宏源证券股份有限公司2002年年度报告


    重要提示
    本公司董事会及其董事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。
    陈维中董事、夏乾元董事、邓小刚董事因工作原因,未能亲自出席公司第三届董
事会第十八次会议,书面委托其他董事代行表决。
    本公司年度财务报告已经深圳鹏城会计师事务所和普华永道会计师事务所分别按
照国内和国际审计准则审计并出具了标准无保留意见的审计报告。
    本公司董事长田国立先生、总经理何加武先生、财务总监许建平先生及财务会计
部总经理张延强先生声明:保证本年度报告中财务报告真实、完整。
    宏源证券股份有限公司董事会
    目录
    第一章公司基本情况简介
    第二章会计数据和业务数据摘要
    第一节主要利润指标
    第二节前三年主要会计数据和财务指标
    第三节境内、外重要财务数据差异调节表及差异原因
    第四节按8号编报准则计算的前三年主要会计数据和财务指标
    第五节每股收益和净资产收益率
    第六节报告期内股东权益变动情况
    第七节按证券公司年报编报准则要求披露的财务状况指标及经营成果指标
    第三章股本变动及股东情况
    第一节股本变动情况
    第二节股东情况介绍
    第四章董事、监事、高级管理人员和员工情况
    第一节董事、监事、高级管理人员情况
    第二节公司员工情况
    第五章公司治理结构
    第一节公司治理情况
    第二节独立董事履行职责的情况
    第三节公司与控股股东“五分开”情况
    第四节高级管理人员考评及激励机制
    第六章股东大会情况简介
    宏源证券股份有限公司2002 年年度报告
    第一节股东大会召开情况
    第二节董事、监事变更情况
    第七章董事会报告
    第一节公司经营成果及财务状况简要分析
    第二节公司经营情况
    第三节公司投资情况
    第四节公司财务状况
    第五节国家宏观政策、法规对公司的重要影响
    第六节新年度的经营计划
    第七节董事会日常工作情况
    第八节利润分配
    第九节其他报告事项
    第八章监事会报告
    第一节监事会会议情况
    第二节监事会独立工作意见
    第九章重要事项
    第十章财务报告
    第一节境内审计报告
    第二节境外审计报告
    第十一章备查文件目录
    宏源证券股份有限公司2002 年年度报告
    

第一章公司基本情况简介

    一、公司的法定中文名称:宏源证券股份有限公司
    公司的法定英文名称:Hong Yuan Securities Co.,Ltd
    缩写:宏源证券
    二、公司法定代表人:田国立
    公司总经理:何加武
    三、公司董事会秘书:于帆
    证券事务代表:高丽娟
    联系地址:新疆乌鲁木齐市建设路2 号宏源大厦八楼
    联系电话:0991-2301870
    联系传真:0991-2301779
    四、公司注册地址:新疆乌鲁木齐市建设路2 号
    公司办公地址:新疆乌鲁木齐市建设路2 号宏源大厦八楼
    邮编:830002
    公司网址:http://www.ehongyuan.com
    公司电子信箱:hyxtdshj@mail.xj.cninfo.net
    五、公司选定的信息披露报刊:《证券时报》、《中国证券报》、《上海证券报

    登载公司年度报告的国际互联网网址:http://www.cninfo.com.cn
    公司年度报告备置地点:公司董事会秘书处
    六、公司股票上市交易所:深圳证券交易所
    股票简称:宏源证券
    股票代码:000562
    七、公司注册资本:51874.515 万元
    八、其他资料:
    1.公司首次注册登记日期:1993 年5 月25 日
    地址:乌鲁木齐市新华北路2 号
    2.变更注册登记日期:1996 年4 月15 日
    地址:乌鲁木齐市文艺路2 号
    日期:1998 年2 月12 日
    地址:乌鲁木齐市建设路2 号
    日期:2000 年9 月21 日
    地址:乌鲁木齐市建设路2 号
    日期:2001 年9 月27 日
    地址:乌鲁木齐市建设路2 号
    3.《企业法人营业执照》注册号码:6500001000031
    4. 税务登记号码:国税字650102228593068
    地税字650102228593068
    5. 公司聘请的会计师事务所名称:深圳鹏城会计师事务所
    办公地址:深圳市罗湖区东门南路2006 号宝丰大厦
    
