(上接B23版)
9.2 财务报表
9.2.1 资产负债表
编制单位:浙江天马轴承股份有限公司 2009年12月31日 单位: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 | 328,197,953.24 | 34,769,836.60 | 281,161,524.23 | 83,579,696.85 |
| 结算备付金 | ||||
| 拆出资金 | ||||
| 交易性金融资产 | ||||
| 应收票据 | 179,664,495.95 | 52,923,771.22 | 62,386,000.61 | 33,014,200.11 |
| 应收账款 | 747,363,829.69 | 129,235,913.48 | 562,111,822.00 | 96,908,832.35 |
| 预付款项 | 100,660,340.99 | 9,776,890.66 | 183,377,595.96 | 9,235,527.72 |
| 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 | 19,722,933.03 | 51,259,689.13 | 31,855,168.25 | 189,044,335.88 |
| 买入返售金融资产 | ||||
| 存货 | 1,712,040,100.08 | 348,665,123.20 | 1,696,962,217.26 | 345,644,244.27 |
| 一年内到期的非流动资产 | ||||
| 其他流动资产 | ||||
| 流动资产合计 | 3,087,649,652.98 | 626,631,224.29 | 2,817,854,328.31 | 757,426,837.18 |
| 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 | 1,000,000.00 | 2,287,872,024.02 | 1,800,000.00 | 974,638,904.02 |
| 投资性房地产 | ||||
| 固定资产 | 2,072,475,076.15 | 173,165,330.70 | 1,438,426,024.50 | 177,951,600.38 |
| 在建工程 | 191,651,943.29 | 1,223,135.14 | 592,830,427.62 | 2,086,000.00 |
| 工程物资 | 68,164,545.32 | 2,594,017.56 | 145,609,089.67 | 653,902.38 |
| 固定资产清理 | ||||
| 生产性生物资产 | ||||
| 油气资产 | ||||
| 无形资产 | 373,419,021.89 | 35,756,333.98 | 333,113,742.30 | 36,595,802.98 |
| 开发支出 | ||||
| 商誉 | 27,649,595.17 | 27,649,595.17 | ||
| 长期待摊费用 | ||||
| 递延所得税资产 | 19,069,904.16 | 1,769,848.00 | 16,209,754.38 | 1,414,031.88 |
| 其他非流动资产 | ||||
| 非流动资产合计 | 2,753,430,085.98 | 2,502,380,689.40 | 2,555,638,633.64 | 1,193,340,241.64 |
| 资产总计 | 5,841,079,738.96 | 3,129,011,913.69 | 5,373,492,961.95 | 1,950,767,078.82 |
| 流动负债: | ||||
| 短期借款 | 375,000,000.00 | 195,000,000.00 | 926,350,000.00 | 520,000,000.00 |
| 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 | 26,073,914.34 | 130,855,373.09 | ||
| 应付账款 | 592,380,503.42 | 57,133,637.05 | 725,910,776.56 | 45,540,726.45 |
| 预收款项 | 505,433,939.25 | 6,757,234.83 | 903,753,713.40 | 6,457,106.26 |
| 卖出回购金融资产款 | ||||
| 应付手续费及佣金 | ||||
| 应付职工薪酬 | 178,071,281.25 | 1,731,537.99 | 193,141,169.46 | 1,970,849.78 |
| 应交税费 | 77,677,122.14 | 10,032,172.78 | 10,150,826.19 | 6,586,121.75 |
| 应付利息 | 511,575.00 | 287,625.00 | 1,752,062.50 | 919,300.00 |
| 应付股利 | ||||
| 其他应付款 | 26,772,069.74 | 24,003.19 | 28,846,583.84 | 2,657,343.97 |
| 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 | ||||
| 其他流动负债 | ||||
| 流动负债合计 | 1,781,920,405.14 | 270,966,210.84 | 2,920,760,505.04 | 584,131,448.21 |
| 非流动负债: | ||||
| 长期借款 | ||||
| 应付债券 | ||||
| 长期应付款 | ||||
| 专项应付款 | ||||
| 预计负债 | ||||
| 递延所得税负债 | ||||
| 其他非流动负债 | 35,689,608.33 | 3,489,608.33 | 30,848,000.00 | 3,648,000.00 |
| 非流动负债合计 | 35,689,608.33 | 3,489,608.33 | 30,848,000.00 | 3,648,000.00 |
| 负债合计 | 1,817,610,013.47 | 274,455,819.17 | 2,951,608,505.04 | 587,779,448.21 |
