资产:                                                              
    货币资金                 五.1           37,504,734.78     29,801,916.44
    短期投资                 五.2              399,780.00      1,003,994.00
    应收票据                 五.2                                          
    应收股利                                                               
    应收利息                                                               
    应收账款                 五.4           14,490,012.03      8,438,586.08
    其他应收款               五.5          116,130,601.70    156,225,711.30
    预付账款                 五.6           28,800,734.65     16,416,634.01
    应收补贴款                                                             
    存货                     五.7              287,804.43        575,522.87
    待摊费用                 五.8                                          
    一年内到期的长期债权投资                                               
    其他流动资产                                                           
    流动资产合计                           197,613,667.59    212,462,364.70
    长期投资                                                               
    长期股权投资             五.9          262,867,720.11    245,583,950.06
    长期债权投资                                                           
    长期投资合计                           262,867,720.11    245,583,950.06
    固定资产                                                               
    固定资产原价             五.10          93,650,956.15     93,347,336.15
    减累计折旧               五.10          16,823,638.45     15,312,617.72
    固定资产净值             五.10          76,827,317.70     78,034,718.43
    减:固定资产减值准备                                                    
    固定资产净额                            76,827,317.70     78,034,718.43
    工程物资                                                               
    在建工程                 五.11                                         
    固定资产清理                                                           
    固定资产合计                            76,827,317.70     78,034,718.43
    无形资产及其他资产                                                     
    无形资产                 五.12           9,004,798.81      9,232,404.55
    长期待摊费用             五.13             518,942.30                  
    其他长期资产                                                           
    无形资产及其他资产合计                   9,523,741.11      9,232,404.55
    递延税项                                                               
    递延税款借项                                                           
    资产总计                               546,832,446.51    545,313,437.74
    负债和股东权益                                                         
    短期借款                 五.14         155,000,000.00    200,000,000.00
    应付票据                 五.15                                         
    应付账款                 五.16          14,340,978.71      6,147,910.81
    预收账款                 五.17          23,151,642.44     12,162,680.72
    应付工资                                                               
    应付福利费                                 850,687.46        841,983.06
    应付股利                                                  13,081,200.00
    应交税金                 五.18             156,000.44        129,172.14
    其他应交款                                                             
    其他应付款               五.19          52,528,652.28     47,320,220.00
    预提费用                 五.20              41,827.50        103,869.00
    预计负债                                                               
    一年内到期的长期负债                                                   
    其他流动负债                                                           
    流动负债合计                           246,069,788.83    279,787,035.73
    长期负债                                                               
    长期借款                 五.21                                         
    应付债券                                                               
    长期应付款               五.22                                         
    专项应付款                                                             
    其他长期负债                                                           
    长期负债合计                                                           
    递延税项                                                               
    递延税款贷项                                                           
    负债合计                               246,069,788.83    279,787,035.73
    少数股东权益                                                           
    股东权益                                                               
    股本                     五.23         130,812,000.00    130,812,000.00
    资本公积                 五.24          77,413,487.35     77,413,487.35
    盈余公积                 五.25          56,923,004.45     56,923,004.45
    其中公益金                              11,542,202.91     11,542,202.91
    未分配利润                              35,614,165.88        377,910.21
    股东权益合计                           300,762,657.68    265,526,402.01
    负债和股东权益总计                     546,832,446.51    545,313,437.74

                              利润及利润分配表
    编制单位:深圳市桑达实业股份有限公司                       单位:人民币元
                                           2002.1.1—         2001.1.1—
                                           2002.6.30          2001.6.30
             项目           附注             合并                 合并     
    一.主营业务收入         五.26          803,915,459.87    884,833,416.30
    减主营业务成本          五.26          731,209,210.81    822,746,003.21
    主营业务税金及附加                       1,341,288.43      1,098,858.91
    二.主营业务利润                         71,364,960.63     60,988,554.18
    加其他业务利润          五.27            6,366,088.12      4,001,418.06
    减营业费用                              25,959,677.58     15,730,028.59
    管理费用                                32,500,153.08     24,439,729.44
    财务费用                五.28            6,672,012.89      9,273,174.22
    三.营业利润                             12,599,205.20     15,547,039.99
    加投资收益              五.29           19,942,174.38      3,356,650.01
    补贴收入                五.20            3,300,000.00                  
    营业外收入              五.31            5,875,638.90     11,669,301.28
    减营业外支出            五.32            2,689,616.72      9,318,422.76
    四.利润总额                             39,027,401.76     21,254,568.52
    减所得税                                 2,927,761.45      1,924,465.92
    少数股东损益                               863,384.64      2,384,111.79
    五.净利润                               35,236,255.67     16,945,990.81
    加年初未分配利润                           377,910.21                  
    其他转入                                                               
    六.可分配的利润                         35,614,165.88     16,945,990.81
    减:提取法定盈余公积                                                    
    提取法定公益金                                                         
    提取职工奖励及福利基金                                                 
    提取储备基金                                                           
    提取企业发展基金                                                       
    利润归还投资                                                           
    七.可供投资者分配的利润                 35,614,165.88     16,945,990.81
    减应付优先股股利                                                       
    提取任意盈余公积金                                                     
    应付普通股股利                                                         
    转作股本的普通股股利                                                   
    八.未分配利润                           35,614,165.88     16,945,990.81