第二章会计数据和业务数据摘要

    
第一节主要利润指标

    单位:元
项目                                      境内审计           境外审计
1.利润总额                              54,004,268        -51,032,000
2.净利润                                39,589,276        -75,374,000
3.扣除非经常性损益后的净利润            39,443,262        -75,374,000
4.主营业务利润                         222,363,729        -62,666,000
5.其他业务利润                          23,549,147         26,832,000
6.营业利润                              70,229,060        -54,888,000
7.投资收益                              36,841,614          3,856,000
8.补贴收入                                      --                 --
9.营业外收支净额                           146,014                 --
10.经营活动产生的现金流量净额         -424,125,946       -234,546,000
11.现金及现金等价物净增加额           -646,943,456       -474,781,000
    注:扣除非经常性损益的项目、涉及金额:营业外收支净额146,014 元。
    
第二节前三年主要会计数据和财务指标

    一、按照中华人民共和国企业会计准则和制度编制,公司前三年主要会计数据和
财务指标
    单位:元
2001                                                    年2000年
-                                                              -
1.主营业务收入                                       311,876,426
2.净利润                                              39,589,276
3.总资产                                           5,846,009,383
4.股东权益                                           639,730,194
5.每股收益                                                     0.0763
6.每股净资产                                                   1.233
7.调整后的每股净资产                                           1.182
8.每股经营活动产                                              -0.817
生的现金流量净额
9.净资产收益率%                                                6.19
10.加权平均净资产                                              6.39
收益率%
2001                                项目                  2002年
-                                 调整后                  调整前
1.主营业务收入               325,458,736             321,320,708
2.净利润                      37,545,149              44,942,881
3.总资产                   5,728,281,281           5,728,281,281
4.股东权益                   600,140,918             607,538,651
5.每股收益                             0.0724                  0.0867
6.每股净资产                           1.156                   1.171
7.调整后的每股净资产                   1.095                   1.101
8.每股经营活动产                      -0.09                   -0.09
生的现金流量净额
9.净资产收益率%                        6.26                    7.40
10.加权平均净资产                      6.46                    7.68
收益率%
2001
-                                调整后                   调整前
1.主营业务收入              342,718,700              342,718,700
2.净利润                     75,573,130               81,769,700
3.总资产                  5,009,130,666            5,092,419,600
4.股东权益                  562,595,769              646,137,600
5.每股收益                            0.1457                   0.1576
6.每股净资产                          1.0846                   1.246
7.调整后的每股净资产                  1.012                    1.137
8.每股经营活动产                      3.624                    3.624
生的现金流量净额
9.净资产收益率%                      13.44         12.66
10.加权平均净资产                    13.58                    12.96
收益率%
    二、按照国际通行会计准则编制,公司前三年主要会计数据和财务指标
    单位:元
项目                                                       2002年
1.主营业务收入                                        340,267,000
2.净利润                                              -75,374,000
3.总资产                                            3,852,675,000
4.股东权益                                            532,718,000
5.每股收益                                                     -0.15
6.每股净资产                                                    1.027
7.调整后的每股净资产                                            1.027
8.每股经营活动产生的现金                                       -0.452
流量净额
9.净资产收益率%                                               -14.15
10.加权平均净资产收益率%                                      -13.21
项目                                                       2001年
1.主营业务收入                                        292,096,000
2.净利润                                              -75,934,000
3.总资产                                            3,616,448,000
4.股东权益                                            608,092,000
5.每股收益                                                     -0.15
6.每股净资产                                                    1.172
7.调整后的每股净资产                                            1.111
8.每股经营活动产生的现金                                       -0.339
流量净额
9.净资产收益率%                                               -12.49
10.加权平均净资产收益率%                                      -11.53
项目                                                       2000年
1.主营业务收入                                        707,096,000
2.净利润                                              333,202,000
3.总资产                                            5,117,761,000
4.股东权益                                            709,963,000
5.每股收益                                                      0.64
6.每股净资产                                                    1.369
7.调整后的每股净资产                                            1.297
8.每股经营活动产生的现金                                        2.197
流量净额
9.净资产收益率%                                                46.94
10.加权平均净资产收益率%                                       46.94
    
