鞍钢新轧钢股份有限公司2003年第三季度报告


         

1   重要提示:

    1.1 公司董事会及董事保证本报告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。
    1.2 公司全体董事审议并批准了本次第三季度报告。
    1.3 公司本次第三季度财务会计报告未经审计。
    1.4 公司董事长刘玠先生、总会计师马连勇先生及财务部部长张万斌先生声明:本
次第三季度报告中的财务报告真实、完整。
            
2   公司基本情况

2.1 公司基本信息
 股票简称(A股):              鞍钢新轧
         (H股):             鞍钢新轧钢
 股票代码(A股):              000898
         (H股):               0347
                  董事会秘书         证券事务代表
      姓名         付吉会       靳毅民        陈其爽
    联系地址           辽宁省鞍山市铁东区南中华路396号
      电话       0412-6334292 0412-6334292  0412-6334293
      传真                    0412-6727772
    电子邮箱                 info@ansc.com.cn
   2.2 财务资料(按中国会计准则)
   2.2.1 主要会计数据和财务指标            单位:人民币千元
                                           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                  14,046,125 12,425,350     13.04
股东权益(不含少数股东  8,417,695  7,805,448       7.84
权益)
每股净资产(人民币元)      2.84       2.64        7.58
调整后的每股净资产          2.83       2.63         7.6
(人民币元)
                                   年初至  本报告期比上年
                      报告期     报告期期末 同期增减(%)
经营活动产生的现金流量    689,118  1,384,212     -24.51
净额
每股收益(人民币元)       0.096      0.306       45.45
     注1
每股收益(人民币元)       0.096      0.306       45.45
净资产收益率(%)           3.38      10.75       31.52
扣除非经常性损益后的净      3.36      11.21       30.74
资产收益率(%)
注1:如果报告期末至报告披露日,公司股本发生变化的,按新股本计算。
     备注:
            非经常性损益项目    金额(人民币千元)
           营业外收入影响利润额   3,957
           营业外支出影响利润额   -1,294
            所得税影响利润额      -879
                合计             1,784
    2.2.2 利润及利润分配表
        项目                         本集团                本公司
                    2003年7-9月份  2002年7-9月份 2003年7-9月份 2002年7-9月份
    一、主营业务收入     3,454,321    2,888,887    3,454,321   2,888,887
    减:主营业务成本     3,027,226    2,469,923    3,027,226   2,469,923
    营业税金及附加           3,687        5,363        3,687       5,363
    二、主营业务利润       423,408      413,601      423,408     413,601
    加:其他业务利润         9,963       10,703        9,963      10,703
    减:营业费用            55,558       52,955       55,558      52,955
    管理费用                66,405       61,805       66,405      61,805
    财务费用                  -689        2,432         -689       2,432
    三、营业利润           312,097      307,112      312,097     307,112
    加:营业外收入           3,957            0        3,957           0
    减:营业外支出           1,294           49        1,294          49
    四、利润总额           314,760      307,063      314,760     307,063
    减:所得税              29,863      111,923       29,863     111,923
    五、净利润             284,897      195,140      284,897     195,140
    加:期初未分配利润   1,606,044      997,123    1,606,044     997,123
    以前年度损益调整
    六、可供分配的利润   1,890,941    1,192,263    1,890,941   1,192,263
    减:提取法定盈余公积
    提取法定公益金
    七、可供股东分配的
    利润                 1,890,941    1,192,263    1,890,941   1,192,263
    减:提取任意盈余公积
    应付普通股股利
    八、未分配利润       1,890,941    1,192,263    1,890,941   1,192,263
        项目                          本集团                    本公司
                      2003年1-9月份 2002年1-9月份 2003年1-9月份 2002年1-9月份
    一、主营业务收入        10,427,711   7,910,584   10,427,711   7,910,584
    减:主营业务成本         8,746,840   6,993,058    8,746,840   6,993,058
    营业税金及附加              29,966      14,946       29,966      14,946
    二、主营业务利润         1,650,905     902,580    1,650,905     902,580
    加:其他业务利润            26,115      22,949       26,115      22,949
    减:营业费用               152,114     135,428      152,114     135,428
    管理费用                   217,514     160,890      217,514     160,890
    财务费用                     1,017      12,281        1,017      12,281
    三、营业利润             1,306,375     616,930    1,306,375     616,930
    加:营业外收入               4,546          99        4,546          99
    减:营业外支出              62,325         679       62,325         679
    四、利润总额             1,248,596     616,350    1,248,596     616,350
    减:所得税                 343,309     230,290      343,309     230,290
    五、净利润                 905,287     386,060      905,287     386,060
    加:年初未分配利润         985,716     806,203      985,716     806,203
    以前年度损益调整           296,087     236,635      296,087     236,635
    六、可供分配的利润       2,187,090   1,428,898    2,187,090   1,428,898
    减:提取法定盈余公积
    提取法定公益金
    七、可供股东分配的利润   2,187,090   1,428,898    2,187,090   1,428,898
    减:提取任意盈余公积
    应付普通股股利             296,149     236,635      296,149     236,635
    八、未分配利润           1,890,941   1,192,263    1,890,941   1,192,263
                
