盐田港A2005年第三季度季度报告


              深圳市盐田港股份有限公司2005年第三季度季度报告

      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   没有董事对季度报告内容的真实性、准确性、完整性无法保证或存在异议。
      1.3   董事未出席名单
         未出席董事姓名               未出席会议原因                 受托人姓名
              张明鸣                        因事                        赵启正
              刘明德                        因公                        赵启正
      1.4   本报告期财务报告未经审计。
      1.5   公司董事长陈钦硕、总经理徐晓阳、财务总监郑成浔和财务部经理赵红平声明:
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                 盐田港A           变更前简称(如有)
    股票代码                                          000088
                                董事会秘书                            证券事务代表
      姓名                         华翔                                  林伟鑫
    联系地址         深圳市盐田区盐田港海港大厦1913室      深圳市盐田区盐田港海港大厦1913室
      电话                       25290180                               25290180
      传真                       25290932                               25290932
    电子信箱            linweixin@yantian-port.com            linweixin@yantian-port.com
2.2   财务资料
 2.2.1   主要会计数据及财务指标
                                                                            单位:(人民币)元
                                                                       本报告期末比上年度期末增
                           本报告期末                上年度期末
                                                                               减(%)
      总资产                 3,758,840,382.77         4,069,935,389.97                    -7.64%
股东权益(不含少数
                            3,155,197,302.44          3,528,864,067.00                   -10.59%
    股东权益)
    每股净资产                          2.534                    2.834                   -10.59%
调整后的每股净资产                      2.528                    2.828                   -10.61%
                                                                        本报告期比上年同期增减
                             报告期              年初至报告期期末
                                                                                 (%)
经营活动产生的现金
                               75,616,915.99            213,353,431.38                    82.40%
     流量净额
     每股收益                           0.147                    0.365                    -7.80%
  每股收益(注)                        0.147            -                         -
   净资产收益率                         5.79%                                       14.42%-0.11%
扣除非经常性损益后
                                        5.79%                                       14.42%-0.11%
  的净资产收益率
   非经常性损益项目                                      金额
营业外收入                                                                            649,884.99
营业外支出                                                                           -732,640.85
         合计                                                                         -82,755.86
 2.2.2   财务报表
 2.2.2.2    本报告期利润及利润分配表
                                                                            单位:(人民币)元
                                            境内报表
                                    本期                                 上年同期
       项目
                           合并              母公司              合并               母公司
一、主营业务收入        162,551,934.54       8,408,513.94     160,506,686.31       16,764,226.51
  减:主营业务成本       57,317,422.00       4,006,875.98       81,302,522.76      13,432,778.00
      主营业务税金
                          5,433,640.21         439,548.18        6,032,734.16         601,879.92
及附加
二、主营业务利润(亏
                         99,800,872.33       3,962,089.78      73,171,429.39        2,729,568.59
损以“-”号填列)
  加:其他业务利润
                            401,048.07         224,315.81          381,314.84         230,926.00
(亏损以“-”号填列)
  减:营业费用              729,165.86                             715,399.97
      管理费用           18,076,496.02       8,286,284.07       19,235,011.45      11,249,923.81
      财务费用           -7,153,293.16      -6,689,409.09      -1,815,598.15       -1,639,556.53
三、营业利润(亏损
                         88,549,551.68       2,589,530.61      55,417,930.96       -6,649,872.69
以“-”号填列)
  加:投资收益(亏
                        135,118,375.56     178,709,750.56      173,372,096.43     204,696,622.40
损以“-”号填列)
      补贴收入
      营业外收入            649,884.99         642,000.00            8,281.24           3,950.00
  减:营业外支出            732,640.85            -400.00          142,791.38          42,806.00
四、利润总额(亏损
                        223,585,171.38     181,941,681.17     228,655,517.25      198,007,893.71
以“-”号填列)
  减:所得税             13,258,460.74                           9,779,391.69
      少数股东损益       27,767,443.50                          20,868,231.85
  加:未确认的投资
损失本期发生额
五、净利润(亏损以
                        182,559,267.14     181,941,681.17     198,007,893.71      198,007,893.71
“-”号填列)
  加:年初未分配利
                        504,772,841.45     509,830,394.17      778,429,821.65     778,429,821.65

      其他转入            1,229,136.44       1,229,136.44
六、可供分配的利润      688,561,245.03     693,001,211.78     976,437,715.36      976,437,715.36
  减:提取法定盈余
公积
      提取法定公益

