长沙中联重工科技发展股份有限公司2005年第一季度报告


    

1重要提示

    1.1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、准确性和完整性负个别及连带责任。
    1.2公司全体董事以通讯方式参加会议。
    1.3公司第一季度财务报告未经审计。
    1.4公司负责人詹纯新先生、财务总监苏用专先生及财务稽核部经理寻明花女士声
明:保证季度报告中财务报告的真实、完整。
    
2公司基本情况

    2.1公司基本信息
股票简称                          中联重科        变更前简称            -
股票代码                            000157
                                董事会秘书                   证券事务代表
姓名                                李建达                           黄伟
联系地址               长沙市银盆南路307号            长沙市银盆南路307号
电话                         0731—8923779                  0731—8923977
传真                         0731—8923906                  0731—8923904
电子邮箱                   000157@zljt.com                000157@zljt.com
    2.2财务资料
    1.2. 1主要会计数据及财务指标
项     目                                                      本报告期末
总资产(元)                                             3,718,658,951.53
股东权益(不含少数
                                                         1,488,359,307.78
股东权益)(元)
每股净资产(元/股)                                                  2.9356
调整后的每股净资产
(元/股)                                                            2.9212
项     目                                                          报告期
经营活动产生的现金
                                                          -132,617,953.50
流量净额(元)
每股收益(元/股)                                                    0.1393
净资产收益率(%)                                                    4.7465
扣除非经常性损益后
的净资产收益率(%)                                                  4.8044
项     目                                                      上年度期末
总资产(元)                                             3,581,083,661.15
股东权益(不含少数
                                                        11,620,492,099.51
股东权益)(元)
每股净资产(元/股)                                                  3.1962
调整后的每股净资产
(元/股)                                                            3.1815
项     目                                                年初至报告期期末
经营活动产生的现金
                                                          -132,617,953.50
流量净额(元)
每股收益(元/股)                                                    0.1393
净资产收益率(%)                                                    4.7465
扣除非经常性损益后
的净资产收益率(%)                                                  4.8044
项     目                                              本报告期末比上年度
                                                            期末增减(%)
总资产(元)                                                         3.84
股东权益(不含少数
                                                                   1-8.15
股东权益)(元)
每股净资产(元/股)                                                   -8.15
调整后的每股净资产
(元/股)                                                             -8.18
项     目                                                本报告期比上年同
                                                              期增减(%)
经营活动产生的现金
                                                                  -465.48
流量净额(元)
每股收益(元/股)                                                    -33.86
净资产收益率(%)                                          减少3.26个百分点
扣除非经常性损益后
的净资产收益率(%)                                        减少3.20个百分点
非经常性损益项目                                                     金额
营业外收入                                                     119,368.40
营业外支出                                                    -980,675.87
合计                                                          -861,307.47
    2.2.2利润表(单位:元)
项     目                                                     2005年1-3月
                                                                   母公司
一、主营业务收入                                           673,040,659.56
减:主营业务成本                                           503,780,535.25
主营业务税金及附加                                           6,404,236.36
二、主营业务利润                                           162,855,887.95
加:其他业务利润                                             3,136,292.65
减:营业费用                                                38,561,389.09
管理费用                                                    47,984,803.34
财务费用                                                     8,440,835.61
三、营业利润                                                71,005,152.56
加:投资收益                                                   223,644.69
补贴收入                                                                -
营业外收入                                                      27,227.04
减:营业外支出                                                 827,546.36
四、利润总额                                                70,428,477.93
减:所得税                                                              -
少数股东损益                                                            -
五、净利润                                                  70,428,477.93
加:年初未分配利润                                         590,175,925.27
其他转入                                                                -
六、可供分配利润                                           660,604,403.20
减:提取法定盈余公积                                                    -
提取法定公益金                                                          -
七、可供股东分配利润                                       660,604,403.20
减:应付优先股股利                                                      -
提取任意盈余公积                                                        -
支付普通股股利                                             202,800,000.00
转作股本的普通股股利                                                    -
八、未分配利润                                             457,804,403.20
项     目                                                     2005年1-3月
                                                                     合并
一、主营业务收入                                           701,086,466.07
减:主营业务成本                                           511,434,269.86
主营业务税金及附加                                           6,547,057.96
二、主营业务利润                                           183,105,138.25
加:其他业务利润                                             1,495,488.92
减:营业费用                                                51,945,379.16
管理费用                                                    52,002,558.68
财务费用                                                     8,856,217.58
三、营业利润                                                71,796,471.75
加:投资收益                                                  -425,212.13
补贴收入                                                                -
营业外收入                                                     119,368.40
减:营业外支出                                                 980,675.87