3   管理层讨论与分析

    3.1  公司报告期内经营活动总体状况的简要分析
       1-9月份,中国钢材市场持续呈现旺盛发展势头。公司充分利用市场机遇,优化
生产组织,努力使生产处于较高水平。1-9月份,公司共生产钢材313.78万吨,其中:
冷轧板125.23万吨,线材50.26万吨,厚板58.71万吨,大型材79.58万吨。生产钢207.8
万吨。
   同时公司还加大产品开发力度,不断提高产品品质,使专特优产品的订货量大大提
高。
   加快已建成项目的调试与生产。目前公司的冷轧改扩建工程已经投入生产。厚板厂
检修及改造项目已结束,现已投入生产。鞍钢新轧—蒂森克虏伯大连镀锌板生产线正在
进行调试。
    3.1.1 占主营业务收入或主营业务利润总额10%以上的主营行业或产品情况
     √适用             不适用
                     主营业务收入 主营业务成本
 分行业或分产品    (人民币千元) (人民币千元)  毛利率(%)
冷轧板              1,457,749     1,334,380       8.46
厚板                 199,332       147,378        26.06
线材                 531,946       449,746        15.45
大型材               825,456       701,486        15.02
钢坯                 439,838       394,236        10.37
其中:关联交易       774,854       703,691        9.18
   冷轧板上半年毛利率为14.73%,三季度8.46%,较上半年下降了6.27个百分点,主要
是因为市场冷轧板成品价格下滑引起。
   3.1.2 公司经营的季节性或周期性特征
     适用             √不适用
    3.1.3 报告期利润构成情况(主营业务利润、其他业务利润、期间费用、投资收益
、补帖收入与营业外收支净额在利润总额中所占比例与前一报告期相比的重大变动及原
因的说明)
     适用            √ 不适用
    3.1.4 主营业务及其结构与前一报告期相比发生重大变化的情况及原因说明
     适用             √不适用
    3.1.5 主营业务盈利能力(毛利率)与前一报告期相比发生重大变化的情况及其原
     因说明
     √适用             不适用
   7-9月份公司毛利率为12.36%,比前一个报告期1-6月份毛利率17.98%下降5.62个百
分点,一方面是由于公司毛利率水平较高的厚板厂三季度由于检修,产量销量减少而引
起;另一方面是由于冷轧板毛利率降低引起。
    3.2  重大事项及其影响和解决方案的分析说明
     适用            √不适用
    3.3 会计政策、会计估计、合并范围变化以及重大会计差错的情况及原因说明
     √ 适用          不适用
    1、根据经过修订的《企业会计准则—资产负债表日后事项》(财会字[1998]14号
)和二零零三年四月十四日《财政部关于印发<企业会计准则-资产负债表日后事项>的
通知》(财会[2003]12号),本集团将资产负债表日后至财务报告批准报出日之间由董
事会所制定利润分配方案中分配的现金股利在资产负债表股东权益中单独列示。因此,
本集团在二零零二年度财务报告中的相关内容进行调整。
   本集团/本公司                            本公司
                                       2003年    2002年
                                    人民币千元 人民币千元
   原报告于一月一日的股东权益       7,509,361 7,201,397
   应付股利                           296,087   236,635
                                     _________ _________
   余额                            7,805,448    7,438,032
    2、会计估计变更:本集团自二零零三年一月一日起,调整固定资产折旧年限。主
要变动为缩短本集团固定资产的可使用年限。
  此次调整使本集团二零零三年前九个月固定资产折旧费用增加约人民币61,510千元,
同时减少税后利润约人民币41,212千元。
   3.4 经审计且被出具“非标意见”情况下董事会和监事会出具的相关说明
     适用             √不适用
   3.5 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
   公司预计2003年1月1日至2003年12月31日期间公司净利润(按中国会计准则及国际
财务报告准则)将比上年同期大幅增长,预计增长幅度超过50%。主要原因是公司调整
销售结构、扩大高附加值产品销售比例和产品价格较上年同期有所增长。
    3.6 公司对已披露的年度经营计划或预算的滚动调整情况
     适用           √不适用
                                 