                                             2002.1.1—        2001.1.1—
                                             2002.6.30         2001.6.30
             项目           附注               公司                 公司   
    一.主营业务收入         五.26           61,826,925.96     52,787,348.47
    减主营业务成本          五.26           50,355,137.80     43,458,360.22
    主营业务税金及附加                         300,846.96        297,455.73
    二.主营业务利润                         11,170,941.20      9,031,532.52
    加其他业务利润          五.27              779,798.22        983,666.80
    减营业费用                                 193,900.10         29,500.00
    管理费用                                 8,964,777.74      8,370,707.20
    财务费用                五.28            3,049,896.30      3,728,631.04
    三.营业利润                               -257,834.72     -2,113,638.92
    加投资收益              五.29           35,494,090.39     19,059,629.73
    补贴收入                五.20                                          
    营业外收入              五.31                                          
    减营业外支出            五.32                                          
    四.利润总额                             35,236,255.67     16,945,990.81
    减所得税                                                               
    少数股东损益                                                           
    五.净利润                               35,236,255.67     16,945,990.81
    加年初未分配利润                           377,910.21                  
    其他转入                                                               
    六.可分配的利润                         35,614,165.88     16,945,990.81
    减:提取法定盈余公积                                                    
    提取法定公益金                                                         
    提取职工奖励及福利基金                                                 
    提取储备基金                                                           
    提取企业发展基金                                                       
    利润归还投资                                                           
    七.可供投资者分配的利润                 35,614,165.88     16,945,990.81
    减应付优先股股利                                                       
    提取任意盈余公积金                                                     
    应付普通股股利                                                         
    转作股本的普通股股利                                                   
    八.未分配利润                           35,614,165.88     16,945,990.81

                                        现金流量表
    编制单位:深圳市桑达实业股份有限公司                       单位:人民币元
                                                     2002年1-6月
                   项目                         合并              公司   
    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             912,183,930.96     69,497,926.03
    收到的税费返还                          10,163,429.62     10,163,429.62
    收到的其他与经营活动有关的现金           3,500,000.00                  
    现金流入小计                           925,847,360.58     79,661,355.65
    购买商品接受劳务支付的现金             845,256,009.17     62,274,023.99
    支付给职工以及为职工支付的现金          22,502,893.01      4,434,478.50
    支付的各项税费                          17,972,672.98        712,707.91
    支付的其他与经营活动有关的现金          36,988,689.73      4,608,616.48
    现金流出小计                           922,720,264.89     72,029,826.88
    经营活动产生的现金流量净额               3,127,095.69      7,631,528.77
    二、投资活动产生的现金流量                                             
    收回投资所收到的现金                     2,135,857.12        656,514.34
    取得投资收益所收到的现金                20,238,034.35     20,641,000.00
    处置固定资产无形资产和其他长期资产                                     
    所收回的现金净额                           766,054.00                  
    收到的其他与投资活动有关的现金                                         
    现金流入小计                            23,139,945.47     21,297,514.34
    购建固定资产无形资产和其他长期资产                                     
    所支付的现金                             6,410,548.70        303,620.00
    投资所支付的现金                         4,232,980.00      2,482,980.00
    支付的其他与投资活动有关的现金                                         
    现金流出小计                            10,643,528.70      2,786,600.00
    投资活动产生的现金流量净额              12,496,416.77     18,510,914.34
    三、筹资活动产生的现金流量                                             
    吸收投资所收到的现金                     4,116,000.00                  
    借款所收到的现金                        95,100,000.00     65,000,000.00
    收到的其他与筹资活动有关的现金           1,698,250.15     42,626,624.08
    现金流入小计                           100,914,250.15    107,626,624.08
    偿还债务所支付的现金                   123,000,000.00    110,000,000.00
    分配股利利润或偿付利息所支付的现金      21,309,476.55     16,048,146.64
    支付的其他与筹资活动有关的现金             341,430.21         18,102.21
    现金流出小计                           144,650,906.76    126,066,248.85
    筹资活动产生的现金流量净额             -43,736,656.61    -18,439,624.77
    四、汇率变动对现金的影响                                               
    五、现金及现金等价物净增加额           -28,113,144.15      7,702,818.34
    1.将净利润调整为经营活动现金流量                                       
    净利润                                  35,236,255.67     35,236,255.67
    加少数股东损益                             863,384.64              0.00
    加计提的资产减值准备                     1,187,489.71      1,449,436.00
    固定资产折旧                             6,800,492.62      1,511,020.73
    无形资产摊销                               434,086.84        227,605.74
    长期待摊费用摊销                           734,957.97              0.00
    待摊费用减少减增加                         245,412.39              0.00
    预提费用增加减减少                       3,923,800.01        -62,041.50
    处置固定资产无形资产和其它                                             
    长期资产的损失减收益                                                   
    固定资产报废损失                                                       
    财务费用                                 6,672,012.89      3,049,896.30
    投资损失减收益                         -21,580,680.38    -36,943,526.39
    递延税款贷项减借项                                                     
    存货的减少减增加                           323,529.47        287,718.44
    经营性应收项目的减少减增加             -40,099,397.35    -14,264,285.87
    经营性应付项目的增加减减少               8,385,751.21     17,139,449.65
    其它                                                                   
    经营活动产生的现金流量净额               3,127,095.69      7,631,528.77
    2.不涉及现金收支的投资和筹资活动                                       
    债务转为资本                                                           
    一年内到期的可转换公司债券                                             
    融资租入固定资产                                                       
    3.现金及现金等价物净增加情况                                           
    现金的期末余额                         137,221,036.39     37,504,734.78
    减现金的期初余额                       165,334,180.54     29,801,916.44
    加现金等价物的期末余额                                                 
    减现金等价物的期初余额                                                 
    现金及现金等价物的净增加额             -28,113,144.15      7,702,818.34



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