中国石化:2008年第一季度报告

证券代码:600028 证券简称:中国石化 
中国石油化工股份有限公司2008年第一季度报告

     1重要提示
    1.1    中国石油化工股份有限公司(“中国石化”)董事会、监事会及其董事、监事、高级管理人员保证本季度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                        本季度报告已经中国石化第三届董事会第二十次会议审议通过。
    1.3    本季度财务报告未经审计。
    1.4    中国石化董事长苏树林先生,董事、总裁王天普先生,董事、高级副总裁兼财务
    总监戴厚良先生,财务副总监兼会计机构负责人刘运先生声明并保证本季度报告
    中财务报告的真实、完整。
    2中国石化基本情况
    2.1主要会计数据及财务指标
    2.1.1按中国企业会计准则编制的主要会计数据及财务指标

                                                                                                   本报告期末
                                                     本报告期末               上年度期末           比上年度期
                                                                                                  末增减(%)
  总资产(人民币百万元)                                      773,761                   718,572            7.68
  归属于母公司股东权益
                                                           314,529                    300,949            4.51
   (人民币百万元)
  归属于母公司股东的每股净资产
                                                              3.628                     3.471            4.51
   (人民币元)
                                                                                                   比上年同期
                                                               年初至报告期期末
                                                                                                   增减(%)
  经营活动产生的现金流量净额
                                                                    5,255                             (84.21)
   (人民币百万元)
  每股经营活动产生的现金流量净额
                                                                    0.061                             (84.21)
   (人民币元)
                                                                                                   本报告期末
                                                       报告期           年初至报告期末             比上年度期
                                                                                                  末增减(%)
  归属于母公司股东净利润
                                                              6,701                     6,701         (65.78)
   (人民币百万元)
  基本每股收益(人民币元)                                      0.077                     0.077         (65.78)
  扣除非经常性损益后的基本每股收益
                                                            (0.002)(0.002)                           (100.88)
   (人民币元)

  稀释每股收益(人民币元)                                      0.050                     0.050        (77.88)
  全面摊薄净资产收益率(%)                                     2.130                     2.130      (4.892)
                                                                                                   个百分点
  扣除非经常性损益后的全面摊薄净资                                                                 (7.051)个
                                                            (0.001)(0.001)
  产收益率(%)                                                                                         百分点
                                                                    截至2008年3月31日止3个月期间
  非经常性损益项目
                                                                    (收入)/支出(人民币百万元)
  处理固定资产收益                                                                                (2)
  减员费用                                                                                         19
  捐赠支出                                                                                         53
  处理各项投资的收益                                                                              (4)
  其他各项营业外收入、支出                                                                    (7,321)
  以前年度已经计提各项减值准备的转回                                                             (31)
  小计                                                                                        (7,286)
  相应税项调整                                                                                      3
  合计                                                                                        (7,283)
    其中:影响母公司股东净利润的非经常损益                                                    (6,907)
           影响少数股东净利润的非经常损益                                                       (376)


 2.1.2按国际财务报告准则编制的主要会计数据及财务指标
                                                                                            本报告期末比上年
                                     于2008年3月31日            于2007年12月31日
                                                                                            度期末增减(%)
    总资产(人民币百万元)                           789,534                    732,725                   7.75
    本公司股东应占权益
                                                   320,374                    307,433                   4.21
     (人民币百万元)
    每股净资产(人民币元)                             3.695                      3.546                   4.21
    调整后的每股净资产
                                                     3.627                      3.466                   4.65
      (人民币元)
                                     截至2008年3月31日止        截至2007年3月31日止         本报告期比上年同
                                           3个月期间                  3个月期间                 期增减(%)
    经营活动所得现金净额
                                                     2,663                     31,139               (91.45)
     (人民币百万元)
    本公司股东应占利润                               6,062                     19,609               (69.09)
     (人民币百万元)
    基本每股收益        (人民币                      0.070                      0.226                (69.09)
    元)
    摊薄每股收益        (人民币                      0.043                      0.226                (80.97)
    元)
    净资产收益率(%)                                  1.892                      6.908              (5.016)
                                                                                                   个百分点


