深达声A2006年第三季度报告

                深圳市赛格达声股份有限公司2006年第三季度季度报告全文
    §1 重要提示
    本公司董事会、监事会及董事、监事、高级管理人员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。
    1.2 没有董事、监事、高级管理人员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。
    所有董事均出席董事会
    本报告期财务报告未经审计
    公司负责人李成碧、主管会计工作负责人赵谦及会计机构负责人(会计主管人员)魏翔声明:保证季度报告中财务报告的真实、完整。
    2.1 公司基本信息
    2.2 财务资料
    主要会计数据及财务指标
    
    §2 公司基本情况


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  股票简称                G深达声                            变更前简称(如有)      深达声                            
  股票代码                000007                                                                                       
                          董事会秘书                                     证券事务代表                                  
  姓名                    夏斓                                           廖宇                                          
  联系地址                深圳市福田区华强北路现代之窗大厦A座25楼        深圳市福田区华强北路现代之窗大厦A座25楼       
  电话                    0755-83280053                                 0755-83281909                                
  传真                    0755-83280089                                 0755-83280089                                
  电子信箱                stock0007@126.com                              stock0007@126.com                             
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    单位:(人民币)元


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                          本报告期末                     上年度期末                      本报告期末比上年度期末增减(  
                                                                                         %)                          
  总资产                  867,078,044.30                 854,288,325.12                  1.50%                         
  股东权益(不含少数股东  63,964,260.82                  87,893,471.05                   -27.23%                       
  权益)                                                                                                               
  每股净资产              0.35                           0.61                            -42.62%                       
  调整后的每股净资产      0.18                           0.34                            -47.06%                       
                          报告期                         年初至报告期期末                本报告期比上年同期增减(%)  
  经营活动产生的现金流量  6,409,187.89                   23,111,001.82                   -67.53%                       
  净额                                                                                                                 
  每股收益                -0.05                          -0.13                           -50.00%                       
  每股收益(注)          -0.05                          -                               -                             
  净资产收益率            -14.43%                        -38.43%                         6.22%                         
  扣除非经常性损益后的净  -10.05%                        -35.39%                         7.15%                         
  资产收益率                                                                                                           
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━

    注:如果报告期末至报告披露日公司股本已发生变化,按新股本计算的每股收益。


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  非经常性损益项目            金额                                                                                     
  营业外收支差额                                                                          -846,056.74                  
  投资收益(股权投资差额摊销                                                              -1,094,040.71                
  )                                                                                                                   
  扣除所得税影响                                                                                                       
  合计                                                                                    -1,940,097.45                
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    2.2.2 财务报表
    2.2.2.1 资产负债表编制单位:深圳市赛格达声股份有限公司 2006 年9月30日单位:(人民币)元