      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
                        688,561,245.03     693,001,211.78     976,437,715.36      976,437,715.36
的利润
  减:应付优先股股

      提取任意盈余
公积
      应付普通股股

      转作资本(或
股本)的普通股股利
八、未分配利润          688,561,245.03     693,001,211.78      976,437,715.36     976,437,715.36
利润表(补充资料)
  1.出售、处置部门
或被投资单位所得收

  2.自然灾害发生的
损失
  3.会计政策变更增
加(或减少)利润总

  4.会计估计变更增
加(或减少)利润总       14,345,786.71

  5.债务重组损失
  6.其他
 2.2.2.3    年初到报告期末利润及利润分配表
                                                                            单位:(人民币)元
                                            境内报表
                               年初到报告期末                            上年同期
       项目
                           合并              母公司              合并               母公司
一、主营业务收入        465,118,918.16      35,952,996.77      459,118,829.48      43,338,070.32
  减:主营业务成本      220,241,224.01      24,080,323.89      244,407,773.54      35,053,346.81
      主营业务税金
                         16,041,776.15       1,441,036.92       16,338,864.45       1,547,400.11
及附加
二、主营业务利润(亏
                        228,835,918.00      10,431,635.96      198,372,191.49       6,737,323.40
损以“-”号填列)
  加:其他业务利润
                            957,233.60       1,086,831.08        3,195,475.77       1,263,993.39
(亏损以“-”号填列)
  减:营业费用            2,130,512.50                           2,158,888.29
      管理费用           51,174,759.00      25,498,307.61       55,405,793.57      32,004,462.26
      财务费用          -10,378,207.40      -9,805,413.68      -5,113,712.73       -4,552,438.56
三、营业利润(亏损
                        186,866,087.50      -4,174,426.89      149,116,698.13     -19,450,706.91
以“-”号填列)
  加:投资收益(亏
                        359,562,793.07     454,879,179.56      437,621,084.42     522,778,565.25
损以“-”号填列)
      补贴收入
      营业外收入          1,212,527.97       8,670,098.79          277,688.72         192,134.71
  减:营业外支出          1,177,249.49           4,936.11          716,648.74         510,926.55
四、利润总额(亏损
                        546,464,159.05     459,369,915.35      586,298,822.53     503,009,066.50
以“-”号填列)
  减:所得税             29,648,190.77                          26,068,307.32
      少数股东损益       61,886,019.68                          57,221,448.71
  加:未确认的投资
损失本期发生额
五、净利润(亏损以
                        454,929,948.60     459,369,915.35      503,009,066.50     503,009,066.50
“-”号填列)
  加:年初未分配利
                      1,041,652,159.99   1,041,652,159.99    1,095,928,648.86   1,095,928,648.86

      其他转入            1,229,136.44       1,229,136.44
六、可供分配的利润    1,497,811,245.03   1,502,251,211.78    1,598,937,715.36   1,598,937,715.36
  减:提取法定盈余
公积
      提取法定公益

      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
                      1,497,811,245.03   1,502,251,211.78   1,598,937,715.36    1,598,937,715.36
的利润
  减:应付优先股股

      提取任意盈余
公积
      应付普通股股
                        809,250,000.00     809,250,000.00     622,500,000.00      622,500,000.00

      转作资本(或
股本)的普通股股利
八、未分配利润          688,561,245.03     693,001,211.78     976,437,715.36      976,437,715.36
利润表(补充资料)
  1.出售、处置部门
或被投资单位所得收

  2.自然灾害发生的
损失
  3.会计政策变更增
加(或减少)利润总

  4.会计估计变更增
加(或减少)利润总       14,345,786.71

  5.债务重组损失
  6.其他
 2.3   报告期末股东总数及前十名流通股股东持股表
      报告期末股东总数                                     28,326
                                    前十名流通股股东持股情况
      股东名称(全称)            期末持有流通股的数量             种类(A、B、H股或其它)
中国银行-嘉实服务增值行业证
                                      29,937,903.00                          A股
券投资基金
中国工商银行-南方稳健成长证
                                      16,491,875.00                          A股
券投资基金
中国银行-海富通收益增长证券
                                      10,000,000.00                          A股
投资基金
中国银行-嘉实成长收益型证券
                                       9,391,811.00                          A股
投资基金
中国平安人寿保险股份有限公
                                       9,294,878.00                          A股
司-传统-普通保险产品
鸿阳证券投资基金                       7,577,456.00                          A股
交通银行-普惠证券投资基金              6,614,549.00                          A股
中国工商银行-天元证券投资基
                                       6,500,000.00                          A股