    2.1.3按中国企业会计准则和国际财务报告准则编制的二零零八年第一季度本公司的净利润和报告期末股东权益的差异
    2.1.3.1就中国企业会计准则和国际财务报告准则之重大差异对净利润的影响分析如下

                                                                 截至三月三十一日止
                                                                    三个月期间
                                                          二零零八年        二零零七年
                                                              人民币           人民币
                                                              百万元           百万元
           按中国企业会计准则编制
              的会计报表之净利润
             (含少数股东损益)                                6,644           20,454
           调整:
              油气资产                                          (800)              88
              土地使用权重估冲减摊销                               7                7
              以上调整对税务之影响                               155              (68)
           按国际财务报告准则编制的会计报表
              之本期间利润                                     6,006           20,481

    2.1.3.2就中国企业会计准则和国际财务报告准则之重大差异对股东权益的影响分析如下:

                                                         于二零零八年     于二零零七年
                                                         三月三十一日   十二月三十一日
                                                               人民币           人民币
                                                               百万元           百万元
           按中国企业会计准则编制
              的会计报表之股东权益
              (含少数股东权益)                               340,332         326,347
           调整:
              油气资产                                          10,539          11,339
             土地使用权重估                                     (1,035)         (1,042)
             以上调整对税务之影响                               (3,731)         (3,886)
           按国际财务报告准则编制的会计报表
              之权益                                           346,105         332,758


    2.2报告期末股东总数及前十名无限售条件股东持股表

报告期末股东总数                     股东总数为1,357,265户,其中境内1,350,463户,境
                                     外6,802户。
前十名无限售条件股东持股情况
                                                                           种类
           股东名称(全称)               期末持有无限售条件股份
                                              的数量(万股)        (A、B、H股或其它)
香港(中央结算)代理人有限公司                  1,669,913.2                  H
中国石油化工集团公司                              433,512.2                  A
国泰君安证券股份有限公司                           37,990.6                  A
博时主题行业股票证券投资基金                       12,196.3                  A
易方达50指数证券投资基金                           11,819.0                  A
同德证券投资基金                                    5,030.6                  A
博时精选股票证券投资基金                            4,207.6                  A
全国社保基金一零六组合                              3,700.0                  A
上证红利交易型开放式指数证券投资基金                3,658.4                  A
上证50交易型开放式指数证券投资基金                  3,184.8                  A

    2.3   经营业务回顾
    二零零八年第一季度,中国经济继续保持较快增长,国际原油价格持续攀升,国内成品油价格仍从紧控制,石化产品需求延续合理的增长势头,石化产品价格维持在相对较高的水平。本公司积极应对市场变化,采取多项措施保证市场供应。注重安全生产与节能降耗,强化企业管理,优化产品结构,油气产量、原油加工量、成品油销量、乙烯产量等均保持增长,实现了良好的生产经营业绩。
    勘探及开采板块:本公司抓住高油价时机,加大低品位储量动用力度,积极推进川气东送工程建设。一季度本公司原油和天然气产量同比分别增长3.39%和3.06%。
    炼油板块:保持装置安全满负荷运行,提高劣质原油加工量,增加成品油产量,保障国内市场需求。一季度本公司原油加工量同比增长9.57%。
    营销和分销板块:多方采集资源,综合运用外采、进口等措施增加成品油供应量,保证了市场的稳定供应。积极推广高标准油品,完善加油站服务功能。加强资源统筹,优化营销网络和物流运行,销售总量、零售量进一步增加。一季度本公司国内成品油经销量和零售量同比分别增长9.87%和17.59%。
    化工板块:主要化工装置保持安全满负荷运行,化工产品产量和销量稳步提高,集中销售的优势进一步发挥。一季度本公司乙烯和合成树脂产量同比分别增长3.85%和4.97%。
    第一季度主要生产经营情况