第三节境内、外重要财务数据差异调节表及差异原因

    一、差异调节表
    单位:千元
-                                         净利润                    -
-                                           2002                 2001
-                                     人民币千元           人民币千元
法定会计报表金额                          39,589               44,943
法定会计报表重编                               -               (7,398)
法定会计报表重编后之金额                  39,589               37,545
未实现短期投资收益及未计提利息          (111,655)            (135,864)
合并营业部范围引起的差异                   6,762              (18,491)
其他                                     (10,070)              40,876
按国际会计准则重编后之金额               (75,374)             (75,934)
-                                           -  净资产
-                                           2002                 2001
-                                     人民币千元           人民币千元
法定会计报表金额                         639,730             607,539
法定会计报表重编                               -              (7,398)
法定会计报表重编后之金额                 639,730             600,141
未实现短期投资收益及未计提利息           (82,140)             29,515
合并营业部范围引起的差异                 (11,729)            (18,491)
其他                                     (13,143)             (3,073)
按国际会计准则重编后之金额               532,718             608,092
    二、差异产生的原因
    1、未实现短期投资收益及未计提利息法定会计报表下为交易而持有的投资按成本
与市场价孰低计量,而根据国际会计准则编制财务报表按公允值计价。法定会计报表
下以受托资金购买的投资,以成本计量。其买卖差价按各客户本金比例确认在资产负
债表中的各客户的受托资金中,并于委托合同到期日将已实现的损益扣除按合同约定
的应支付客户的利息后确认在利润表中;根据国际会计准则编制财务报表,考虑有关
合同的性质,受托资金根据本金及约定的利率在时间比例的基础上确认为利息支出,
以受托资金购买的投资确认为集团自身的为交易而持有的投资,按公允值计价,其公
允值的变动而引起的已实现及未实现的盈亏均反映在当期的利润表中。
    2、合并营业部范围引起的差异法定会计报告按被收购营业部取得营业执照日作为
合并日,而根据国际会计准则编制财务报表以实际的取得控制权日作为合并营业部的
日期。
    
第四节按8号编报准则计算的前三年主要会计数据和财务指标

    单位:元
项目                                                           2002年
流动资产                                             5,251,832,932.97
代买卖证券款                                         1,920,695,873.07
受托资金                                             1,432,601,337.63
流动负债                                             5,046,279,188.61
净资本                                                 229,180,576.10
营业收入                                               337,831,931.58
手续费收入                                             101,179,896.36
自营证券差价收入                                        47,795,916.37
证券发行收入                                            13,807,000.00
营业支出                                               304,444,484.85
净资产负债率%                                                  289.65
-                                       2001年
项目                                 调整后                    调整前
流动资产                   5,169,979,935.72          5,169,979,935.72
代买卖证券款               2,069,565,118.79          2,069,565,118.79
受托资金                   1,548,478,534.21          1,548,478,534.21
流动负债                   5,028,140,362.58          5,020,742,630.27
净资本                       212,338,048.40            239,512,900.00
营业收入                     332,124,290.22            331,963,101.49
手续费收入                   101,912,587.61            101,912,587.61
自营证券差价收入             156,955,246.40            156,955,246.40
证券发行收入                   6,188,000.00              6,188,000.00
营业支出                     282,397,324.39            316,481,451.84
净资产负债率%                        251.62                    247.35
项目                                                           2000年
流动资产                                             4,544,559,485.43
代买卖证券款                                         1,720,377,839.70
受托资金                                             1,012,989,942.11
流动负债                                             4,936,388,042.71
净资本                                                 259,074,000.00
营业收入                                               355,458,056.58
手续费收入                                             174,767,697.14
自营证券差价收入                                       124,034,206.96
证券发行收入                                             5,747,461.76
营业支出                                               274,622,691.07
净资产负债率%                                                  304.52
    