    鞍钢新轧钢股份有限公司
                                      董事长:
                                      刘      玠
                                      2003年10月29日

   鞍钢新轧钢股份有限公司
   资产负债表(未经审计)
   二零零三年九月三十日
                                               本集团
                                      2003年            2002年
                                        9月30日       12月31日
                                  人民币千元           人民币千元
                                                         (已审计)
资产
流动资产
货币资金                           2,223,671           1,702,051
应收票据                          1,835,896            1,719,474
应收账款                            135,870               92,060
其他应收款                            14,827              94,200
预付账款                             566,643             676,208
存货                               1,385,447           1,217,049
待摊费用                                181                4,534
流动资产合计                       6,162,535           5,505,576
长期投资                              14,400                   -
固定资产
固定资产原价                       7,632,162           7,071,140
减:累计折旧                     (3,118,973)         (2,840,975)
固定资产净额                       4,513,189           4,230,165
在建工程                           3,006,802           2,358,791
固定资产合计                       7,519,991           6,588,956
无形资产及其他资产
无形资产                             328,268             323,863
长期待摊费用                          20,931               6,955
无形资产及其他资产合计               349,199             330,818
资产合计                          14,046,125          12,425,350
流动负债
短期借款                                  -               65,000
应付票据                          1,449,062            1,525,791
应付账款                            228,555             298,724
预收账款                          1,253,328              995,222
应付工资                              61,483              38,753
应付福利费                            15,601               7,795
应交税金                              95,819              95,309
其他应付款                          200,050              120,187
预提费用                              54,560                   -
一年内到期的长期负债                100,000                    -
流动负债合计                       3,458,458           3,146,781
长期负债
长期借款                          2,163,000            1,463,000
应付债券                               6,972              10,121
长期负债合计                       2,169,972           1,473,121
负债合计                          5,628,430            4,619,902
股东权益
股本                               2,961,857           2,960,874
资本公积                           3,080,819           3,078,693
盈余公积                             484,078             484,078
(其中:法定公益金)                  242,039              242,039
未分配利润                        1,890,941            1,281,803
(其中:拟分配现金股利)                     -             296,087
股东权益合计                       8,417,695           7,805,448
负债及股东权益总计                14,046,125          12,425,350
                                              本公司
                                    2003年           2002年
                                    9月30日      12月31日
                                 人民币千元      人民币千元
                                                     (已审计)
资产
流动资产
货币资金                           2,192,050           1,675,586
应收票据                           1,835,896           1,719,474
应收账款                             135,870              92,060
其他应收款                             9,200              56,235
预付账款                             566,643             676,208
存货                               1,385,447           1,217,049
待摊费用                                   -               4,321
流动资产合计                       6,125,106           5,440,933
长期投资                             262,705            248,305
固定资产
固定资产原价                       7,627,206           7,068,914
减:累计折旧                     (3,118,321)         (2,840,761)
固定资产净额                       4,508,885           4,228,153
在建工程                           2,555,016           2,094,732
固定资产合计                       7,063,901           6,322,885
无形资产及其他资产
无形资产                             313,336             318,666
长期待摊费用                               -                   -
无形资产及其他资产合计               313,336             318,666
资产合计                          13,765,048          12,330,789
流动负债
短期借款                                  -                    -
应付票据                           1,449,062           1,525,791
应付账款                             228,555             298,724
预收账款                           1,253,328             995,222
应付工资                              61,483              38,599
应付福利费                           15,601                7,795
应交税金                              95,819              95,253
其他应付款                           118,973              90,836
预提费用                              54,560                   -
一年内到期的长期负债                 100,000                   -
流动负债合计                       3,377,381           3,052,220
长期负债
长期借款                           1,963,000           1,463,000
应付债券                               6,972              10,121
长期负债合计                       1,969,972           1,473,121