四、利润总额                                                70,509,952.15
减:所得税                                                     327,714.48
少数股东损益                                                  -463,016.90
五、净利润                                                  70,645,254.57
加:年初未分配利润                                         582,709,141.06
其他转入                                                                -
六、可供分配利润                                           653,354,395.63
减:提取法定盈余公积                                                    -
提取法定公益金                                                          -
七、可供股东分配利润                                       653,354,395.63
减:应付优先股股利                                                      -
提取任意盈余公积                                                        -
支付普通股股利                                             202,800,000.00
转作股本的普通股股利                                                    -
八、未分配利润                                             450,554,395.63
项     目                                                     2004年1-3月
                                                                   母公司
一、主营业务收入                                           797,816,225.29
减:主营业务成本                                           595,273,891.03
主营业务税金及附加                                           6,660,553.13
二、主营业务利润                                           195,881,781.13
加:其他业务利润                                               354,488.58
减:营业费用                                                36,007,928.65
管理费用                                                    40,537,018.88
财务费用                                                     9,689,434.49
三、营业利润                                               110,001,887.69
加:投资收益                                                -3,105,604.48
补贴收入                                                                -
营业外收入                                                     636,434.80
减:营业外支出                                                 468,555.59
四、利润总额                                               107,064,162.42
减:所得税                                                              -
少数股东损益                                                            -
五、净利润                                                 107,064,162.42
加:年初未分配利润                                         270,151,687.56
其他转入                                                                -
六、可供分配利润                                           377,215,849.98
减:提取法定盈余公积                                                    -
提取法定公益金                                                          -
七、可供股东分配利润                                       377,215,849.98
减:应付优先股股利                                                      -
提取任意盈余公积                                                        -
支付普通股股利                                               9,750,000.00
转作股本的普通股股利                                                    -
八、未分配利润                                             367,465,849.98
项     目                                                     2004年1-3月
                                                                     合并
一、主营业务收入                                           813,129,757.26
减:主营业务成本                                           597,329,640.55
主营业务税金及附加                                           6,872,776.86
二、主营业务利润                                           208,927,339.85
加:其他业务利润                                               412,427.27
减:营业费用                                                46,700,636.19
管理费用                                                    46,119,525.65
财务费用                                                     9,500,556.68
三、营业利润                                               107,019,048.60
加:投资收益                                                  -606,010.10
补贴收入                                                                -
营业外收入                                                     654,737.80
减:营业外支出                                                 550,057.69
四、利润总额                                               106,517,718.61
减:所得税                                                     346,957.22
少数股东损益                                                  -644,274.49
五、净利润                                                 106,815,035.88
加:年初未分配利润                                         268,654,956.08
其他转入                                                                -
六、可供分配利润                                           375,469,991.96
减:提取法定盈余公积                                                    -
提取法定公益金                                                          -
七、可供股东分配利润                                       375,469,991.96
减:应付优先股股利                                                      -
提取任意盈余公积                                                        -
支付普通股股利                                               9,750,000.00
转作股本的普通股股利                                                    -
八、未分配利润                                             365,719,991.96
    2.3报告期末股东总人数及前十名流通股股东持股表
报告期末股东总数                                                 34,142户
前十名流通股股东持股情况
股东名称                                             期末持有流通股的数量
科翔证券投资基金                                                4,574,100
中信经典配置证券投资基金                                        3,993,916
科瑞证券投资基金                                                3,217,384
科讯证券投资基金                                                1,681,301
光大保德信量化核心证券投资基金                                  1,422,032
广发小盘成长股票型证券投资基金                                  1,308,717
博时裕富证券投资基金                                            1,031,365
大成精选增值混合型证券投资基金                                  1,000,000
上海高利科技投资有限公司                                          939,488
宋迎春                                                            773,048
股东名称                                                             种类
科翔证券投资基金                                                      A股
中信经典配置证券投资基金                                              A股
科瑞证券投资基金                                                      A股
科讯证券投资基金                                                      A股
光大保德信量化核心证券投资基金                                        A股
广发小盘成长股票型证券投资基金                                        A股
博时裕富证券投资基金                                                  A股
大成精选增值混合型证券投资基金                                        A股
上海高利科技投资有限公司                                              A股
宋迎春                                                                A股
    