                                     截至3月31日止3个月期间      同比变动
生产经营数据               单位
                                       2008年      2007年          (%)
勘探及开采
原油产量                   万吨          1033.30      999.43           3.39
天然气产量               亿立方米          20.57       19.96           3.06
原油实现价格           人民币元/吨       3943.01     2582.70          52.67
天然气实现价格       人民币元/千立方米    916.79      799.27          14.70
炼油(注1)
原油加工量                 万吨          4188.53     3822.67           9.57
汽煤柴产量                 万吨          2553.52     2245.79          13.70
其中:汽油                 万吨           692.99      619.41          11.88
      柴油                 万吨          1660.86     1439.43          15.38
      煤油                 万吨           199.67      186.95           6.80
化工轻油产量               万吨           629.09      615.46           2.21
轻油收率                    %              74.45       73.72    0.73个百分点
综合商品率                  %              93.81       93.45    0.36个百分点
营销及分销
国内成品油总经销量         万吨          3017.70     2746.60           9.87
其中:零售量               万吨          2027.60     1724.30          17.59
      直销量               万吨           489.10      469.80           4.09
      批发量               万吨           501.00      552.40         (9.30)
加油站总数                  座             29130       28885           0.85
其中:自营加油站            座             28477       28075           1.43
      特许经营加油站        座               653         810        (19.38)
自营加油站单站加油量      吨/座             2848        2457           15.91
  (注2)
化工(注3)
乙烯产量                   万吨           169.51      163.23           3.85
合成树脂产量               万吨           248.15      236.40           4.97
合成橡胶产量               万吨            22.62       18.88          19.81
合纤单体及聚合物           万吨           199.39      190.96           4.42
合成纤维                   万吨            35.49       35.52         (0.09)
尿素                       万吨            28.27       36.56        (22.69)

    注1:原油加工量和汽煤柴产量均包括2007年收购中国石化集团公司湛江东兴等五家炼厂产量;
    注2:单站加油量为折合年平均数;
    注3:包括扬巴和赛科100%的产量。
    资本支出:本公司第一季度资本支出约人民币150.34亿元。勘探开发板块资本支出人民币76.98亿元,川气东送工程进展顺利。炼油板块资本支出人民币17.73亿元,青岛1000万吨/年炼油工程、武汉及其它油品质量升级改造工程进展顺利。化工板块资本支出人民币20.97亿元,主要用于天津100万吨/年乙烯项目、镇海100万吨/年乙烯工程和金陵60万吨/年PX项目。销售板块资本支出人民币30.92亿元,重点区域加油站建设成效显著,新增加油站100座。总部及其它资本支出人民币3.74亿元。
    3重要事项
    3.1公司主要会计报表项目、财务指标大幅度变动的情况及原因

                                                          增加/(减少)
                      于2008年3      于2007年12
                        月31日          月31日          金额       百分比
      项   目                                                                         变动主要原因
                                                       人民币
                             人民币百万元                             %
                                                       百万元
                                                                             主要归因于本公司本期间收到
 货币资金                   28,397           8,364       20,033         240  补贴款及发行分离交易可转换
                                                                             公司债券所得现金所致
                                                                             主要归因于预付原油进口关税
 预付款项                   14,462           9,402        5,060          54  保证金和预付设备款项的增加
                                                                             所致
                                                                             主要归因于本期间已收的补贴
 其他应收款                  7,356          11,822              (4,466)(38)
                                                                             款项减少其他应收款所致
                                                                             主要归因于本期间本公司发行
 应付债券                   62,108          42,606       19,502          46
                                                                             分离交易可转换公司债券所致
                      截止2008年     截止2007年           增加/(减少)
                       3月31日         3月31日          金额       百分比
      项   目                                                                         变动主要原因
                                                       人民币
                             人民币百万元                             %
                                                       百万元
                                                                             主要归因于国内石化产品继续
 营业收入                  332,010         277,149       54,861          20  处于高位及本公司积极扩大石
                                                                             化产品销量所致
                                                                             主要归因于原油价格上涨带来
 营业成本                  295,510         226,698       68,812          30  原材料成本的上升及石化产品
                                                                             销量增加所致
                                                                             主要归因于石油特别收益金增
 营业税金及附加             13,737           6,475        7,262         112
                                                                             加所致
                                                                             主要归因于净汇兑收益增加所
 财务费用                      765           1,503                (738)(49)
                                                                             致
                                                                             主要因为成品油价格受控、1季
 资产减值损失                9,012              13        8,999      69,223  度原油成本上升引起原油减值
                                                                             所致
                                                                             归因于公司H股估价波动等因素
 公允价值变动收
                             2,996               -        2,996           -  所引起的H股可转债嵌入衍生工
 益
                                                                             具公允价值的变动
                                                                             主要归因于对合营及联营公司
 投资收益                      779           1,195                (416)(35)
                                                                             的投资收益减少所致
                                                                             主要归因于确认的2008年第一
 营业外收入                  7,452              62        7,390      11,919
                                                                             季度补贴收入所致
                                                                             主要归因于利润总额同比减少
 所得税费用                    190           7,793              (7,603)(98)
                                                                             影响当期应缴所得税所致