负债合计                           5,347,353           4,525,341
股东权益
股本                               2,961,857           2,960,874
资本公积                           3,080,819           3,078,693
盈余公积                             484,078             484,078
(其中:法定公益金)                   242,039             242,039
未分配利润                         1,890,941           1,281,803
(其中:拟分配现金股利)                     -             296,087
股东权益合计                       8,417,695           7,805,448
负债及股东权益总计                13,765,048          12,330,789
  鞍钢新轧钢股份有限公司
  利润及利润分配表(未经审计)
 截至二零零三年九月三十日止九个月期间
                                           本集团
                                        9月30日止 9个月
                            2003年                 2002年
                              人民币千元         人民币千元
主营业务收入               10,427,711           7,910,584
减:主营业务成本            8,746,840           6,993,058
主营业务税金及附加             29,966              14,946
主营业务利润                1,650,905             902,580
加:其他业务利润               26,115              22,949
减:营业费用                  152,114             135,428
管理费用                      217,514             160,890
财务费用                        1,017              12,281
营业利润                    1,306,375             616,930
加:营业外收入                 4,546                  99
减:营业外支出                 62,325                 679
利润总额                   1,248,596             616,350
减:所得税                    343,309             230,290
净利润                        905,287             386,060
净利润                          905,287            386,060
加:年初未分配利润             985,716            806,203
以前年度损益调整                296,087            236,635
可供分配的利润                2,187,090          1,428,898
减:提取法定盈余公积                 -                   -
提取法定公益金                        -                  -
可供股东分配的利润            2,187,090          1,428,898
减:提取任意盈余公积                 -                  -
应付普通股股利                 296,149             236,635
未分配利润                   1,890,941           1,192,263
                                      本公司
                                 9月30日止 9个月
                               2003年             2002年
                             人民币千元        人民币千元
主营业务收入                 10,427,711           7,910,584
减:主营业务成本              8,746,840           6,993,058
主营业务税金及附加               29,966              14,946
主营业务利润                  1,650,905             902,580
加:其他业务利润                26,115               22,949
减:营业费用                    152,114             135,428
管理费用                        217,514             160,890
财务费用                          1,017              12,281
营业利润                      1,306,375             616,930
加:营业外收入                    4,546                  99
减:营业外支出                   62,325                 679
利润总额                      1,248,596             616,350
减:所得税                      343,309             230,290
净利润                          905,287            386,060
净利润                           905,287            386,060
加:年初未分配利润               985,716             806,203
以前年度损益调整                 296,087             236,635
可供分配的利润                 2,187,090           1,428,898
减:提取法定盈余公积                   -                   -
提取法定公益金                         -                   -
可供股东分配的利润             2,187,090           1,428,898
减:提取任意盈余公积                   -                   -
应付普通股股利                   296,149             236,635
未分配利润                     1,890,941           1,192,263
  鞍钢新轧钢股份有限公司
  利润及利润分配表(未经审计)
  截至二零零三年九月三十日止三个月期间
                                             本集团
                                               7 月至9月
                                      2003年           2002年
                                  人民币千元            人民币千元
主营业务收入                       3,454,321           2,888,887
减:主营业务成本                   3,027,226           2,469,923
主营业务税金及附加                     3,687               5,363
主营业务利润                         423,408             413,601
加:其他业务利润                       9,963              10,703
减:营业费用                         55,558               52,955
管理费用                              66,405              61,805
财务费用                               (689)               2,432
营业利润                             312,097             307,112
加:营业外收入                        3,957                   -
减:营业外支出                         1,294                  49
利润总额                            314,760              307,063
减:所得税                            29,863             111,923
净利润                               284,897             195,140
净利润                              284,897              195,140
加:期初未分配利润                1,606,044              997,123
以前年度损益调整                           -                   -
可供分配的利润                    1,890,941            1,192,263
减:提取法定盈余公积                      -                    -
提取法定公益金                             -                   -
可供股东分配的利润                 1,890,941           1,192,263
减:提取任意盈余公积                      -                    -
应付普通股股利                             -                   -
未分配利润                        1,890,941            1,192,263
