9.2.1 资产负债表
编制单位:山西太钢不锈钢股份有限公司 2008年12月31日 单位:(人民币)元
项目 | 期末余额 | 年初余额 | ||
合并 | 母公司 | 合并 | 母公司 | |
流动资产: | ||||
货币资金 | 8,241,661,544.42 | 7,192,177,158.33 | 3,971,067,538.56 | 3,316,142,854.16 |
结算备付金 | ||||
拆出资金 | ||||
交易性金融资产 | ||||
应收票据 | 846,890,727.36 | 379,169,250.31 | 772,394,876.29 | 291,940,485.74 |
应收账款 | 2,807,483,825.47 | 2,932,146,460.61 | 2,088,524,659.90 | 2,886,395,883.11 |
预付款项 | 3,290,863,949.49 | 1,831,562,901.85 | 3,646,530,890.40 | 2,953,761,439.25 |
应收保费 | ||||
应收分保账款 | ||||
应收分保合同准备金 | ||||
应收利息 | ||||
应收股利 | ||||
其他应收款 | 131,822,338.88 | 1,251,132,260.32 | 231,270,569.26 | 86,197,210.73 |
买入返售金融资产 | ||||
存货 | 13,385,326,625.22 | 11,229,771,014.99 | 17,617,237,777.69 | 14,401,285,946.75 |
一年内到期的非流动资产 | ||||
其他流动资产 | ||||
流动资产合计 | 28,704,049,010.84 | 24,815,959,046.41 | 28,327,026,312.10 | 23,935,723,819.74 |
非流动资产: | ||||
发放贷款及垫款 | ||||
可供出售金融资产 | ||||
持有至到期投资 | ||||
长期应收款 | ||||
长期股权投资 | 686,742,370.04 | 2,028,332,623.38 | 405,086,079.12 | 1,537,526,043.62 |
投资性房地产 | 4,780,112.04 | 809,375,400.34 | 4,663,283.65 | 402,336,334.75 |
固定资产 | 28,791,154,809.76 | 27,041,708,774.55 | 25,301,371,814.33 | 23,882,545,206.12 |
在建工程 | 5,276,574,422.15 | 4,809,425,275.91 | 3,349,406,956.83 | 3,268,661,297.41 |
工程物资 | 1,108,199,576.47 | 837,839,598.64 | 165,775,978.73 | 52,418,249.90 |
固定资产清理 | ||||
生产性生物资产 | ||||
油气资产 | ||||
无形资产 | 314,277,479.21 | 158,895,954.31 | 156,347,488.87 | |
开发支出 | ||||
商誉 | ||||
长期待摊费用 | ||||
递延所得税资产 | 232,029,229.93 | 222,957,265.99 | 89,079,767.84 | 77,674,796.66 |
其他非流动资产 | ||||
非流动资产合计 | 36,413,757,999.60 | 35,908,534,893.12 | 29,471,731,369.37 | 29,221,161,928.46 |
资产总计 | 65,117,807,010.44 | 60,724,493,939.53 | 57,798,757,681.47 | 53,156,885,748.20 |
流动负债: | ||||
短期借款 | 14,511,515,691.82 | 14,511,515,691.82 | 11,335,127,107.74 | 11,335,127,107.74 |
向中央银行借款 | ||||
吸收存款及同业存放 | ||||
拆入资金 | ||||
交易性金融负债 | ||||
应付票据 | 3,715,390,000.00 | 3,415,390,000.00 | 3,503,340,000.00 | 3,408,340,000.00 |
应付账款 | 6,465,520,386.69 | 6,552,793,641.85 | 8,695,001,030.74 | 8,440,929,735.13 |
预收款项 | 1,945,150,705.81 | 1,618,708,716.48 | 2,729,076,930.25 | 2,697,360,679.23 |
卖出回购金融资产款 | ||||
应付手续费及佣金 | ||||
应付职工薪酬 | 136,847,056.05 | 110,547,779.44 | 95,445,313.29 | 66,920,837.59 |
应交税费 | -111,430,931.19 | -60,305,375.42 | 275,833,874.59 | 200,102,737.27 |
应付利息 | 35,120,177.29 | 35,120,177.29 | 130,290,000.00 | 130,290,000.00 |
应付股利 | ||||
其他应付款 | 1,106,936,790.28 | 1,052,067,041.90 | 1,506,663,877.18 | 1,378,386,724.59 |
应付分保账款 | ||||
保险合同准备金 | ||||
代理买卖证券款 | ||||
代理承销证券款 | ||||