中国工商银行-裕元证券投资基
                                5,400,000.00                    A股

泰和证券投资基金                5,369,446.00                    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
 3.1.1  公司经营情况的总体分析
     报告期内,公司管理层按照讲责任、抓管理、抓发展、抓党建的总体工作思路,进一
 步强化责任意识,明确工作分工,加强公司制度建设,全面修订完善了公司的内部控制制
 度,使公司管理进一步规范化;公司采取了多种措施加强对控参股企业的管理,强化了对
 产权代表和外派管理人员的管理;公司制定实施了按季度召开经营分析例会制度,协调解
 决企业经营中存在的困难和问题;强调计划的合理性和预算执行的刚性,严格控制成本费
 用;加强公司内部的管理,提高服务效率和质量;为了促进公司的发展,公司研究制定了
 公司的发展思路,在继续抓好盐田港区的项目发展工作的同时,密切关注国内相关产业的
 投资机会,进行了大量的项目调研工作,并取得了一定的进展。
 3.1.2公司经营业务情况的分析
     今年年初至报告期末,公司经营情况逐步好转,经营指标下降速度减缓。在公司按股
 权比例享有的参股公司盐田国际集装箱码头有限公司投资收益同比下降8,835万元,下降
 20.06%的情况下,公司控股公司深圳惠盐高速公路有限公司和深圳梧桐山隧道有限公司等
 经营单位通过努力经营,减少了盐田国际对公司的影响,公司净利润同比下降4,808万元,
 下降9.56%(1-3月下降16.74%,1-6月下降10.70%)。
     今年年初至报告期末,公司主营业务收入为465,118,918.16元,比上年同期增长
 1.31%,主营业务利润为228,835,918.00元,比上年同期增长15.36%,主要原因是公司之
控股公司深圳惠盐高速公路有限公司和深圳梧桐山隧道有限公司车流量增长所致。净利润
为454,929,948.60元,比上年同期降低9.56%,主要原因是公司之参股公司盐田国际集装
箱码头有限公司业务量和利润降低使得公司按股权比例享有的投资收益降低。经营活动产
生的现金流量净额为213,353,431.38元,比上年同期增长40.11%,主要原因是公司之控
股公司深圳惠盐高速公路有限公司和深圳梧桐山隧道有限公司现金收入增长,以及深圳市
盐田港混凝土有限公司加强收款工作,经营性现金收入增长所致。
    在港口集装箱装卸业务方面:公司参股公司盐田国际集装箱码头有限公司经营管理的
盐田港一、二期码头设计能力为200万标箱,随着盐田港三期码头投入经营,一、二期泊
位由2004年前的超负荷运作逐步回归到正常运作,加上盐田港二期码头的企业所得税2005
年也进入五年减半征收期(7.5%),不会再有超常投资收益。因此,盐田港一、二期泊位
2005年的集装箱吞吐量和净利润有所下降。今年年初至报告期末,盐田国际集装箱码头有
限公司完成集装箱吞吐量300万TEU,较上年同期下降11%,实现净利润1,304,225,122.28
元,较上年同期下降20.06%(按港币计算下降19.72%)。报告期内公司投资的西港区项目
1~4月份由公司港务部经营,5月1日后由公司与和记黄埔盐田港口投资有限公司合资成
立的深圳盐田西港区码头有限公司(以下简称“西港区码头公司”)经营。今年年初至报告
期末西港区吞吐量为21.74万TEU,较上年同期增长38%,其中1~4月份吞吐量为7.96万
TEU,5~9月份吞吐量为13.78万TEU;公司及西港区码头公司投资800余万美元为西港区
3#泊位采购的两台岸边式集装箱起重机已于2005年8月份到货,配备专业集装箱装卸设备
的3#泊位计划于10月份投入使用,预计投入使用后将提升西港区码头的操作能力及整体
装卸价格。
    公司参股公司广东湛江港股份有限公司经营情况良好,今年年初至报告期末完成货运
吞吐量1,160万吨,较上年同期增长59.87%,实现主营业务收入21,300万元,较上年同
期增长21.77%,利润总额6,677万元,较上年同期增长21.01%。
    在疏港交通运输业务方面:疏港交通运输业务报告期内总体经营情况较好。由于广东
省高速公路于2004年底实施联网收费,深圳惠盐高速公路公司(以下简称“公路公司”)
经营的惠盐高速公路按规定由原有的入口收费方式改为按实际里程收费,以前入口收费后
未走全程而收取全程费用的情况不再存在,平均单车收费水平下降使公路公司封闭路段日
均收入减少;同时,2005年6月1日起五类车收费标准下调使过路费收入受到影响,由于
采取了提高服务水平、加强管理工作等措施,并由于周边地区经济发展带动了车流量的迅
速增长,消化了下降因素。公路公司今年年初至报告期末车流总量为2,964万辆,较上年
同期增加21%,主营业务收入为17,683万元,较上年同期增长7.64%,实现净利润10,446
万元,较上年同期增长21.68%;深圳梧桐山隧道有限公司今年年初至报告期末车流总量为
802万辆,较上年同期增加了5.3%,主营业务收入为11,346万元,较上年同期增长5.49%,
实现净利润6,153万元,较上年同期增长6.82%。
    在仓储物流业务等方面:公司控股的深圳市盐田港出口货物监管仓有限公司经营的3
号区1#仓由于工程建设影响,1~4月份处于空置状态,从5月份开始已有客户进驻,今年
年初至报告期末主营业务收入为170万元,实现净利润-212万元,后续经营情况将有所好
转;公司投资新建的3号区2#仓于6月份全面验收,已与客户签订了盐港2#仓的使用合同,
给公司带来了新的营业收入并开始盈利。5号仓总体经营情况正常,今年年初至报告期末
完成出仓业务量为20.42万方,较上年同期增加26.83%,实现利润125万元,较上年同期
增长181%。深圳盐田港珠江物流有限公司今年年初至报告期末主营业务收入为3340万元,
较上年同期增长9.01%,实现净利润287万元,较上年同期下降48.81%,主要因燃油价格
上涨及港口内拖业务毛利率下降。
    公司参股公司海南海峡航运股份有限公司今年年初至报告期末总体经营状况比较好,
 完成主营业务收入15,537万元,较上年同期增长了17%,实现净利润3,659万元,较上年
 同期增长了40%。
     商品混凝土生产业务市场竞争依然激烈。深圳市盐田港混凝土有限公司今年年初至报
 告期末实现主营业务收入8,543万元,较上年同期增加1.76%,实现净利润-132万元,较
 上年同期减亏234万元;深圳市港龙混凝土有限公司今年年初至报告期末实现主营业务收
 入3,038万元,较上年同期减少36%,实现净利润180万元,较上年同期增长39%;
 3.1.3  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
                                                              单位:(人民币)万元
                                主营业务分行业情况
                    主营业务收入       主营业务成本           毛利率(%)
水泥制品业                  2,962.83           2,711.93                     8.47%
交通运输业                 12,911.68           3,307.59                    74.38%
  其中:关联交易              525.47             521.43                     0.77%
                                主营业务分产品情况
商品混凝土                  2,962.83           2,711.93                     8.47%
其他                       12,911.68           3,307.59                    74.38%
  其中:关联交易              525.47             521.43                     0.77%
 3.1.4  公司经营的季节性或周期性特征
 □适用√不适用
 3.1.5  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
 3.1.6  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
 3.1.7  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
 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
    本报告期内,中国人民银行宣布从2005年7月21日改革人民币汇率制度,由于本公司持股
27%之联营公司盐田国际集装箱码头有限公司以港币作为记账本位币,所以该项汇率制度改革
对本公司按股权比例享有的该公司权益产生较大影响。
    除以上汇率改革事项外,本报告期内没有发生或将要发生、或以前期间发生但延续到本
报告期的其它重大事项,对本报告期或以后期间的公司财务状况、经营成果无重大影响。
 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
    本报告期内,本公司之控股子公司深圳惠盐高速公路有限公司对公路主体固定资产折旧
标准进行了调整。由于近年来实际车流量与预计车流量产生较大偏差,根据会计师事务所的
建议,该公司聘请交通部第一公路勘察设计院对该公司公路剩余经营期间的车流量进行了预
测,根据该院的预测结果并报经该公司董事会批准,该公司公路主体固定资产从2005年1月1
日起采用新的折旧标准(标准车全程折旧额1.377434元/车),与原来采用的折旧标准比较,
该公司今年1-9月减少折旧费用1435万元,扣除企业所得税和少数股东损益后,该项会计估计
变更增加本公司1-9月净利润813万元。
    除以上会计估计变更外,本报告期内,本公司会计政策、会计估计以及财务报表合并范
围没有发生其它变化,也没有因重大会计差错而进行追溯调整。
 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  原非流通股东在股权分置改革过程中做出的特殊承诺及其履行情况
 □适用√不适用