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  项目                    期末数                                         上年度末数                                    
                          合并                        母公司             合并                   母公司                 
  流动资产:                                                                                                           
  货币资金                21,088,483.46               3,159,970.61       19,586,421.00          153,724.60             
  短期投资                300,000.00                                     300,000.00                                    
  应收票据                                                                                                             
  应收股利                                                                                                             
  应收利息                                                                                                             
  应收账款                10,908,107.52                                  9,006,499.01                                  
  其他应收款              86,231,274.44               182,639,940.44     84,666,966.11          178,690,298.21         
  预付账款                48,371,432.37                                  92,245,162.06                                 
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  应收补贴款                                                                                                           
  存货                  175,202,239.55                                     173,893,985.83                              
  待摊费用              1,962,638.50                                       1,309,702.50                                
  一年内到期的长期债权                                                                                                 
  投资                                                                                                                 
  其他流动资产          1,717,449.03                                       1,874,962.98                                
  流动资产合计          345,781,624.87            185,799,911.05           382,883,699.49          178,844,022.81      
  长期投资:                                                                                                           
  长期股权投资          56,775,472.77             394,051,702.65           62,486,659.00           412,243,662.90      
  长期债权投资                                                                                                         
  长期投资合计          56,775,472.77             394,051,702.65           62,486,659.00           412,243,662.90      
  合并价差                                                                                                             
  固定资产:                                                                                                           
  固定资产原价          615,216,603.08            220,175,142.49           537,716,902.19          220,175,142.49      
  减:累计折旧          129,145,803.73            40,502,120.22            107,097,327.51          36,012,018.70       
  固定资产净值          486,070,799.35            179,673,022.27           430,619,574.68          184,163,123.79      
  减:固定资产减值准备  33,680,014.39                                      33,680,014.39                               
  固定资产净额          452,390,784.96            179,673,022.27           396,939,560.29          184,163,123.79      
  工程物资                                                                                                             
  在建工程              1,548,993.05                                       1,283,823.05                                
  固定资产清理                                                                                                         
  固定资产合计          453,939,778.01            179,673,022.27           398,223,383.34          184,163,123.79      
  无形资产及其他资产:                                                                                                 
  无形资产              10,474,545.62             173,333.21               10,605,750.81           192,833.24          
  长期待摊费用          106,623.03                106,623.03               88,832.48               88,832.48           
  其他长期资产                                                                                                         
  无形资产及其他资产合  10,581,168.65             279,956.24               10,694,583.29           281,665.72          
  计                                                                                                                   
  递延税项:                                                                                                           
  递延税款借项                                                                                                         
  资产总计              867,078,044.30            759,804,592.21           854,288,325.12          775,532,475.22      
  流动负债:                                                                                                           
  短期借款              479,866,412.43            391,962,705.43           492,411,334.97          394,629,046.97      
  应付票据                                                                 2,337,735.94                                
  应付账款              35,859,004.88             66,460.00                41,191,990.14           66,460.00           
  预收账款              18,705,020.43             2,620,442.90             5,975,006.43            2,278,316.73        
  应付工资              1,146,514.47                                       823,724.32                                  
  应付福利费            3,740,046.30              1,125,547.21             4,007,122.39            933,566.19          
  应付股利                                                                                                             
  应交税金              43,219,771.58             2,505,647.38             48,865,232.54           1,905,302.90        
  其他应交款            481,285.27                5,547.51                 156,930.92              15,024.95           