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
    报告期内,受国家宏观调控政策及银行加息的持续影响,固定资产投资及国内工程
机械市场开始回落,产品市场竞争加剧。面对竞争日趋激烈的市场环境,公司紧紧围绕
年度经营目标及制度治企的经营理念,坚持走品牌经营之路,加强质量管理,打造精品
工程,不断完善物流建设,加大各部门经济目标责任制的监督考核,积极开拓国际市场
,不断通过营销网络及中联保路捷股份有限公司(英国)的国际平台向国际市场销售产
品。
    2005年第一季度,公司共实现主营业务收入70,108.65万元,净利润7,064.53万元
,由于宏观调控及加息的影响、欧元升值、原材料特别是钢材的涨价导致报告期主营业
务收入、净利润分别较去年同期下降13.78%、33.86%。报告期内,公司支付了2004年收
购浦沅集团的存货及长沙浦沅工程机械配件贸易有限公司等五家公司的股权的部分款项
,同时为应对销售情况较好的二季度而增加原材料采购,从而导致报告期内经营活动产
生的现金流净额为-132,617,953.50元。
    针对上述经营中面临的困难,公司制定了相应的解决方案:
    ①进一步整合市场资源,适时调整销售策略,依托强化内部管理和提高服务水平,
巩固和扩大市场占有率;
    ②强化目标责任制的监督考核,制造成本实行定额控制,管理成本实行目标责任控
制;
    ③压减零部件和整机库存,提高资金周转率;
    ④坚持不懈地强抓质量工作,提升现有产品的可靠性,提高产品的市场竞争力;
    ⑤加速开发新产品,完善产品系列化,依托创新开辟新的经济增长点。
    2005年的工程机械市场进入了一个相对平稳、理性的发展阶段,激烈的竞争势必导
致行业整合的加速及产品市场份额的重新分切,公司将继续提升企业品牌,加强核心竞
争力建设,确保企业的持续稳定发展。
    3.1.1占主营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
分行业                                                       主营业务收入
工程机械                                                   612,379,605.98
环卫机械                                                    56,043,224.51
其中:关联交易                                              13,693,803.77
分产品                                                       主营业务收入
混凝土机械                                                 245,488,100.59
起重机械                                                   352,801,038.12
环卫机械                                                    56,043,224.51
路面机械                                                    14,090,467.27
机床                                                        25,945,805.67
其中:关联交易                                              13,693,803.77
分行业                                                       主营业务成本
工程机械                                                   446,394,903.03
环卫机械                                                    39,399,116.96
其中:关联交易                                               7,868,351.84
分产品                                                       主营业务成本
混凝土机械                                                 173,655,945.09
起重机械                                                   260,983,279.58
环卫机械                                                    39,399,116.96
路面机械                                                    11,755,678.36
机床                                                        19,327,706.21
其中:关联交易                                               7,868,351.84
分行业                                                          毛利率(%)
工程机械                                                           27.10%
环卫机械                                                           29.70%
其中:关联交易                                                     42.54%
分产品                                                          毛利率(%)
混凝土机械                                                         29.26%
起重机械                                                           26.03%
环卫机械                                                           29.70%
路面机械                                                           16.57%
机床                                                               25.51%
其中:关联交易                                                     42.54%
    关联交易系公司通过中联保路捷股份有限公司(英国)向国际市场销售产品所致,
关联交易毛利率较高的原因系该部分产品主要为混凝土机械中毛利率较高的泵车。
    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、
补贴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
项目                                              利润构成
                                 2005年1-3月                       2004年
主营业务利润                  183,105,138.25               886,091,933.76
其他业务利润                    1,495,488.92                12,099,860.85
期间费用                      112,804,155.42               508,415,296.81
投资收益                         -425,212.13                  -607,667.89
营业外收支净额                   -861,307.47                -5,450,137.11
利润总额                       70,509,952.15               383,718,692.80
项目                                         各项占利润总额的比例
                                  2005年1-3月                      2004年
主营业务利润                          259.67%                     230.92%
其他业务利润                            2.12%                       3.15%
期间费用                              159.98%                     132.50%
投资收益                               -0.60%                      -0.16%
营业外收支净额                         -1.22%                      -1.42%
利润总额                              100.00%                     100.00%
项目                                                                 增减
主营业务利润                                                       28.75%
其他业务利润                                                       -1.03%
期间费用                                                           27.48%
投资收益                                                           -0.44%
营业外收支净额                                                       0.2%
利润总额                                                                -
    与前一报告期变动较大的原因:
    1、报告期主营业务利润在利润总额中所点比例比上一报告期增加28.75%的原因系
公司报告期期间费用在利润总额中所占比例比上一报告期增加较大。
    2、报告期期间费用在利润总额中所占比例比上一报告期增加27.48%的主要原因系
2004年12月收购了长沙浦沅工程机械配件贸易有限公司等五家公司及2004年8月租赁经
营浦沅工程机械总厂上海分厂,公司经营规模的扩大导致报告期期间费用增加,同时,
由于报告期利润总额较去年同期有所减少,因此,公司本报告期期间费用在利润总额中
所占比例比上一报告期增加。
    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
      路面机械2005年一季度的毛利率为16.57%,较前一报告期减少11.54%,主要系报
告期内路面机械生产规模减少而固定成本未变所致。
    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
    1、按揭销售
    报告期,公司采用按揭模式销售产品3,245.75万元,发生回购金额489.25万元,历
年来公司负有承诺回购义务的客户累计贷款余额64,990.75万元。
    2、增发事宜
    公司拟增发不超过1亿流通股的方案已经2004年度第一次临时股东大会审议通过,
增发材料已于2005年2月份报送中国证监会,目前增发工作正处于中证监会的审理过程
中。
    3、与日常经营相关的关联交易事项
    2004年年度股东大会审议通过了公司2005年预计发生的一系列日常关联交易及其预
计交易金额,报告期内发生的日常关联交易情况介绍如下:
关联人      交易内容                   定价                      交易价格
                                       依据
长沙建设    综合服务                   市场                 344.26万元/年
机械研究                               定价