第五节每股收益和净资产收益率

                               净资产收益率%
报告期利润                全面摊薄               加权平均
主营业务利润                 34.76                  35.87
营业利润                     10.98                  11.33
净利润                        6.19                   6.39
扣除非经常性损                6.17                   6.37
益后的净利润
                    每股收益(元/股)
报告期利润                全面摊薄                 加权平均
主营业务利润                0.4287                   0.4287
营业利润                    0.1354                   0.1354
净利润                      0.0763                   0.0763
扣除非经常性损              0.0761                   0.0761
益后的净利润
    注:计算公式如下:
    (1)全面摊薄净资产收益率= 报告期利润÷ 期末净资产
    (2)全面摊薄每股收益= 报告期利润÷ 期末股份总数
    (3)加权平均净资产收益率(ROE)=P/(EO+NP÷2+Ei×Mi÷MO-Ej×Mj÷MO)
    其中:P 为报告期利润;NP 为报告期净利润;EO 为期初净资产;Ei 为报告期发
行新股或债转股等新增净资产;Ej 为报告期回购或现金分红等减少净资产;MO 为报
告期月份数;Mi 为新增净资产下一月份起至报告期期末的月份数;Mj 为减少净资产
下一月份起至报告期期末的月份数。
    (4)加权平均每股收益(EPS)=P/(SO+S1+Si×Mi÷MO-Sj×Mj÷MO)
    其中:P 为报告期利润;SO 为期初股份总数;S1 为报告期因公积金转增股本或
股票股利分配等增加股份数;Si 为报告期因发行新股或债转股等增加股份数;Sj 为
报告期因回购或缩股等减少股份数;MO 为报告期月份数;Mi 为增加股份下一月份起
至报告期期末的月份数;Mj 为减少股份下一月份起至报告期期末的月份数。
    
第六节报告期内股东权益变动情况

    单位:元
项目                                           股本          一般风险准备
期初数                               518,745,150.00         11,311,827.92
本期增加                                         --          3,958,927.61
本期减少                                         --                    --
期末数                               518,745,150.00         15,270,755.53
变动原因                                        ---            按净利计提
项目                                       资本公积              盈余公积
期初数                                14,041,433.68          8,866,230.83
本期增加                                         --          3,958,927.61
本期减少                                         --                    --
期末数                                14,041,433.68         12,825,158.44
变动原因                                         --            按净利计提
项目                                     法定公益金            未分配利润
期初数                                19,017,414.01         28,158,861.85
本期增加                               1,979,463.81         39,589,276.10
本期减少                                         --          9,897,319.03
期末数                                20,996,877.82         57,850,818.92
变动原因                                 按净利计提            提取公积金
项目                                                         股东权益合计
期初数                                                     600,140,918.29
本期增加                                                    49,486,595.13
本期减少                                                     9,897,319.03
期末数                                                     639,730,194.39
变动原因                                                              ---
    