  其他应付款            84,030,589.28             256,902,001.18           72,265,980.07           265,387,285.73      
  预提费用              60,308,649.57             45,934,040.20            23,850,000.00           5,350,000.00        
  预计负债              25,350,000.00             6,850,000.00             36,654,206.12           28,517,850.35       
  一年内到期的长期负债  2,530,000.00              2,530,000.00             2,530,000.00            2,530,000.00        
  其他流动负债          0.00                      0.00                     0.00                    0.00                
  流动负债合计          755,237,294.21            710,502,391.81           731,069,263.84          701,612,853.82      
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  长期负债:                                                                                                           
  长期借款                                                                                                             
  应付债券                                                                                                             
  长期应付款               14,716,621.50                                 14,716,621.50                                 
  专项应付款                                                                                                           
  其他长期负债                                                                                                         
  长期负债合计             14,716,621.50                                 14,716,621.50                                 
  递延税项:                                                                                                           
  递延税款贷项                                                                                                         
  负债合计                 769,953,915.71           710,502,391.81       745,785,885.34            701,612,853.82      
  少数股东权益             33,159,867.77                                 20,608,968.73                                 
  所有者权益(或股东                                                                                                   
  权益):                                                                                                             
  实收资本(或股本)       184,965,363.00           184,965,363.00       143,593,664.00            143,593,664.00      
  减:已归还投资                                                                                                       
  实收资本(或股本)       184,965,363.00           184,965,363.00       143,593,664.00            143,593,664.00      
  净额                                                                                                                 
  资本公积                 78,777,373.97            78,777,373.97        120,149,072.97            120,149,072.97      
  盈余公积                 15,103,687.25            8,998,897.98         15,103,687.25             8,998,897.98        
  其中:法定公益金                                                                                                     
  未分配利润               -203,568,425.08          -223,439,434.55      -178,989,798.08           -198,822,013.55     
  其中:现金股利                                                                                                       
  未确认的投资损失         -11,313,738.32                                -11,963,155.09                                
  外币报表折算差额                                                                                                     
  所有者权益(或股东       63,964,260.82            49,302,200.40        87,893,471.05             73,919,621.40       
  权益)合计                                                                                                           
  负债和所有者权益(       867,078,044.30           759,804,592.21       854,288,325.12            775,532,475.22      
  或股东权益)合计                                                                                                     
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━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
  法定代表人:李成碧        主管会计机构负责人:赵谦           会计机构负责人:魏翔                                    
  2.2.2.2     本报告期利润及利润分配表                                                                                 
  编制单位:深圳市赛格达声股份有限公司                         2006年7—9月                   单位:(人民币)元       
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━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
  项目                       本期                                           上年同期                                   
                             合并                    母公司                 合并                母公司                 
  一、主营业务收入           38,765,584.53           5,826,668.84           22,360,125.45       4,385,726.98           
  减:主营业务成本           7,615,327.71            471,378.20             4,198,658.09        477,054.96             
  主营业务税金及附加         2,020,002.65            302,986.81             1,165,233.60        228,057.82             
  二、主营业务利润(亏       29,130,254.17           5,052,303.83           16,996,233.76       3,680,614.20           
  损以“-”号填列)                                                                                                    
  加:其他业务利润(亏       1,019,615.01                                   31,070.81                                  
  损以“-”号填列)                                                                                                    
  减:营业费用               15,788,688.19                                  10,024,703.41                              
  管理费用                   10,272,631.36           4,027,428.95           11,972,579.01       1,421,877.94           
  财务费用                   8,221,943.80            6,092,461.54           7,812,987.29        6,123,110.20           
  三、营业利润(亏损以       -4,133,394.17           -5,067,586.66          -12,782,965.14      -3,864,373.94          
  “-”号填列)                                                                                                        
  加:投资收益(亏           -1,964,571.75           -4,189,830.75          -2,021,814.47       -10,344,959.33         
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━