长沙建设    房屋租赁                   市场                 148.84万元/年
机械研究    (租用)                   定价

中旺实业    配件供应                   市场                 0.03—10万元/
有限公司    及加工                     定价                            件
湖南省浦    房屋租赁                   市场                  47.07万元/年
沅集团      (出租)                   定价
湖南浦沅    综合服务                   市场                 273.88万元/年
工程机械                               定价
有限公司
常德武陵    驾驶室、操                 市场                  驾驶室1.87万
结构厂      作室供应                   定价                         元/个
                                                             操作室1.25万
                                                                    元/个
常德武陵    液压油箱、                 市场                 液压油箱1.1万
结构二厂    活动支腿                   定价                         元/个
            供应                                            活动支腿1.2万
                                                                  元/台套
湖南特力    液压油缸、                 市场                  液压油缸0.35
液压有限    中心回转                   定价                  —1.7万元/个
公司        供应                                             中心回转0.35
                                                                  万元/个
                                                                 占同类交
关联人      交易内容                      交易金额               易金额的
                                            (万元)                   比例
长沙建设    综合服务                         86.07                 55.70%
机械研究

长沙建设    房屋租赁                         37.21                 44.08%
机械研究    (租用)

中旺实业    配件供应                        652.73                 71.01%
有限公司    及加工
湖南省浦    房屋租赁                         11.78                   100%
沅集团      (出租)
湖南浦沅    综合服务                         68.47                 44.30%
工程机械
有限公司
常德武陵    驾驶室、操                      547.22                 89.14%
结构厂      作室供应
常德武陵    液压油箱、                      758.27                   100%
结构二厂    活动支腿
            供应
湖南特力    液压油缸、                     2487.30                 61.89%
液压有限    中心回转
公司        供应
                                                                   对公司
关联人      交易内容                       结算方式                利润的
                                                                     影响
长沙建设    综合服务                       现金月付                     -
机械研究

长沙建设    房屋租赁                       现金季付                     -
机械研究    (租用)