| 所有者权益(或股东权益): | ||||
| 实收资本(或股本) | 594,000,000.00 | 594,000,000.00 | 272,000,000.00 | 272,000,000.00 |
| 资本公积 | 1,621,681,030.09 | 1,606,836,564.78 | 781,213,170.76 | 780,881,364.78 |
| 减:库存股 | ||||
| 专项储备 | ||||
| 盈余公积 | 123,021,245.01 | 123,021,245.01 | 67,024,255.42 | 67,024,255.42 |
| 一般风险准备 | ||||
| 未分配利润 | 1,440,210,847.99 | 530,698,284.73 | 972,183,734.80 | 243,082,010.41 |
| 外币报表折算差额 | ||||
| 归属于母公司所有者权益合计 | 3,778,913,123.09 | 2,854,556,094.52 | 2,092,421,160.98 | 1,362,987,630.61 |
| 少数股东权益 | 244,556,602.40 | 329,463,295.93 | ||
| 所有者权益合计 | 4,023,469,725.49 | 2,854,556,094.52 | 2,421,884,456.91 | 1,362,987,630.61 |
| 负债和所有者权益总计 | 5,841,079,738.96 | 3,129,011,913.69 | 5,373,492,961.95 | 1,950,767,078.82 |
9.2.2 利润表
编制单位:浙江天马轴承股份有限公司 2009年1-12月 单位: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 | 3,261,876,748.90 | 672,534,152.24 | 3,175,391,237.18 | 775,202,891.90 |
| 其中:营业收入 | 3,261,876,748.90 | 672,534,152.24 | 3,175,391,237.18 | 775,202,891.90 |
| 利息收入 | ||||
| 已赚保费 | ||||
| 手续费及佣金收入 | ||||
| 二、营业总成本 | 2,637,741,740.71 | 555,571,720.82 | 2,569,703,889.57 | 649,921,356.06 |
| 其中:营业成本 | 2,267,958,547.27 | 476,018,582.41 | 2,192,718,387.98 | 537,894,150.12 |
| 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 | 17,592,739.97 | 5,260,316.15 | 18,598,642.35 | 4,157,291.05 |
| 销售费用 | 107,187,057.49 | 12,055,629.00 | 103,915,116.00 | 17,306,410.87 |
| 管理费用 | 206,963,689.69 | 51,873,164.81 | 221,371,057.39 | 51,578,670.02 |
| 财务费用 | 20,950,962.27 | 15,666,886.46 | 28,950,409.69 | 30,114,534.83 |
| 资产减值损失 | 17,088,744.02 | -5,302,858.01 | 4,150,276.16 | 8,870,299.17 |
| 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) | 374,807.45 | 269,657,820.91 | 63,800.00 | |
| 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) | 624,509,815.64 | 386,620,252.33 | 605,751,147.61 | 125,281,535.84 |
| 加:营业外收入 | 59,443,936.53 | 2,353,408.05 | 55,280,735.37 | 2,465,647.35 |
| 减:营业外支出 | 10,042,897.50 | 950,982.24 | 14,434,365.88 | 3,801,289.35 |
| 其中:非流动资产处置损失 | 4,081,074.05 | 108,547.74 | 182,831.42 | 81,816.46 |
| 四、利润总额(亏损总额以“-”号填列) | 673,910,854.67 | 388,022,678.14 | 646,597,517.10 | 123,945,893.84 |
| 减:所得税费用 | 76,559,117.51 | 14,709,414.23 | 49,138,542.55 | -513,756.30 |
| 五、净利润(净亏损以“-”号填列) | 597,351,737.16 | 373,313,263.91 | 597,458,974.55 | 124,459,650.14 |
| 归属于母公司所有者的净利润 | 553,724,102.78 | 373,313,263.91 | 517,617,299.08 | 124,459,650.14 |
| 少数股东损益 | 43,627,634.38 | 79,841,675.47 | ||
| 六、每股收益: | ||||
| (一)基本每股收益 | 0.94 | 0.95 | ||
| (二)稀释每股收益 | 0.94 | 0.95 | ||
| 七、其他综合收益 | 1,800,000.00 | 2,040,000.00 | ||
| 八、综合收益总额 | 599,151,737.16 | 373,313,263.91 | 599,498,974.55 | 124,459,650.14 |
| 归属于母公司所有者的综合收益总额 | 555,385,202.78 | 373,313,263.91 | 519,063,283.59 | 124,459,650.14 |
| 归属于少数股东的综合收益总额 | 43,766,534.38 | 80,435,690.96 | ||