    3.2重大事项进展情况及其影响和解决方案的分析说明
    3.2.1关联交易执行情况
    本报告期本公司实际发生的关联交易额共人民币689.57亿元,其中买入人民币269.11亿元,卖出人民币420.47亿元(包括卖出产品及服务人民币419.69亿元,利息收入人民币0.02亿元,代理费收入人民币0.75亿元)。本报告期中国石化集团向本公司提供的产品和服务(采购、储运、勘探及生产服务、与生产有关的服务)为人民币201.98亿元,占本公司本报告期经营费用的6.0%;中国石化集团向本公司提供的辅助及社区服务为人民币3.92亿元,占本报告期经营费用的0.12%。本报告期本公司对中国石化集团的产品销售人民币174.54亿元,占本公司经营收入的5.25%。
    3.2.2境内发行认股权和债券分离交易的可转换公司债券
    二零零七年十一月十五日,中国石化二零零七年第三次临时股东大会审议通过关于发行认股权和债券分离交易的可转换公司债券(“分离交易可转债”)的议案。本次发行债券部分的募集资金将用于川气东送工程、天津100万吨/年乙烯项目、镇海100万吨/年乙烯项目及偿还银行贷款;权证行权部分的募集资金将用于天津100万吨/年乙烯项目、镇海100万吨/年乙烯项目、武汉乙烯项目、偿还银行贷款或补充流动资金。本次发行人民币300亿元分离交易可转换债于二零零八年一月三十一日获得中国证券监督管理委员会核准,二零零八年二月二十日公开发行,债券期限为六年,固定年利率0.8%;权证数量为30.3亿份,行权比例为2:1,存续期为二年。二零零八年三月四日权证及公司债券于上海证券交易所上市交易。
    3.2.3补贴事项
    二零零七年以来,国际原油价格大幅上涨,境内成品油价格从紧控制,出现和原油价格倒挂的情况,部分地方炼油企业因亏损而开工不足甚至停产,加上冬季柴油消费量增加,造成部分地区成品油市场供应紧张。为了保障成品油市场的平稳运行,本公司采取多项措施增加成品油产量的同时,高价收购地方炼厂成品油,保障境内成品油市场供应,取得明显效果,也导致本公司炼油业务形成较大亏损。二零零八年三月本公司获得补贴人民币123亿元,其中人民币49亿元计入二零零七年补贴收入,人民币74亿元计入二零零八年第一季度补贴收入。
    3.2.4建议发行境内公司债券
    中国石化三届十九次董事会已于二零零八年四月三日通过有关发行总值不超过人民币200亿元的境内公司债券议案,并将提呈将于二零零八年五月二十六日举行的股东年度大会审议和批准。拟用募集资金100亿元调整公司目前的负债结构,剩余募集资金拟用于补充公司流动资金,改善公司资金状况。
    3.3公司、股东及实际控制人承诺事项履行情况
    □适用     √不适用
    3.4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
    3.5公司持有其他上市公司发行的股票和证券投资情况