                                                 深圳市盐田港股份有限公司董事会
                                                     二○○五年十月二十七日
     附录:
                                                               深圳市盐田港股份有限公司
                                                                        合并资产负债表
                                                                          2005年9月30日
                                                                                                                                                    单位:人民币元
          资                   产               2005.9.30             2005.1.1                  负债和股东权益                     2005.9.30             2005.1.1
流动资产                                                                              流动负债
        货币资金                               1,046,572,728.93      741,539,442.09             短期借款                            39,000,000.00        17,000,000.00
        短期投资                                                                                应付票据                            2,000,000.00             64,200.00
        应收票据                                                         200,000.00             应付账款                           40,499,004.51         56,853,194.87
        应收股利                                                                                预收账款                               167,974.11           209,670.00
        应收利息                                                                                应付工资                            27,144,089.25        16,997,198.99
        应收账款                                107,590,443.29       114,826,658.06             应付福利费                          5,793,451.64          5,186,614.57
        其他应收款                                4,091,007.18         4,571,635.59             应付股利                            2,897,492.08          2,276,812.97
        预付账款                                   9,288,442.19       10,707,419.09             应交税金                            16,726,820.58        12,300,142.40
        应收补贴款                                                                              其他应交款                              48,408.26            80,038.36
        存货                                      4,908,208.52         3,402,253.24             其他应付款                         24,016,806.37         27,795,712.48
        待摊费用                                  1,139,858.50         1,405,559.76             预提费用                           12,367,227.22          3,986,616.75
        待处理流动资产净损失                                                                    预计负债
       一年内到期的长期债券投资                                                                一年内到期的长期负债
        其他流动资产                                                                            其他流动负债
           流动资产合计                        1,173,590,688.61      876,652,967.83             流动负债合计                       170,661,274.02       142,750,201.39
长期投资                                                                              长期负债
        长期股权投资                          1,300,644,576.21     1,558,379,571.02           长期借款                            107,798,600.40         98,869,600.40
        长期债权投资                                       0.00      343,025,585.39           应付债券
        长期投资合计                           1,300,644,576.21    1,901,405,156.41           长期应付款                                                111,580,010.10
固定资产                                                                                      应计被投资单位债务
        固定资产原值                          1,438,624,715.33     1,459,722,172.25           其他长期负债
            减:累计折旧                         469,699,596.53      450,882,676.94           长期负债合计                        107,798,600.40        210,449,610.50
        固定资产净值                             968,925,118.80    1,008,839,495.31           负债合计                             278,459,874.42       353,199,811.89
            减:固定资产减值准备                                                              少数股东权益                        325,183,205.91        187,871,511.08
        固定资产净额                            968,925,118.80    1,008,839,495.31股东权益:
        在建工程                                 230,756,798.93      204,756,617.07           股本                               1,245,000,000.00     1,245,000,000.00
        固定资产清理                               6,139,493.92                               资本公积                             793,819,244.14       814,395,093.74
        固定资产合计                          1,205,821,411.65     1,213,596,112.38           盈余公积                            427,816,813.27        427,816,813.27
