 | | 变动时间 | 2008-06-30 | 2008-03-31 | 2007-12-31 | 2007-09-30 | 2007-06-30 | | 变动原因 | 中报 | 季报 | 年报 | 季报 | 中报 | | 流动资产: | | 货币资金 | 166,984.35 | 162,855.48 | 240,336.24 | 77,829.31 | 73,577.28 | | 交易性金融资产 | 671.97 | 990.62 | 1,119.95 | | | | 短期投资 | | | | | | | 应收票据 | | | | | | | 应收股利 | 775.83 | 17.24 | 17.24 | 125.73 | 1,719.28 | | 应收利息 | | | | | 0.00 | | 应收帐款 | | | | | | | 坏帐准备 | | | | | | | 应收帐款净额 | 6,980.99 | 8,222.60 | 1,495.01 | 4,311.58 | 5,391.92 | | 预付贷款 | 3,531.36 | 14,607.16 | 3,261.72 | 3,693.43 | 4,380.66 | | 应收补贴款 | | | | | | | 其他应收款 | 3,483.96 | 46,278.09 | 8,254.82 | 10,715.63 | 10,338.31 | | 一年内到期的非流动资产 | | | | | | | 内部应收款 | | | | | | | 待摊费用 | | | | | | | 存货 | | | | | | | 其中:消耗性生物资产 | | | | | | | 准备存货变动损失准备 | | | | | | | 存货净额 | 26,209.11 | 23,036.44 | 20,297.46 | 26,952.50 | 27,176.90 | | 待转其他业务支出 | | | | | | | 待处理流动资产损失 | | | | | | | 一年内到期的长期债券投资 | | | | | | | 影响流动资产其他科目 | | | | | | | 其他流动资产 | | | | | | | 流动资产合计 | 208,637.56 | 256,007.62 | 274,782.43 | 123,628.18 | 122,584.35 | | 长期投资: | | 可供出售金融资产 | 179,626.99 | 109,509.16 | 130,048.57 | 81,709.38 | 58,590.86 | | 持有至到期投资 | | | | | | | 长期应收款 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | | 长期股权投资 | 102,535.14 | 144,319.91 | 61,023.10 | 96,853.25 | 95,172.17 | | 投资性房地产 | 103,850.98 | 105,975.94 | 106,170.25 | 107,698.08 | 111,172.01 | | 长期债权投资 | | | | | | | 长期投资减值准备 | | | | | | | 长期投资 | | | | | | | 合并价差 | | | | | | | 固定资产: | | 固定资产原价 | 226,218.31 | | | | 217,344.73 | | 累计折旧 | | | | | 72,811.72 | | 固定资产净值 | | | | | 144,533.01 | | 工程物资 | 566.07 | 529.73 | 481.31 | 343.92 | 730.13 | | 在建工程 | 178,404.80 | 32,423.77 | 29,009.30 | 28,353.17 | 25,912.86 | | 生产性生物资产 | | | | | | | 油气资产 | | | | | | | 固定资产清理 | | | | | | | 待处理固定资产净损失 | | | | | | | 其他 | | | | | | | 固定资产合计 | | | | | | | 无形资产及其他资产: | | 无形资产 | 103,801.98 | 104,663.52 | 105,525.07 | 106,380.05 | 107,241.59 | | 递延资产 | | | | | | | 开发支出 | | | | | | | 商誉 | | | | | | | 开办费 | | | | | | | 长期待摊费用 | 456.57 | 503.34 | 560.15 | 306.61 | 278.36 | | 无形资产及递延资产合计 | | | | | | | 其他长期资产 | | | | | | | 递延所得税资产 | 6,991.10 | 7,105.77 | 7,179.36 | 5,861.40 | 6,061.56 | | 其他非流动资产 | 160.00 | 160.00 | 160.00 | 315.66 | 315.66 | | 影响非流动资产其他科目 | | | | | | | 非流动资产合计 | 821,154.12 | 652,819.86 | 589,763.61 | 571,938.13 | 549,966.01 | | 资产总计 | 1,029,791.68 | 908,827.48 | 864,546.04 | 695,566.31 | 672,550.37 | | 流动负债 | | 短期借款 | 172,500.00 | 182,500.00 | 10,000.00 | | 9,000.00 | | 交易性金融负债 | | | | | | | 应付帐款 | 17,387.45 | 17,535.97 | 19,032.25 | 24,021.99 | 23,778.77 | | 应付票据 | | | | | | | 应付职工薪酬 | 902.75 | 1,604.92 | 3,160.36 | 965.11 | 1,083.22 | | 应付福利费 | | | | | | | 预收帐款 | 27,132.30 | 19,667.28 | 22,588.38 | 12,302.72 | 12,668.99 | | 其他应付款 | 7,591.97 | 13,837.76 | 10,132.08 | 10,164.31 | 12,396.37 | | 一年内到期的非流动负债 | | | | | | | 内部应付款 | | | | | | | 应交税费 | 5,148.19 | 6,622.74 | 8,787.18 | 3,385.25 | 3,199.71 | | 未付股利 | 4,150.10 | 1,048.69 | 1,052.00 | 1,129.84 | 1,145.66 | | 其他未交款 | | | | | | | 预提费用 | | | | | | | 待扣税金 | | | | | | | 住房周转金 | | | | | | | 一年内到期的长期负债 | | | | | | | 其他流动负债 | | | 120,000.00 | 120,000.00 | 120,000.00 | | 流动负债合计 | 234,812.77 | 242,817.36 | 194,752.24 | 171,969.23 | 183,272.72 | | 非流动负债: | | 其他非流动负债 | | | | | | | 影响非流动负债其他科目 | | | | | | | 非流动负债合计 | 25,753.01 | 13,022.05 | 16,779.11 | 11,745.95 | 8,457.68 | | 长期负债: | | 长期负债 | | | | | | | 应付债券 | | | | | | | 长期应付款 | | | | | | | 其他长期负债 | | | | | | | 待转销汇税收益 | | | | | | | 长期负债合计 | | | | | | | 递延税项: | | 递延所得税负债 | | | | | | | 负债合计 | 260,565.78 | 255,839.41 | 211,531.35 | 183,715.19 | 191,730.40 | | 所有者权益(或股东权益): | | 少数股东权益 | 119,262.70 | 78,806.13 | 67,948.80 | 71,406.56 | 70,473.40 | | 影响所有者权益其他科目 | | | | | | | 实收资本(或股本) | 199,145.93 | 199,145.93 | 199,145.93 | 192,648.04 | 192,648.04 | | 资本公积 | 238,553.50 | 179,704.81 | 198,313.37 | 116,796.76 | 102,907.62 | | 减:库存股 | | | | | | | 盈余公积 | 48,677.33 | 48,677.33 | 48,677.33 | 46,861.92 | 46,868.76 | | 其中:公益金 | | | | | | | 未分配利润 | 163,586.44 | 146,653.87 | 138,929.26 | 84,137.84 | 67,922.15 | | 外币报表折算差额 | | | | | | | 股东权益合计 | 769,225.90 | 652,988.07 | 653,014.69 | 511,851.12 | 480,819.97 | | 负债与股东权益合计 | 1,029,791.68 | 908,827.48 | 864,546.04 | 695,566.31 | 672,550.37 |
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