一年内到期的非流动负债 | 650,000,000.00 | 650,000,000.00 | ||
其他流动负债 | ||||
流动负债合计 | 28,455,049,876.75 | 27,885,837,673.36 | 28,270,778,133.79 | 27,657,457,821.55 |
非流动负债: | ||||
长期借款 | 15,224,098,892.14 | 14,684,098,892.14 | 11,784,069,300.00 | 11,784,069,300.00 |
应付债券 | ||||
长期应付款 | ||||
专项应付款 | 52,649,598.49 | 52,649,598.49 | ||
预计负债 | ||||
递延所得税负债 | ||||
其他非流动负债 | 153,653,529.24 | 148,804,438.34 | 7,100,000.00 | 5,000,000.00 |
非流动负债合计 | 15,377,752,421.38 | 14,832,903,330.48 | 11,843,818,898.49 | 11,841,718,898.49 |
负债合计 | 43,832,802,298.13 | 42,718,741,003.84 | 40,114,597,032.28 | 39,499,176,720.04 |
所有者权益(或股东权益): | ||||
实收资本(或股本) | 5,696,247,796.00 | 5,696,247,796.00 | 3,458,525,200.00 | 3,458,525,200.00 |
资本公积 | 6,154,817,938.37 | 6,148,708,517.12 | 4,979,270,754.56 | 4,952,291,700.15 |
减:库存股 | ||||
盈余公积 | 1,107,420,450.98 | 1,107,420,450.98 | 912,274,245.52 | 912,274,245.52 |
一般风险准备 | ||||
未分配利润 | 7,569,518,495.41 | 5,053,376,171.59 | 7,577,546,581.38 | 4,334,617,882.49 |
外币报表折算差额 | ||||
归属于母公司所有者权益合计 | 20,528,004,680.76 | 18,005,752,935.69 | 16,927,616,781.46 | 13,657,709,028.16 |
少数股东权益 | 757,000,031.55 | 756,543,867.73 | ||
所有者权益合计 | 21,285,004,712.31 | 18,005,752,935.69 | 17,684,160,649.19 | 13,657,709,028.16 |
负债和所有者权益总计 | 65,117,807,010.44 | 60,724,493,939.53 | 57,798,757,681.47 | 53,156,885,748.20 |
9.2.2 利润表
编制单位:山西太钢不锈钢股份有限公司 2008年1-12月 单位:(人民币)元
项目 | 本期金额 | 上期金额 | ||
合并 | 母公司 | 合并 | 母公司 | |
一、营业总收入 | 83,062,855,733.29 | 71,330,765,087.67 | 81,258,468,991.11 | 72,205,479,089.39 |
其中:营业收入 | 83,062,855,733.29 | 71,330,765,087.67 | 81,258,468,991.11 | 72,205,479,089.39 |
利息收入 | ||||
已赚保费 | ||||
手续费及佣金收入 | ||||
二、营业总成本 | 81,845,152,538.47 | 69,529,664,002.62 | 75,945,316,094.43 | 68,420,035,800.94 |
其中:营业成本 | 74,517,605,955.37 | 62,902,972,605.28 | 70,882,485,702.17 | 63,889,153,699.51 |
利息支出 | ||||
手续费及佣金支出 | ||||
退保金 | ||||
赔付支出净额 | ||||
提取保险合同准备金净额 | ||||
保单红利支出 | ||||
分保费用 | ||||
营业税金及附加 | 293,996,663.95 | 262,251,177.20 | 286,184,057.91 | 224,670,947.56 |
销售费用 | 1,299,322,870.52 | 1,110,800,979.86 | 1,255,342,780.54 | 1,079,950,342.19 |
管理费用 | 2,859,630,525.59 | 2,382,757,344.52 | 2,320,500,099.85 | 2,034,840,265.11 |
财务费用 | 1,727,635,055.13 | 1,732,633,844.41 | 1,155,347,670.76 | 1,134,455,529.36 |
资产减值损失 | 1,146,961,467.91 | 1,138,248,051.35 | 45,455,783.20 | 56,965,017.21 |
加:公允价值变动收益(损失以“-”号填列) | ||||
投资收益(损失以“-”号填列) | -133,343,709.08 | -5,276,094.22 | -9,913,920.88 | 23,562,214.73 |
其中:对联营企业和合营企业的投资收益 | ||||
汇兑收益(损失以“-”号填列) | ||||
三、营业利润(亏损以“-”号填列) | 1,084,359,485.74 | 1,795,824,990.83 | 5,303,238,975.80 | 3,809,005,503.18 |