无形资产及其他资产                                                                               其中:法定公益金                 145,613,524.31        145,613,524.31
        无形资产                                  77,518,174.23       76,322,158.82           现金股利                                                  809,250,000.00
        长期待摊费用                               1,265,532.07        1,958,994.53           未分配利润                           688,561,245.03       232,402,159.99
        其他长期资产                                                                          股东权益合计                      3,155,197,302.44      3,528,864,067.00
        无形及其他长期资产合计                   78,783,706.30        78,281,153.35
        资产总计                              3,758,840,382.77     4,069,935,389.97           负债及股东权益合计                3,758,840,382.77      4,069,935,389.97
                                                             深圳市盐田港股份有限公司
                                                                         资产负债表
                                                                        2005年9月30日
                                                                                                                                                 单位:人民币元
         资                   产                2005.9.30             2005.1.1                负债和股东权益                   2005.9.30             2005.1.1
流动资产                                                                              流动负债
     货币资金                                  792,094,319.13        572,284,177.96       短期借款
     短期投资                                                                             应付票据                                                         64,200.00
     应收票据                                                                             应付账款                                3,205,643.96          5,851,762.49
     应收股利                                    4,237,058.45          3,301,403.33       预收账款
     应收利息                                                                             应付工资                               14,396,063.28         7,660,859.61
     应收账款                                      3,193,659.96       13,887,843.14       应付福利费                              1,878,807.37          1,708,316.73
     其他应收款                                  212,485,997.46      225,864,060.35       应付股利                                        0.00
     预付账款                                    8,873,961.19         10,601,519.09       应交税金                                  798,574.72         1,336,907.49
     应收补贴款                                                                           其他应交款                                  4,813.91             7,784.42
     存货                                                              1,359,572.50       其他应付款                              6,495,972.06          4,122,378.95
     待摊费用                                                            344,842.59       预提费用                                3,699,782.76          2,670,531.09
     待处理流动资产净损失                                                                 预计负债
     一年内到期的长期债券投资                                                             一年内到期的长期负债
     其他流动资产                                                                         其他流动负债
         流动资产小计                          1,020,884,996.19      827,643,418.96         流动负债合计                         30,479,658.06         23,422,740.78
长期投资                                                                              长期负债
     长期股权投资                            1,774,901,941.99      1,817,133,748.72       长期借款
     长期债权投资                                          0.00      343,025,585.39       应付债券
                 长期投资合计                  1,774,901,941.99    2,160,159,334.11       长期应付款
固定资产                                                                                   应计被投资单位债务
     固定资产原值                              241,346,375.28        369,941,716.09       其他长期负债
        减:累计折旧                              30,685,576.31       49,402,686.01          长期负债合计                                 0.00                  0.00
     固定资产净值                                210,660,798.97      320,539,030.08
        减:固定资产减值准备                                                                 负债合计                            30,479,658.06        23,422,740.78
     固定资产净额                              210,660,798.97       320,539,030.08股东权益
     在建工程                                    209,693,754.13      204,602,989.07       股本                                1,245,000,000.00      1,245,000,000.00