                                         本公司
                                         7月至9月
                                    2003年               2002年
                                   人民币千元         人民币千元
主营业务收入                       3,454,321           2,888,887
减:主营业务成本                   3,027,226           2,469,923
主营业务税金及附加                     3,687               5,363
主营业务利润                         423,408             413,601
加:其他业务利润                       9,963              10,703
减:营业费用                          55,558              52,955
管理费用                              66,405              61,805
财务费用                               (689)               2,432
营业利润                             312,097             307,112
加:营业外收入                         3,957                   -
减:营业外支出                         1,294                  49
利润总额                             314,760             307,063
减:所得税                            29,863             111,923
净利润                               284,897             195,140
净利润                               284,897             195,140
加:期初未分配利润                 1,606,044             997,123
以前年度损益调整                           -                  -
可供分配的利润                     1,890,941           1,192,263
减:提取法定盈余公积                       -                   -
提取法定公益金                             -                   -
可供股东分配的利润                 1,890,941           1,192,263
减:提取任意盈余公积                       -                   -
应付普通股股利                             -                   -
未分配利润                         1,890,941           1,192,263
 =  =
鞍钢新轧钢股份有限公司
现金流量表(未经审计)
截至二零零三年九月三十日止九个月期间
 现金流量表                                    本集团       本公司
 补充说明                                   人民币千元      人民币千元
经营活动产生的现金流量:
销售商品收到的现金                        12,124,459          12,124,459
收到的税费返还                                14,273              14,273
现金流入小计                              12,138,732          12,138,732
                                                   -
购买商品支付的现金                       (9,805,289)         (9,805,289)
支付给职工以及为职工支付的现金             (201,383)           (201,383)
支付的各项税费                             (658,435)           (658,435)
支付的其他与经营活动有关的现金              (89,413)            (89,413)
现金流出小计                            (10,754,520)        (10,754,520)
                                                   -
经营活动产生的现金流量净额(a)              1,384,212           1,384,212
                                                   -
投资活动产生的现金流量:
处置固定资产所收回的现金净额                   4,056               4,056
收到的其他与投资活动有关的现金                43,568              12,814
现金流入小计                                  47,624              16,870
                                                   -
购建固定资产、无形资产和其他
长期资产所支付的现金                    (1,244,480)          (1,093,961)
投资支付的现金                              (14,400)            (14,400)
支付的其他与投资活动有关的现金               (3,956)                   -
现金流出小计                             (1,262,836)         (1,108,361)
                                                   -
投资活动产生的现金流量净额               (1,215,212)         (1,091,491)
                                                   -
鞍钢新轧钢股份有限公司
现金流量表(未经审计)(续)
截至二零零三年九月三十日止九个月期间
现金流量表本集团本公司
补充说明人民币千元人民币千元
筹资活动产生的现金流量:
借款所收到的现金                             825,000             600,000
现金流入小计                                 825,000             600,000
偿还债务所支付的现金                        (90,000)                   -
分配股利和偿付利息所支付的现金             (380,987)           (374,780)
支付的其他与筹资活动有关的现金               (1,304)             (1,304)
现金流出小计                               (472,291)           (376,084)
筹资活动产生的现金流量净额                   352,709             223,916
汇率变动对现金的影响额                          (89)               (173)
现金及现金等价物净增加额(c)                  521,620             516,464
(a)将净利润调节为经营活动的现金流量:
净利润                                       905,287             905,287
加:坏账准备                                    (44)                (44)
计提的存货跌价准备                            16,000              16,000
固定资产折旧                                 396,583             396,583
无形资产摊销                                   5,330               5,330
待摊费用减少                                   4,321               4,321
预提费用增加                                  54,560              54,560
处置固定资产的损失                            56,597              56,597
财务费用                                       1,017               1,017
存货的增加                                 (184,398)           (184,398)
经营性应收项目的增加                        (71,950)            (71,950)
经营性应付项目的增加                        200,909              200,909
经营活动产生的现金流量净额                 1,384,212           1,384,212
(b)不涉及现金收支的投资和筹资活动:
债务转为资本                                   3,033               3,033
(c)现金及现金等价物净增加情况:
现金的期末余额                             2,223,671           2,192,050
减:现金的期初余额                       (1,702,051)         (1,675,586)
加:现金等价物的期末余额                           -                   -
减:现金等价物的期初余额                           -                   -
现金及现金等价物净增加额                     521,620             516,464

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