9.2.3 现金流量表
编制单位:浙江天马轴承股份有限公司 2009年1-12月 单位: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 | 1,832,768,442.14 | 525,098,148.20 | 2,728,023,377.79 | 428,742,942.20 |
| 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 | 6,651,636.51 | 203,038.51 | 36,691,845.07 | 6,489,993.07 |
| 收到其他与经营活动有关的现金 | 82,341,764.21 | 1,950,676.64 | 20,823,723.59 | 3,875,663.88 |
| 经营活动现金流入小计 | 1,921,761,842.86 | 527,251,863.35 | 2,785,538,946.45 | 439,108,599.15 |
| 购买商品、接受劳务支付的现金 | 1,291,845,632.59 | 171,919,449.14 | 1,796,218,411.51 | 226,684,202.61 |
| 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 | 436,674,578.29 | 55,393,518.07 | 447,668,795.33 | 41,808,208.14 |
| 支付的各项税费 | 166,829,795.19 | 58,307,781.98 | 221,497,625.91 | 45,711,028.69 |
| 支付其他与经营活动有关的现金 | 143,597,307.99 | 30,229,496.34 | 306,313,241.16 | 227,675,698.60 |
| 经营活动现金流出小计 | 2,038,947,314.06 | 315,850,245.53 | 2,771,698,073.91 | 541,879,138.04 |
| 经营活动产生的现金流量净额 | -117,185,471.20 | 211,401,617.82 | 13,840,872.54 | -102,770,538.89 |
| 二、投资活动产生的现金流量: | ||||
| 收回投资收到的现金 | 800,000.00 | |||
| 取得投资收益收到的现金 | 73,923.64 | 270,000,000.00 | 63,800.00 | |
| 处置固定资产、无形资产和其他长期资产收回的现金净额 | 10,989,189.18 | 870,300.00 | 7,499,531.16 | 671,445.96 |
| 处置子公司及其他营业单位收到的现金净额 | ||||
| 收到其他与投资活动有关的现金 | 7,113,127.63 | 705,010.07 | 5,217,017.75 | 774,468.18 |
| 投资活动现金流入小计 | 18,976,240.45 | 271,575,310.07 | 12,780,348.91 | 1,445,914.14 |
| 购建固定资产、无形资产和其他长期资产支付的现金 | 319,143,999.95 | 19,319,242.95 | 704,302,559.22 | 25,061,600.09 |
| 投资支付的现金 | 135,683,120.00 | 1,313,683,120.00 | 19,200,000.00 | 80,725,100.00 |
| 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 | ||||
| 投资活动现金流出小计 | 454,827,119.95 | 1,333,002,362.95 | 723,502,559.22 | 105,786,700.09 |
| 投资活动产生的现金流量净额 | -435,850,879.50 | -1,061,427,052.88 | -710,722,210.31 | -104,340,785.95 |
| 三、筹资活动产生的现金流量: | ||||
| 吸收投资收到的现金 | 1,203,340,000.00 | 1,153,500,000.00 | 6,725,011.11 | |
| 其中:子公司吸收少数股东投资收到的现金 | 49,840,000.00 | 6,725,011.11 | ||
| 取得借款收到的现金 | 575,000,000.00 | 255,000,000.00 | 998,350,000.00 | 550,000,000.00 |
| 发行债券收到的现金 | ||||
| 收到其他与筹资活动有关的现金 | 43,848,569.48 | 23,862,611.64 | 169,699,609.33 | 45,838,860.69 |
| 筹资活动现金流入小计 | 1,822,188,569.48 | 1,432,362,611.64 | 1,174,774,620.44 | 595,838,860.69 |
| 偿还债务支付的现金 | 1,126,350,000.00 | 580,000,000.00 | 950,900,000.00 | 370,000,000.00 |
| 分配股利、利润或偿付利息支付的现金 | 92,125,743.81 | 46,065,286.76 | 60,544,503.53 | 55,388,767.50 |
| 其中:子公司支付给少数股东的股利、利润 | 30,000,000.00 | |||
| 支付其他与筹资活动有关的现金 | 5,044,800.00 | 5,044,800.00 | 4,259,999.11 | 310,410.20 |
| 筹资活动现金流出小计 | 1,223,520,543.81 | 631,110,086.76 | 1,015,704,502.64 | 425,699,177.70 |
| 筹资活动产生的现金流量净额 | 598,668,025.67 | 801,252,524.88 | 159,070,117.80 | 170,139,682.99 |
| 四、汇率变动对现金及现金等价物的影响 | -823,170.24 | -36,950.07 | 8,163,580.52 | -674,393.90 |