     固定资产清理                                  6,139,493.92                           资本公积                              863,968,194.19        814,395,093.74
        固定资产合计                           426,494,047.02        525,142,019.15       盈余公积                              427,816,813.27       427,816,813.27
无形资产及其他资产                                                                           其中:法定公益金                   145,613,524.31       145,613,524.31
     无形资产                                     37,382,614.12       38,713,144.14       现金股利                                                    809,250,000.00
     长期待摊费用                                    602,277.98          628,891.42       未分配利润                            693,001,211.78        232,402,159.99
     其他长期资产                                                                            股东权益合计                     3,229,786,219.24     3,528,864,067.00
    无形及其他长期资产合计                      37,984,892.10         39,342,035.56
               资产总计                        3,260,265,877.30    3,552,286,807.78         负债及股东权益合计                3,260,265,877.30      3,552,286,807.78
                                                      深圳市盐田港股份有限公司
                                                                  合并利润表
                                                                                                                                  单位:人民币元
             项目                                           2005年7-9月            2005年1-9月             2004年7-9月             2004年1-9月
一、主营业务收入                                               162,551,934.54          465,118,918.16          160,506,686.31         459,118,829.48
     减:主营业务成本                                           57,317,422.00          220,241,224.01           81,302,522.76         244,407,773.54
          主营业务税金及附加                                     5,433,640.21           16,041,776.15            6,032,734.16          16,338,864.45
二、主营业务利润                                                99,800,872.33          228,835,918.00           73,171,429.39         198,372,191.49
     加:其他业务利润                                              401,048.07              957,233.60              381,314.84           3,195,475.77
     减:营业费用                                                  729,165.86            2,130,512.50              715,399.97           2,158,888.29
          管理费用                                              18,076,496.02           51,174,759.00           19,235,011.45          55,405,793.57
          财务费用                                              -7,153,293.16          -10,378,207.40           -1,815,598.15          -5,113,712.73
三、营业利润                                                    88,549,551.68          186,866,087.50           55,417,930.96         149,116,698.13
     加:投资收益                                              135,118,375.56          359,562,793.07          173,372,096.43         437,621,084.42
          营业外收入                                               649,884.99            1,212,527.97                8,281.24             277,688.72
     减:营业外支出                                                732,640.85            1,177,249.49              142,791.38             716,648.74
四、利润总额                                                   223,585,171.38          546,464,159.05          228,655,517.25         586,298,822.53
     减:所得税                                                 13,258,460.74           29,648,190.77            9,779,391.69          26,068,307.32
          少数股东损益                                          27,767,443.50           61,886,019.68           20,868,231.85          57,221,448.71
五、净利润                                                     182,559,267.14          454,929,948.60          198,007,893.71         503,009,066.50
补充资料:
1、出售、处理部门或被投资单位所得收益
2、自然灾害发生的损失
3、会计政策变更增加(或减少)利润总额
4、会计估计变更增加(或减少)利润总额                           14,345,786.71
5、债务重组损失
6、其他
                                                         深圳市盐田港股份有限公司
                                                                        利润表
                                                                                                                                         单位:人民币元
             项目                                                2005年7-9月             2005年1-9月            2004年7-9月            2004年1-9月
一、主营业务收入                                                        8,408,513.94          35,952,996.77          16,764,226.51         43,338,070.32