加:营业外收入 | 122,874,460.89 | 94,968,806.37 | 63,348,545.02 | 56,560,754.65 |
减:营业外支出 | 97,120,148.05 | 89,190,200.39 | 51,369,163.84 | 42,096,442.83 |
其中:非流动资产处置损失 | 31,241,175.98 | 43,352,145.65 | 6,358,525.35 | 6,344,756.65 |
四、利润总额(亏损总额以“-”号填列) | 1,110,113,798.58 | 1,801,603,596.81 | 5,315,218,356.98 | 3,823,469,815.00 |
减:所得税费用 | -110,493,927.43 | -149,858,457.75 | 933,552,961.67 | 641,398,311.72 |
五、净利润(净亏损以“-”号填列) | 1,220,607,726.01 | 1,951,462,054.56 | 4,381,665,395.31 | 3,182,071,503.28 |
归属于母公司所有者的净利润 | 1,234,815,183.22 | 4,256,528,831.06 | ||
少数股东损益 | -14,207,457.21 | 125,136,564.25 | ||
六、每股收益: | ||||
(一)基本每股收益 | 0.229 | 0.820 | ||
(二)稀释每股收益 | 0.229 | 0.820 |
9.2.3 现金流量表
编制单位:山西太钢不锈钢股份有限公司 2008年1-12月 单位:(人民币)元
项目 | 本期金额 | 上期金额 | ||
合并 | 母公司 | 合并 | 母公司 | |
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 | 84,880,055,073.09 | 71,206,045,735.31 | 82,187,385,988.02 | 73,849,860,328.17 |
客户存款和同业存放款项净增加额 | ||||
向中央银行借款净增加额 | ||||
向其他金融机构拆入资金净增加额 | ||||
收到原保险合同保费取得的现金 | ||||
收到再保险业务现金净额 | ||||
保户储金及投资款净增加额 | ||||
处置交易性金融资产净增加额 | ||||
收取利息、手续费及佣金的现金 | ||||
拆入资金净增加额 | ||||
回购业务资金净增加额 | ||||
收到的税费返还 | ||||
收到其他与经营活动有关的现金 | 45,550,090.24 | 28,959,500.27 | 59,734,722.63 | 42,834,386.11 |
经营活动现金流入小计 | 84,925,605,163.33 | 71,235,005,235.58 | 82,247,120,710.65 | 73,892,694,714.28 |
购买商品、接受劳务支付的现金 | 76,402,118,458.11 | 64,075,450,111.48 | 74,201,567,300.42 | 67,861,793,691.19 |
客户贷款及垫款净增加额 | ||||
存放中央银行和同业款项净增加额 | ||||
支付原保险合同赔付款项的现金 | ||||
支付利息、手续费及佣金的现金 | ||||
支付保单红利的现金 | ||||
支付给职工以及为职工支付的现金 | 2,003,180,364.39 | 1,633,613,218.14 | 1,811,334,570.02 | 1,424,237,843.35 |
支付的各项税费 | 2,919,251,567.87 | 2,367,903,021.79 | 3,491,186,707.06 | 2,545,123,889.70 |
支付其他与经营活动有关的现金 | 70,392,638.83 | 55,185,668.80 | 69,507,523.07 | 50,950,247.00 |
经营活动现金流出小计 | 81,394,943,029.20 | 68,132,152,020.21 | 79,573,596,100.57 | 71,882,105,671.24 |
经营活动产生的现金流量净额 | 3,530,662,134.13 | 3,102,853,215.37 | 2,673,524,610.08 | 2,010,589,043.04 |
二、投资活动产生的现金流量: | ||||
收回投资收到的现金 | 54,661,355.15 | 8,992.18 | ||
取得投资收益收到的现金 | 94,255,970.87 | 31,490,241.77 | ||
处置固定资产、无形资产和其他长期资产收回的现金净额 | 16,614,218.03 | 2,807,251.69 | 5,215,239.26 | 3,942,896.83 |
处置子公司及其他营业单位收到的现金净额 | 1,258,189.24 | |||
收到其他与投资活动有关的现金 | 81,202,105.93 | 81,202,105.93 | 148,924,595.77 | 148,724,244.31 |
投资活动现金流入小计 | 97,816,323.96 | 232,926,683.64 | 155,398,024.27 | 184,166,375.09 |
购建固定资产、无形资产和其他长期资产支付的现金 | 5,976,419,063.35 | 5,338,196,786.46 | 8,396,352,234.44 | 7,879,563,180.46 |
投资支付的现金 | 456,345,515.86 | 645,000,000.00 | 705,184,679.33 | 817,684,679.33 |
质押贷款净增加额 | ||||
取得子公司及其他营业单位支付的现金净额 | ||||