| 五、现金及现金等价物净增加额 | 44,808,504.73 | -48,809,860.25 | -529,647,639.45 | -37,646,035.75 |
| 加:期初现金及现金等价物余额 | 257,123,605.04 | 83,579,696.85 | 786,771,244.49 | 121,225,732.60 |
| 六、期末现金及现金等价物余额 | 301,932,109.77 | 34,769,836.60 | 257,123,605.04 | 83,579,696.85 |
9.2.4 合并所有者权益变动表(附后)
9.2.5 母公司所有者权益变动表(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
9.2.4 合并所有者权益变动表
编制单位:浙江天马轴承股份有限公司 2009年度 单位: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 | 专项储备 | 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 | 专项储备 | 盈余公积 | 一般风险准备 | 未分配利润 | 其他 | |||||
| 一、上年年末余额 | 272,000,000.00 | 781,213,170.76 | 67,024,255.42 | 972,183,734.80 | 329,463,295.93 | 2,421,884,456.91 | 136,000,000.00 | 917,151,364.78 | 48,355,307.90 | 500,435,383.24 | 260,118,415.33 | 1,862,060,471.25 | ||||||||
| 加:会计政策变更 | ||||||||||||||||||||
| 前期差错更正 | ||||||||||||||||||||
| 其他 | ||||||||||||||||||||
| 二、本年年初余额 | 272,000,000.00 | 781,213,170.76 | 67,024,255.42 | 972,183,734.80 | 329,463,295.93 | 2,421,884,456.91 | 136,000,000.00 | 917,151,364.78 | 48,355,307.90 | 500,435,383.24 | 260,118,415.33 | 1,862,060,471.25 | ||||||||
| 三、本年增减变动金额(减少以“-”号填列) | 322,000,000.00 | 840,467,859.33 | 55,996,989.59 | 468,027,113.19 | -84,906,693.53 | 1,601,585,268.58 | 136,000,000.00 | -135,938,194.02 | 18,668,947.52 | 471,748,351.56 | 69,344,880.60 | 559,823,985.66 | ||||||||
| (一)净利润 | 553,724,102.78 | 43,627,634.38 | 597,351,737.16 | 517,617,299.08 | 79,841,675.47 | 597,458,974.55 | ||||||||||||||
| (二)其他综合收益 | 1,661,100.00 | 138,900.00 | 1,800,000.00 | 1,445,984.51 | 594,015.49 | 2,040,000.00 | ||||||||||||||
| 上述(一)和(二)小计 | 1,661,100.00 | 553,724,102.78 | 43,766,534.38 | 599,151,737.16 | 1,445,984.51 | 517,617,299.08 | 80,435,690.96 | 599,498,974.55 | ||||||||||||
| (三)所有者投入和减少资本 | 25,000,000.00 | 1,135,806,759.33 | -98,673,227.91 | 1,062,133,531.42 | -1,384,178.53 | -11,090,810.36 | -12,474,988.89 | |||||||||||||
| 1.所有者投入资本 | 25,000,000.00 | 1,122,955,200.00 | 49,840,000.00 | 1,197,795,200.00 | 6,725,011.11 | 6,725,011.11 | ||||||||||||||
| 2.股份支付计入所有者权益的金额 | ||||||||||||||||||||
| 3.其他 | 12,851,559.33 | -148,513,227.91 | -135,661,668.58 | -1,384,178.53 | -17,815,821.47 | -19,200,000.00 | ||||||||||||||
| (四)利润分配 | 55,996,989.59 | -85,696,989.59 | -30,000,000.00 | -59,700,000.00 | 18,668,947.52 | -45,868,947.52 | -27,200,000.00 | |||||||||||||
| 1.提取盈余公积 | 55,996,989.59 | -55,996,989.59 | 18,668,947.52 | -18,668,947.52 | ||||||||||||||||
| 2.提取一般风险准备 | ||||||||||||||||||||
| 3.对所有者(或股东)的分配 | -29,700,000.00 | -30,000,000.00 | -59,700,000.00 | -27,200,000.00 | -27,200,000.00 | |||||||||||||||
| 4.其他 | ||||||||||||||||||||
| (五)所有者权益内部结转 | 297,000,000.00 | -297,000,000.00 | 136,000,000.00 | -136,000,000.00 | ||||||||||||||||
| 1.资本公积转增资本(或股本) | 297,000,000.00 | -297,000,000.00 | 136,000,000.00 | -136,000,000.00 | ||||||||||||||||