                                                占该公司股
 序号     股票代码       简称     持股数量                   初始投资成本    会计核算科目
                                                 权比例
1       384(香港)     中燃控股      2.1亿股           6.5%     1.28亿港元    长期股权投资
期末持有的其他证券投资                                               ---               -
合计                                                                 ---               -

    此外,中国石化未持有非上市金融企业、近期拟上市公司股权,也未发生买卖其它上市公司股份的情况。
    3.6本季度报告以中英文两种语言印制,在对两种文体说明上存在歧义时,以中文为准。
    承董事会命
    苏树林
    董事长
    中国北京,二零零八年四月二十五日
    A.     按照中国企业会计准则编制之季度财务报表
    1.     合并资产负债表(未       经审 计)

                                                                                     2008年              2007年
                                                                                   3月31日           12月31日
                                                                                      人民币                  人民币
                                                                                      百万元                  百万元
                                                                                   (未经 审计)       ( 已 经审 计)
      资产
       流动资产
            货币资金                                                                   28,397              8,364
            应收票据                                                                    9,384             12,851
            应收账款                                                                   29,469             22,947
            预付款项                                                                   14,462              9,402
            其他应收款                                                                  7,356             11,822
            存货                                                                      140,686            116,049
            其他流动资产                                                                  184                100
       流动资产合计                                                                   229,938            181,535
       非流动资产
            长期股权投资                                                               33,317                 31,335
            固定资产                                                                  353,713                361,148
            在建工程                                                                  106,005                 95,408
            无形资产                                                                   15,618                 15,232
            商誉                                                                       15,701                 15,690
            长期待摊费用                                                                5,774                  5,842
            递延所得税资产                                                             12,623                 10,192
            其他非流动资产                                                              1,072                  2,190
       非流动资产合计                                                                 543,823                537,037
       资产总计                                                                       773,761                718,572

1.            合并资产负债表(未                               经   审    计) (续)
                                                                                                                                                                           2008年                                 2007年
                                                                                                                                                                      3月31日                              12月31日
                                                                                                                                                                             人民币                                       人民币
                                                                                                                                                                             百万元                                       百万元
                                                                                                                                                                     (  未   经   审   计)                 (   已   经   审   计)
              负债和股东权益
              流动负债
                        短期借款                                                                                                                                                   39,148                                 36,954
                        应付票据                                                                                                                                                   12,379                                 12,162
                        应付账款                                                                                                                                                  116,817                                 93,049
                        预收款项                                                                                                                                                   26,900                                 25,082
                        应付职工薪酬                                                                                                                                                5,391                                  5,905
                        应交税费                                                                                                                                                   17,735                                 17,562
                        其他应付款                                                                                                                                                 41,443                                 47,503
                        短期应付债券                                                                                                                                               10,188                                 10,074
                        一年内到期的非流动负债                                                                                                                                                                      16,21513,466
              流动负债合计                                                                                                                                                        286,216                                261,757
              非流动负债
                        长期借款                                                                                                                                                   74,769                                 77,708
                        应付债券                                                                                                                                                   62,108                                 42,606
                        预计负债                                                                                                                                                    7,626                                  7,613
                        递延所得税负债                                                                                                                                              1,433                                  1,492
                        其他非流动负债                                                                                                                                                                                1,2771,049
              非流动负债合计                                                                                                                                                      147,213                                130,468
              负债合计                                                                                                                                                     433,429                                392,225

1.            合并资产负债表(未                               经   审    计) (续)
                                                                                                                                                                           2008年                                 2007年
                                                                                                                                                                      3月31日                              12月31日
                                                                                                                                                                             人民币                                       人民币
                                                                                                                                                                             百万元                                       百万元
                                                                                                                                                                     (  未   经   审   计)                 (   已   经   审   计)
              负债和股东权益(续)
              股东权益
                         股本                                                                                                                                                      86,702                                 86,702
                         资本公积                                                                                                                       &