     减:主营业务成本                                                   4,006,875.98         24,080,323.89           13,432,778.00         35,053,346.81
           主营业务税金及附加                                             439,548.18           1,441,036.92             601,879.92          1,547,400.11
二、主营业务利润                                                        3,962,089.78         10,431,635.96            2,729,568.59          6,737,323.40
     加:其他业务利润                                                     224,315.81           1,086,831.08             230,926.00          1,263,993.39
     减:营业费用                                                               0.00                                          0.00
           管理费用                                                     8,286,284.07          25,498,307.61          11,249,923.81         32,004,462.26
           财务费用                                                    -6,689,409.09          -9,805,413.68          -1,639,556.53         -4,552,438.56
三、营业利润                                                            2,589,530.61          -4,174,426.89          -6,649,872.69        -19,450,706.91
     加:投资收益                                                     178,709,750.56         454,879,179.56         204,696,622.40        522,778,565.25
           营业外收入                                                     642,000.00          8,670,098.79                3,950.00            192,134.71
     减:营业外支出                                                          -400.00               4,936.11              42,806.00            510,926.55
四、利润总额                                                          181,941,681.17        459,369,915.35          198,007,893.71        503,009,066.50
     减:所得税                                                                 0.00                                          0.00
         少数股东损益                                                           0.00                                          0.00
五、净利润                                                            181,941,681.17         459,369,915.35         198,007,893.71        503,009,066.50
补充资料:
1、出售、处理部门或被投资单位所得收益
2、自然灾害发生的损失
3、会计政策变更增加(或减少)利润总额
4、会计估计变更增加(或减少)利润总额                                  14,345,786.71
5、债务重组损失
6、其他
                                                              深圳市盐田港股份有限公司
                                                                          现金流量表
                                                                                                                                                单位:人民币元
                                                                                          合并                                           母公司
                                项目                                    2005年1-9月             2004年1-9月              2005年1-9月              2004年1-9月
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                                           485,737,975.45          469,409,552.25             48,401,424.38           38,075,565.86
     收到的租金
     收到的税费返还
     收到的其它与经营活动有关的现金                                          32,095,168.06            33,188,055.01           18,260,284.48            15,074,986.51
                          现金流入小计                                      517,833,143.51          502,597,607.26             66,661,708.86           53,150,552.37
     购买商品、接受劳务支付的现金                                           155,797,147.03          155,727,038.97             13,685,717.01           17,092,684.48
     经营租赁所支付的现金
     支付给职工以及为职工支付的现金                                          49,746,765.12           56,592,330.61             14,006,536.43           22,648,098.91
     支付的各项税费                                                          52,277,152.93            75,548,338.14            1,822,612.65            30,911,480.00
    支付的其他与经营活动有关的现金                                           46,658,647.05            62,451,916.83           27,302,448.69            22,672,427.80
                          现金流出小计                                      304,479,712.13          350,319,624.55             56,817,314.78           93,324,691.19
     经营活动产生的现金流量净额                                             213,353,431.38          152,277,982.71              9,844,394.08          -40,174,138.82
二、投资活动产生的现金流量
     收回投资所收到的现金                                                   342,993,337.05                                   409,941,343.12            20,000,000.00
     取得投资收益所收到的现金                                               598,312,677.38          688,581,745.61            624,412,677.38          769,776,177.61
     取得债券利息收入所收到的现金
    &nb