| 2.盈余公积转增资本(或股本) | ||||||||||||||||||||
| 3.盈余公积弥补亏损 | ||||||||||||||||||||
| 4.其他 | ||||||||||||||||||||
| (六)专项储备 | ||||||||||||||||||||
| 1.本期提取 | ||||||||||||||||||||
| 2.本期使用 | ||||||||||||||||||||
| 四、本期期末余额 | 594,000,000.00 | 1,621,681,030.09 | 123,021,245.01 | 1,440,210,847.99 | 244,556,602.40 | 4,023,469,725.49 | 272,000,000.00 | 781,213,170.76 | 67,024,255.42 | 972,183,734.80 | 329,463,295.93 | 2,421,884,456.91 | ||||||||
9.2.5 母公司所有者权益变动表
编制单位:浙江天马轴承股份有限公司 2009年度 单位:元
| 项目 | 本期金额 | 上年金额 | ||||||||||||||
| 实收资本(或股本) | 资本公积 | 减:库存股 | 专项储备 | 盈余公积 | 一般风险准备 | 未分配利润 | 所有者权益合计 | 实收资本(或股本) | 资本公积 | 减:库存股 | 专项储备 | 盈余公积 | 一般风险准备 | 未分配利润 | 所有者权益合计 | |
| 一、上年年末余额 | 272,000,000.00 | 780,881,364.78 | 67,024,255.42 | 243,082,010.41 | 1,362,987,630.61 | 136,000,000.00 | 916,881,364.78 | 48,355,307.90 | 164,491,307.79 | 1,265,727,980.47 | ||||||
| 加:会计政策变更 | ||||||||||||||||
| 前期差错更正 | ||||||||||||||||
| 其他 | ||||||||||||||||
| 二、本年年初余额 | 272,000,000.00 | 780,881,364.78 | 67,024,255.42 | 243,082,010.41 | 1,362,987,630.61 | 136,000,000.00 | 916,881,364.78 | 48,355,307.90 | 164,491,307.79 | 1,265,727,980.47 | ||||||
| 三、本年增减变动金额(减少以“-”号填列) | 322,000,000.00 | 825,955,200.00 | 55,996,989.59 | 287,616,274.32 | 1,491,568,463.91 | 136,000,000.00 | -136,000,000.00 | 18,668,947.52 | 78,590,702.62 | 97,259,650.14 | ||||||
| (一)净利润 | 373,313,263.91 | 373,313,263.91 | 124,459,650.14 | 124,459,650.14 | ||||||||||||
| (二)其他综合收益 | ||||||||||||||||
| 上述(一)和(二)小计 | 373,313,263.91 | 373,313,263.91 | 124,459,650.14 | 124,459,650.14 | ||||||||||||
| (三)所有者投入和减少资本 | 25,000,000.00 | 1,122,955,200.00 | 1,147,955,200.00 | |||||||||||||
| 1.所有者投入资本 | 25,000,000.00 | 1,122,955,200.00 | 1,147,955,200.00 | |||||||||||||
| 2.股份支付计入所有者权益的金额 | ||||||||||||||||
| 3.其他 | ||||||||||||||||
| (四)利润分配 | 55,996,989.59 | -85,696,989.59 | -29,700,000.00 | 18,668,947.52 | -45,868,947.52 | -27,200,000.00 | ||||||||||
| 1.提取盈余公积 | 55,996,989.59 | -55,996,989.59 | 18,668,947.52 | -18,668,947.52 | ||||||||||||
| 2.提取一般风险准备 | -27,200,000.00 | -27,200,000.00 | ||||||||||||||
| 3.对所有者(或股东)的分配 | -29,700,000.00 | -29,700,000.00 | ||||||||||||||
| 4.其他 | ||||||||||||||||
| (五)所有者权益内部结转 | 297,000,000.00 | -297,000,000.00 | 136,000,000.00 | -136,000,000.00 | ||||||||||||
| 1.资本公积转增资本(或股本) | 297,000,000.00 | -297,000,000.00 | 136,000,000.00 | -136,000,000.00 | ||||||||||||
| 2.盈余公积转增资本(或股本) | ||||||||||||||||
| 3.盈余公积弥补亏损 | ||||||||||||||||
| 4.其他 | ||||||||||||||||
| (六)专项储备 | ||||||||||||||||
| 1.本期提取 | ||||||||||||||||
| 2.本期使用 | ||||||||||||||||
| 四、本期期末余额 | 594,000,000.00 | 1,606,836,564.78 | 123,021,245.01 | 530,698,284.73 | 2,854,556,094.52 | 272,000,000.00 | 780,881,364.78 | 67,024,255.42 | 243,082,010.41 | 1,362,987,630.61 | ||||||