第七节按证券公司年报编报准则要求披露的财务状况指标及经营成果指标

    一、财务状况指标
    表一
项目                       年末数           年初数        增减比例%
资产负债率%                 73.33            71.21              2.98
净资产负债率%              274.97           214.35             28.28
净资本比率%                 11.53            15.94            -27.67
流动比率%                  102.56           101.19              1.35
自营权益类证券比例%         62.80            49.85             25.98
长期投资比例%               32.61            34.25             -4.79
固定资本比率%               58.85            51.93             13.33
    表二
    单位:元
项目                                                           年末数
银行存款                                             1,904,613,131.41
清算备付金                                             172,833,455.19
应收款项                                               198,783,565.13
坏帐准备                                                27,774,896.73
自营证券                                             1,310,149,193.94
自营证券跌价准备                                        27,865,527.30
受托资产                                             1,422,474,148.31
长期资产                                               370,691,468.81
资产总额                                             2,398,847,496.39
代买卖证券款                                         1,921,713,401.14
受托资金                                             1,432,601,337.63
流动负债合计                                         1,599,117,302.00
负债总额                                             1,759,117,302.00
净资本                                                 229,180,576.10
实收资本                                               518,745,150.00
未分配利润                                              57,850,818.92
项目                                                           年初数
银行存款                                             2,644,256,697.23
清算备付金                                             121,804,517.04
应收款项                                               649,966,400.50
坏帐准备                                                16,732,680.79
自营证券                                               357,402,407.23
自营证券跌价准备                                         1,421,142.19
受托资产                                             1,023,669,187.30
长期资产                                               348,267,328.26
资产总额                                             1,885,301,069.84
代买卖证券款                                         2,069,565,118.79
受托资金                                             1,548,478,534.21
流动负债合计                                         1,185,160,141.55
负债总额                                             1,285,160,141.55
净资本                                                 212,338,048.40
实收资本                                               518,745,150.00
未分配利润                                              28,158,861.85
项目                                                       增减比例%
银行存款                                                       -27.97
清算备付金                                                      41.89
应收款项                                                       -69.42
坏帐准备                                                        65.99
自营证券                                                       266.58
自营证券跌价准备                                              1860.78
受托资产                                                        38.96
长期资产                                                         6.44
资产总额                                                        27.24
代买卖证券款                                                    -7.14
受托资金                                                        -7.48
流动负债合计                                                    34.93
负债总额                                                        36.88
净资本                                                           7.93
实收资本
未分配利润                                                     105.44
    二、经营成果指标
    单位:元
项目                                                           2002年
营业收入                                               321,664,875.31
手续费收入                                             101,179,896.36
证券发行收入                                            13,807,000.00
自营证券差价收入                                        36,370,117.77
受托投资管理收益                                        89,349,125.67
营业费用                                               198,011,252.55
营业税金及附加                                          16,171,110.27
利润总额                                                60,791,951.26
净利润                                                  39,589,276.10
净资产收益率%(加权平均)                                          6.39
总资产收益率  %                                                  2.80
自营证券收益率%                                                  2.83
营业费用率    %                                                 61.55
项目                                                           2001年
营业收入                                               326,638,101.79
手续费收入                                             101,912,587.61
证券发行收入                                             6,188,000.00
自营证券差价收入                                       132,886,911.95
受托投资管理收益                                        26,006,362.59
营业费用                                               161,748,371.56
营业税金及附加                                          21,258,908.24
利润总额                                                61,221,365.66
净利润                                                  37,545,149.14
净资产收益率%(加权平均)                                          6.46
总资产收益率  %                                                  3.21
自营证券收益率%                                                 37.91
营业费用率    %                                                 49.52
项目                                                       增减比例%
营业收入                                                        -1.52
手续费收入                                                      -0.72
证券发行收入                                                   123.13
自营证券差价收入                                               -72.63
受托投资管理收益                                               243.57
营业费用                                                        22.42
营业税金及附加                                                 -23.93
利润总额                                                        -0.70
净利润                                                           5.44
净资产收益率%(加权平均)                                         -1.08
总资产收益率  %                                                -12.77
自营证券收益率%                                                -92.53
营业费用率    %                                                 24.29
    注:(1)主要会计数据和财务指标的计算公式:
    资产负债率=负债总额/资产总额×100%
    流动比率=流动资产总额/流动负债总额
    净资产负债率=负债总额/年末净资产×100%
    净资本负债率=净资本/负债总额×100%
    自营权益类证券比例=自营权益类证券帐面成本/年末净资产×100%
    长期投资比例=长期投资帐面价值/年末净资产×100%
    固定资本比例=(固定资产帐面价值+在建工程帐面价值)/年末净资产×100%
    净资产收益率=报告期净利润/报告期加权平均净资产×100%
    (报告期加权平均净资产按照证监发[2001]11 号《公开发行证券的公司信息披露
编报规则第9 号-净资产收益率和每股收益的计算及披露》第五条公式分母的规则计算
)
    营业费用率=营业费用/营业收入×100%
    总资产收益率=利润总额/(年初资产总额+年末资产总额)/2×100%
    (2)上述指标计算以母公司的报表数据为准,其中的帐面价值是指扣减折旧、减
值(跌价)准备后的资产价值,其中的资产总额、负债总额、流动资产总额和流动负债总
额是指扣除代买卖证券款和受托资金后的净额。
    三、公司手续费收入分部报告
地区                                                         2002年度
代买卖证券手续费收入                                    97,579,993.12
其中:新疆片区(四家)                                    24,058,006.59
北京片区(一家)                                           6,668,741.55
上海片区(四家)                                          19,405,723.15
湖北片区(一家)                                             908,200.03
江苏片区(两家)                                          14,568,428.93
广东片区(两家)                                           7,934,432.94
海南片区(一家)                                           2,173,448.93
辽宁片区(三家)                                          14,976,015.21
广西片区(两家)                                           6,886,995.79
其他手续费收入                                           3,599,903.24
合计                                                   101,179,896.36
地区                                                         2001年度
代买卖证券手续费收入                                   100,515,835.11
其中:新疆片区(四家)                                    42,667,586.19
北京片区(一家)                                                   -
上海片区(四家)                                          19,204,948.38
湖北片区(一家)                                                   -
江苏片区(两家)                                           4,321,142.83
广东片区(两家)                                          19,251,082.77
海南片区(一家)                                           5,371,716.96
辽宁片区(三家)                                           7,054,903.12
广西片区(两家)                                           2,644,454.86
其他手续费收入                                           1,396,752.50
合计                                                   101,912,587.61
地区                                                    增减百分比(%)
代买卖证券手续费收入                                           (2.92)
其中:新疆片区(四家)                                          (43.62)
北京片区(一家)
上海片区(四家)                                                  1.05
湖北片区(一家)
江苏片区(两家)                                                237.14
广东片区(两家)                                                (58.78)
海南片区(一家)                                                (59.54)
辽宁片区(三家)                                                112.28
广西片区(两家)                                                160.43
其他手续费收入                                                157.73
合计                                                           (0.72)
    