支付其他与投资活动有关的现金 | 65,882,402.36 | 52,311,499.20 | 984,050.00 | 750,000.00 |
投资活动现金流出小计 | 6,498,646,981.57 | 6,035,508,285.66 | 9,102,520,963.77 | 8,697,997,859.79 |
投资活动产生的现金流量净额 | -6,400,830,657.61 | -5,802,581,602.02 | -8,947,122,939.50 | -8,513,831,484.70 |
三、筹资活动产生的现金流量: | ||||
吸收投资收到的现金 | 3,475,606,722.96 | 3,450,606,722.96 | 37,500,000.00 | |
其中:子公司吸收少数股东投资收到的现金 | ||||
取得借款收到的现金 | 39,664,896,936.66 | 39,124,896,936.66 | 21,272,226,879.12 | 20,329,096,879.12 |
发行债券收到的现金 | ||||
收到其他与筹资活动有关的现金 | 157,446,991.15 | 157,446,991.15 | 21,807,924.12 | 19,768,757.88 |
筹资活动现金流入小计 | 43,297,950,650.77 | 42,732,950,650.77 | 21,331,534,803.24 | 20,348,865,637.00 |
偿还债务支付的现金 | 33,127,612,003.69 | 33,127,612,003.69 | 12,104,724,342.27 | 11,181,724,342.27 |
分配股利、利润或偿付利息支付的现金 | 2,757,387,286.15 | 2,757,387,286.15 | 1,648,125,784.20 | 1,625,523,957.89 |
其中:子公司支付给少数股东的股利、利润 | ||||
支付其他与筹资活动有关的现金 | 201,892,307.97 | 201,892,307.97 | 16,046,299.42 | 16,045,223.04 |
筹资活动现金流出小计 | 36,086,891,597.81 | 36,086,891,597.81 | 13,768,896,425.89 | 12,823,293,523.20 |
筹资活动产生的现金流量净额 | 7,211,059,052.96 | 6,646,059,052.96 | 7,562,638,377.35 | 7,525,572,113.80 |
四、汇率变动对现金及现金等价物的影响 | -70,296,523.62 | -70,296,362.14 | -15,956,005.91 | -15,955,992.81 |
五、现金及现金等价物净增加额 | 4,270,594,005.86 | 3,876,034,304.17 | 1,273,084,042.02 | 1,006,373,679.33 |
加:期初现金及现金等价物余额 | 3,971,067,538.56 | 3,316,142,854.16 | 2,697,983,496.54 | 2,309,769,174.83 |
六、期末现金及现金等价物余额 | 8,241,661,544.42 | 7,192,177,158.33 | 3,971,067,538.56 | 3,316,142,854.16 |
9.2.4 所有者权益变动表(附后)
9.3 与最近一期年度报告相比,会计政策、会计估计和核算方法发生变化的具体说明
□ 适用 √ 不适用
9.4 重大会计差错的内容、更正金额、原因及其影响
□ 适用 √ 不适用
9.5 与最近一期年度报告相比,合并范围发生变化的具体说明
√ 适用 □ 不适用
本年合并报表范围的变更情况
1.与上年相比本年新增合并单位3家,明细为:
①本年投资成立沈阳沈水销售公司,投资金额为5,000,000.00元,持股比例为100%;
②本年投资成立焦化技术公司,投资金额为100,000,000.00元,持股比例为100%;
③本年投资成立信息技术公司,投资金额为50,000,000.00元,持股比例为100%。
2.本年减少合并单位1家,原因为:公司于2008年8月1日将原贸公司100%股权全部转让给太钢集团。
山西太钢不锈钢股份有限公司董事会
董事长:
二○○九年四月二十八日
9.2.4 所有者权益变动表
编制单位:山西太钢不锈钢股份有限公司 2008年度 单位:(人民币)元
项目 | 本期金额 | 上年金额 | ||||||||||||||||
归属于母公司所有者权益 | 少数股东权益 | 所有者权益合计 | 归属于母公司所有者权益 | 少数股东权益 | 所有者权益合计 | |||||||||||||
实收资本(或股本) | 资本公积 | 减:库存股 | 盈余公积 | 一般风险准备 | 未分配利润 | 其他 | 实收资本(或股本) | 资本公积 | 减:库存股 | 盈余公积 | 一般风险准备 | 未分配利润 | 其他 | |||||
一、上年年末余额 | 3,458,525,200.00 | 4,979,270,754.56 | 912,274,245.52 | 7,577,546,581.38 | 756,543,867.73 | 17,684,160,649.19 | 2,660,404,000.00 | 5,855,066,911.82 | 594,067,095.19 | 4,179,228,650.99 | 597,193,992.32 | 13,885,960,650.32 | ||||||
加:会计政策变更 | 0.00 | |||||||||||||||||
前期差错更正 | 0.00 | |||||||||||||||||
其他 | ||||||||||||||||||