中旺实业    配件供应                       货到后现                     -
有限公司    及加工                           金支付
湖南省浦    房屋租赁                       现金季付                     -
沅集团      (出租)
湖南浦沅    综合服务                       现金月付                     -
工程机械
有限公司
常德武陵    驾驶室、操                     货到后现                     -
结构厂      作室供应                         金支付
常德武陵    液压油箱、                     货到后现                     -
结构二厂    活动支腿                         金支付
            供应
湖南特力    液压油缸、                     货到后现                     -
液压有限    中心回转                         金支付
公司        供应
    日常关联交易实际发生情况与预计情况无差异。
    4、2005年3月31日,公司与中国光大银行长沙华泰支行签订《质押合同》及《借款
合同》,公司将价值1885万元的定期存单质押给中国光大银行长沙华泰支行,并以此向
中国光大银行长沙华泰支行借款1790万元用于补充流动资金。该笔借款已于2005年4月
8日全部还清,被质押的定期存单同时解押。
    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
    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
    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
    3.7附录:资产负债表、利润及利润分配表、现金流量表、现金流量表补充资料
    长沙中联重工科技发展股份有限公司董事会
    詹纯新
    董事长
    二OO五年四月十五日
                          资产负债表
    编制单位:长沙中联重工科技发展股份有限公司      2005-3-31            单
位:元
项        目                                         期末数
                                         母公司                      合并
流动资产:
货币资金                         253,227,389.57            370,099,466.24
短期投资                                      -                         -
应收票据                          44,793,416.34             45,583,416.34
应收股利                                      -                         -
应收利息                                      -                         -
应收帐款                         982,143,066.62            999,096,412.38
其他应收款                        36,531,399.50             40,760,347.13
预付帐款                         104,938,122.15            121,531,396.24
应收补贴款                                    -                         -
存货                             889,393,527.53            948,318,360.39
待摊费用                              99,328.05                691,158.70
一年内到期的长期
债权投资                                      -                         -
其他流动资产                                  -                         -
流动资产合计                   2,311,126,249.76          2,526,080,557.42
长期投资:
长期股权投资                     303,422,357.60             82,235,980.54
其中:合并价差                                -                         -
长期债权投资                                  -                         -
长期投资合计                     303,422,357.60             82,235,980.54
固定资产:
固定资产原价                     594,617,502.65            686,076,282.04
减:累计折旧                     168,077,320.81            183,503,414.58
固定资产净值                     426,540,181.84            502,572,867.46
减:固定资产
减值准备                           1,412,474.41              1,412,474.41
固定资产净额                     425,127,707.43            501,160,393.05
工程物资                                      -                         -
在建工程                         327,185,744.36            327,843,098.86
固定资产清理                                  -                         -
固定资产合计                     752,313,451.79            829,003,491.91
无形资产及其他资产:
无形资产                         256,647,813.57            280,710,375.11
长期待摊费用                                  -                628,546.55
其他长期资产                                  -                         -
无形资产及其他资
产合计                           256,647,813.57            281,338,921.66
递延税项:
递延税款借项                                  -                         -
资    产     总    计          3,623,509,872.72          3,718,658,951.53
项        目                                    期     初     数
                                母    公     司                合      并
流动资产:
货币资金                         370,291,161.21            506,764,076.56
短期投资                                      -                         -
应收票据                          61,688,554.00             62,504,860.00
应收股利                                      -                         -
应收利息                                      -                         -
应收帐款                         808,271,939.04            822,536,772.43
其他应收款                        10,771,204.96             22,972,525.34
预付帐款                          75,347,688.68             88,206,210.84
应收补贴款                                    -                         -
存货                             886,753,990.14            934,692,267.23
待摊费用                             430,214.47              1,482,400.08
一年内到期的长期
债权投资                                      -                         -
其他流动资产                                  -                         -
流动资产合计                   2,213,554,752.50          2,439,159,112.48
长期投资:
长期股权投资                     303,176,759.21             82,661,192.67
其中:合并价差                                -              2,368,274.85
长期债权投资                                  -                         -
长期投资合计                     303,176,759.21             82,661,192.67
固定资产:
固定资产原价                     589,264,721.49            679,508,488.88
减:累计折旧                     158,433,493.76            171,889,002.43
固定资产净值                     430,831,227.73            507,619,486.45
减:固定资产
减值准备                           1,412,474.41              1,412,474.41
固定资产净额                     429,418,753.32            506,207,012.04
工程物资                                      -                         -
在建工程                         267,876,555.61            268,501,279.11
固定资产清理                                  -                         -
固定资产合计                     697,295,308.93            774,708,291.15
无形资产及其他资产:
无形资产                         259,028,139.33            283,875,555.08
长期待摊费用                                  -                679,509.77
其他长期资产                                  -                         -
无形资产及其他资
产合计                           259,028,139.33            284,555,064.85
递延税项:
递延税款借项                                  -                         -
资    产     总    计          3,473,054,959.97          3,581,083,661.15
    法人代表:詹纯新     财务总监:苏用专                会计主管:寻明花
                         资产负债表(续)
    编制单位:长沙中联重工科技发展股份有限公司             2005-3-31
                  单位:元
项        目                                                       期末数
                                                          母    公     司
流动负债:
短期借款                                                   888,783,550.47
应付票据                                                   111,256,010.24
应付帐款                                                   646,841,236.46
预收帐款                                                   124,093,872.95
应付工资                                                    10,635,704.90
应付福利费                                                  15,216,104.41
应付股利                                                   202,800,000.00
应交税金                                                    63,115,498.87
其他应交款                                                   2,280,747.69
其他应付款           &