第三章股本变动及股东情况

    
第一节股本变动情况

    一、公司股份变动情况表
    数量单位:股
-                                                          本次变动前
一、未上市流通股份
1.发起人股份                                              257,276,250
其中:
国家持有股份
境内法人持有股份                                          257,276,250
境外法人持有股份
其他
2.募集法人股份                                            109,008,900
3.内部职工股
4.优先股或其他
未上市流通股份合计                                        366,285,150
二、已上市流通股份
1.人民币普通股                                            152,284,917
2.境内上市的外资股
3.境外上市的外资股
4.其他                                                        175,083
已上市流通股份合计                                        152,460,000
三、股份总数                                              518,745,150
-                    本次变动增减  (+,-)
-                       配股   送股  公积金转股  增发  其他     小计
一、未上市流通股份
1.发起人股份
其中:
国家持有股份
境内法人持有股份
境外法人持有股份
其他
2.募集法人股份
3.内部职工股
4.优先股或其他
未上市流通股份合计
二、已上市流通股份
1.人民币普通股
2.境内上市的外资股
3.境外上市的外资股
4.其他
已上市流通股份合计
三、股份总数
-                                                          本次变动后
一、未上市流通股份
1.发起人股份                                              257,276,250
其中:
国家持有股份
境内法人持有股份                                          257,276,250
境外法人持有股份
其他
2.募集法人股份                                            109,008,900
3.内部职工股
4.优先股或其他
未上市流通股份合计                                        366,285,150
二、已上市流通股份
1.人民币普通股                                            152,284,917
2.境内上市的外资股
3.境外上市的外资股
4.其他                                                        175,083
已上市流通股份合计                                        152,460,000
三、股份总数                                              518,745,150
    二、股票发行与上市情况
    1.截止报告期末的前三年公司没有股票发行情况。
    2.报告期内,公司股份总数及结构没有变动。
    3.截止2002 年12 月31 日,公司高级管理人员持有的175,083 股仍在中国证券登
记结算有限责任公司深圳分公司托管。
    