二、本年年初余额 | 3,458,525,200.00 | 4,979,270,754.56 | 912,274,245.52 | 7,577,546,581.38 | 756,543,867.73 | 17,684,160,649.19 | 2,660,404,000.00 | 5,855,066,911.82 | 594,067,095.19 | 4,179,228,650.99 | 597,193,992.32 | 13,885,960,650.32 | ||||||
三、本年增减变动金额(减少以“-”号填列) | 2,237,722,596.00 | 1,175,547,183.81 | 0.00 | 195,146,205.46 | -8,028,085.97 | 0.00 | 456,163.82 | 3,600,844,063.12 | 798,121,200.00 | -875,796,157.26 | 0.00 | 318,207,150.33 | 3,398,317,930.39 | 0.00 | 159,349,875.41 | 3,798,199,998.87 | ||
(一)净利润 | 1,234,815,183.22 | -14,207,457.21 | 1,220,607,726.01 | 4,256,528,831.06 | 117,534,314.46 | 4,374,063,145.52 | ||||||||||||
(二)直接计入所有者权益的利得和损失 | -30,981,768.64 | -10,139,503.73 | -10,336,378.97 | -51,457,651.34 | -77,674,957.26 | -7,922,950.34 | 4,315,560.95 | -81,282,346.65 | ||||||||||
1.可供出售金融资产公允价值变动净额 | 0.00 | |||||||||||||||||
2.权益法下被投资单位其他所有者权益变动的影响 | 0.00 | |||||||||||||||||
3.与计入所有者权益项目相关的所得税影响 | 0.00 | |||||||||||||||||
4.其他 | -30,981,768.64 | -10,139,503.73 | -10,336,378.97 | -51,457,651.34 | -77,674,957.26 | -7,922,950.34 | 4,315,560.95 | -81,282,346.65 | ||||||||||
上述(一)和(二)小计 | -30,981,768.64 | 1,224,675,679.49 | -24,543,836.18 | 1,169,150,074.67 | -77,674,957.26 | 4,248,605,880.72 | 121,849,875.41 | 4,292,780,798.87 | ||||||||||
(三)所有者投入和减少资本 | 338,973,331.00 | 3,105,278,217.45 | 25,000,000.00 | 3,469,251,548.45 | 37,500,000.00 | 37,500,000.00 | ||||||||||||
1.所有者投入资本 | 338,973,331.00 | 3,105,278,217.45 | 25,000,000.00 | 3,469,251,548.45 | 37,500,000.00 | 37,500,000.00 | ||||||||||||
2.股份支付计入所有者权益的金额 | 0.00 | |||||||||||||||||
3.其他 | 0.00 | |||||||||||||||||
(四)利润分配 | 195,146,205.46 | -1,232,703,765.46 | -1,037,557,560.00 | 318,207,150.33 | -850,287,950.33 | -532,080,800.00 | ||||||||||||
1.提取盈余公积 | 195,146,205.46 | -195,146,205.46 | 318,207,150.33 | -318,207,150.33 | 0.00 | |||||||||||||
2.提取一般风险准备 | ||||||||||||||||||
3.对所有者(或股东)的分配 | -1,037,557,560.00 | -1,037,557,560.00 | -532,080,800.00 | -532,080,800.00 | ||||||||||||||
4.其他 | ||||||||||||||||||
(五)所有者权益内部结转 | 1,898,749,265.00 | -1,898,749,265.00 | 798,121,200.00 | -798,121,200.00 | 0.00 | |||||||||||||
1.资本公积转增资本(或股本) | 1,898,749,265.00 | -1,898,749,265.00 | 798,121,200.00 | -798,121,200.00 | 0.00 | |||||||||||||
2.盈余公积转增资本(或股本) | 0.00 | |||||||||||||||||
3.盈余公积弥补亏损 | 0.00 | |||||||||||||||||
4.其他 | 0.00 | |||||||||||||||||
四、本期期末余额 | 5,696,247,796.00 | 6,154,817,938.37 | 1,107,420,450.98 | 7,569,518,495.41 | 757,000,031.55 | 21,285,004,712.31 | 3,458,525,200.00 | 4,979,270,754.56 | 912,274,245.52 | 7,577,546,581.38 | 756,543,867.73 | 17,684,160,649.19 |