━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
  损以“-”号填列)                                                                                                    
  补贴收入                                                                                                             
  营业外收入             222,674.75                 25,661.66           863,654.19                 814,885.00          
  减:营业外支出         1,058,897.95               146.15              1,243,989.13               1,013,788.34        
  四、利润总额(亏损以   -6,934,189.12              -9,231,901.90       -15,185,114.55             -14,408,236.61      
  “-”号填列)                                                                                                        
  减:所得税             309,516.18                                     243,744.64                                     
  少数股东损益           1,982,271.24               0.00                -419,210.04                                    
  加:未确认的投资损失   -5,925.36                                      601,412.54                                     
  本期发生额                                                                                                           
  五、净利润(亏损以“-  -9,231,901.90              -9,231,901.90       -14,408,236.61             -14,408,236.61      
  ”号填列)                                                                                                           
  加:年初未分配利润     0.00                       0.00                0.00                       0.00                
  其他转入               0.00                       0.00                                                               
  六、可供分配的利润     -9,231,901.90              -9,231,901.90       -14,408,236.61             -14,408,236.61      
  减:提取法定盈余公积                                                                                                 
  提取法定公益金                                                                                                       
  提取职工奖励及福利基                                                                                                 
  金                                                                                                                   
  提取储备基金                                                                                                         
  提取企业发展基金                                                                                                     
  利润归还投资                                                                                                         
  七、可供投资者分配的   -9,231,901.90              -9,231,901.90       -14,408,236.61             -14,408,236.61      
  利润                                                                                                                 
  减:应付优先股股利                                                                                                   
  提取任意盈余公积                                                                                                     
  应付普通股股利                                                                                                       
  转作资本(或股本)的                                                                                                 
  普通股股利                                                                                                           
  八、未分配利润         -9,231,901.90              -9,231,901.90       -14,408,236.61             -14,408,236.61      
  利润表(补充资料)                                                                                                   
  1.出售、处置部门或被                                                                                                
  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                                                                                                     
  5.债务重组损失                                                                                                      
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  法定代表人:李成碧        主管会计机构负责人:赵谦           会计机构负责人:魏翔                                    
  2.2.2.3     年初到报告期末利润及利润分配表                                                                           
  编制单位:深圳市赛格达声股份有限公司                         2006年1—9月                   单位:(人民币)元       
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  项目                      年初到报告期末                                 上年同期                                    
                            合并                 母公司                    合并                 母公司                 
  一、主营业务收入          110,472,327.78       15,921,583.92             64,658,389.71        13,022,955.63          
  减:主营业务成本          21,394,749.51        1,036,308.86              9,497,304.22         1,410,365.41           
  主营业务税金及附加        5,752,278.79         828,133.58                3,410,089.27         677,193.70             
  二、主营业务利润(亏      83,325,299.48        14,057,141.48             51,750,996.22        10,935,396.52          
  损以“-”号填列)                                                                                                    
  加:其他业务利润(亏      2,317,167.81                                   1,594,990.68                                
  损以“-”号填列)                                                                                                    
  减:营业费用              49,779,067.20        0.00                      23,828,138.93                               
  管理费用                  35,276,470.02        10,785,853.37             36,193,235.64        15,108,604.11          
  财务费用                  25,131,647.66        18,307,030.47             23,817,945.31        18,723,933.94          
  三、营业利润(亏损以      -24,544,717.59       -15,035,742.36            -30,493,332.98       -22,897,141.53         
  “-”号填列)                                                                                                        
  加:投资收益(亏损以      -1,094,040.71        -9,611,960.25             -5,950,957.97        -12,267,228.33         
  “-”号填列)                                                                                                        
  补贴收入                                                                                                             
  营业外收入                623,781.56           31,387.50                 26,832,176.80        26,697,407.78          
  减:营业外支出            1,469,838.30         1,105.89                  1,479,444.21         1,025,195.33           
  四、利润总额(亏损以      -26,484,815.04       -24,617,421.00            -11,091,558.36       -9,492,157.41          
  “-”号填列)                                                                                                        
  减:所得税                880,478.94                                     316,615.56                                  
  少数股东损益              -3,436,083.75                                  -1,206,685.75                               
  加:未确认的投资损失      -649,416.77                                    709,330.76                                  
  本期发生额                                                                                                           
  五、净利润(亏损以“      -24,578,627.00       -24,617,421.00            -9,492,157.41        -9,492,157.41          
  -”号填列)                                                                                                          
  加:年初未分配利润        -178,989,798.08      -198,822,013.55           -183,582,392.40      -206,497,088.43        
  其他转入                                                                                                             
  六、可供分配的利润        -203,568,425.08      -223,439,434.55           -193,074,549.81      -215,989,245.84        
  减:提取法定盈余公积                                                                                                 
  提取法定公益金                                                                                                       
  提取职工奖励及福利基                                                                                                 
  金                                                                                                                   
  提取储备基金                                                                                                         
  提取企业发展基金                                                                                                     
  利润归还投资                                                                                                         
  七、可供投资者分配的      -203,568,425.08      -223,439,434.55           -193,074,549.81      -215,989,245.84        
  利润                                                                                                                 
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  减:应付优先股股利                                                                                                   
  提取任意盈余公积                                                                                                     
  应付普通股股利                                                                                                       
  转作资本(或股本)的普                                                                                               
  通股股利                                                                                                             
  八、未分配利润          -203,568,425.08        -223,439,434.55         -193,074,549.81        -215,989,245.84        
  利润表(补充资料)                                                                                                   
  1.出售、处置部门或被                                                                                                
  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                                                                                                     
  5.债务重组损失                                                  &nbs