第二节股东情况介绍

    一、报告期末股东总数为80,626 位。
    二、公司前十名股东情况
    单位:万股
序号                                                         股东名称
1                                                中国信达资产管理公司
2                                                    新疆生产建设兵团
3                                                        新疆电力公司
4                                            安徽华茂纺织股份有限公司
5                                            广东中创科技设备租赁公司
6                                              深圳市宏成电脑有限公司
7                                                    新疆资金融通中心
8                                                    新疆金威有限公司
9                                            新疆维吾尔自治区投资公司
10                                         新疆维吾尔自治区石油总公司
序号                年初持股                   年末持股
1                     22,691.13                  22,691.13
2                      3,049.2                    3,049.2
3                      2,795.1                    2,795.1
4                      2,795.1                    2,795.1
5                      1,397.55                   1,397.55
6                      1,397.55                   1,397.55
7                        914.76                     914.76
8                        419.265                    419.265
9                        304.92                     304.92
10                       304.92                     304.92
序号                   持股比例                 股份类别
1                        43.74%                   法人股
2                         5.88%                   法人股
3                         5.39%                   法人股
4                         5.39%                   法人股
5                         2.69%                   法人股
6                         2.69%                   法人股
7                         1.76%                   法人股
8                         0.81%                   法人股
9                         0.59%                   法人股
10                        0.59%                   法人股
    注:1.持股5%以上的股东所持股份无质押或冻结情况。
    2.公司前十名股东无关联关系。
    三、公司第一大股东情况介绍
    中国信达资产管理公司,是具有独立法人资格的国有独资金融企业,于1999年4
月20 日在北京正式成立。法定代表人:朱登山。注册资本:100 亿元人民币。经营范
围:收购并经营银行剥离的不良资产;债务追偿,资产置换、转让及销售;债务重组
及企业重组;债权转股权及阶段性持股,资产证券化;资产管理范围内的上市推荐及
债券股票的承销;直接投资;发行债券,商业借款;向金融机构借款和向中国人民银
行申请再贷款;投资、财务及法律咨询与顾问;资产及项目评估;企业审计与破产清
算;经金融监管部门批准的其他业务。
    
第四章董事、监事、高级管理人员和员工情况

    
第一节董事、监事、高级管理人员情况

    一、基本情况
    1、董事基本情况
姓名                     职务         性别        年龄
田国立                 董事长           男          43
何加武                   董事           男          49
陈维中                   董事           男          49
陈玉华                   董事           男          50
汤世生                   董事           男          47
张秉刚                   董事           男          65
夏乾元                   董事           男          56
华冠雄                   董事           男          62
邓小刚                   董事           男          41
高天仓                   董事           男          71
刘丁平                   董事           男          41
夏执东               独立董事           男          49
夏军                 独立董事           男          48
姓名                               任职起止日期
田国立                        2000,6,6-2003,6,5
何加武                        2000,6,6-2003,6,5
陈维中                        2000,6,6-2003,6,5
陈玉华                        2000,6,6-2003,6,5
汤世生                        2000,6,6-2003,6,5
张秉刚                        2000,6,6-2003,6,5
夏乾元                        2000,6,6-2003,6,5
华冠雄                       2001,6,26-2003,6,5
邓小刚                       2001,6,26-2003,6,5
高天仓                        2000,6,6-2003,6,5
刘丁平                        2000,6,6-2003,6,5
夏执东                       2002,6,23-2003,6,5
夏军                        2002,11,29-2003,6,5
-                            持股数量(股)
姓名                         年初       年末
田国立                          0          0
何加武                          0          0
陈维中                          0          0
陈玉华                          0          0
汤世生                          0          0
张秉刚                     40,656         40,656
夏乾元                          0          0
华冠雄                          0          0
邓小刚                          0          0
高天仓                     32,966        32,966
刘丁平                          0          0
夏执东                          0          0
夏军                            0          0
    2、监事基本情况
姓名                               职务         性别         年龄
顾建国                     监事会召集人           男           41
刘品                      &nb