西宁特殊钢股份有限公司2012年公司债券上市公告

   2012-08-20 铁艺大全王先生6450

  2,951,749,090.39

  2,254,201,022.70

  976,644,182.43

  1,195,397,551.54

  工程物资

  13,602,090.41

  10,586,014.19

  17,505,010.06

  13,649,612.87

  无形资产

  1,082,996,579.95

  1,077,060,474.71

  1,095,670,044.89

  551,200,955.10

  长期待摊费用

  178,030,229.15

  77,369,437.78

  82,399,481.19

  93,852,345.35

  递延所得税资产

  37,707,071.46

  31,025,399.60

  41,511,164.26

  54,980,191.15

  其他非流动资产

  15,259,679.85

  15,672,103.62

  17,321,798.70

  18,875,938.26

  非流动资产合计

  11,013,092,087.91

  10,318,701,293.80

  8,561,499,030.92

  7,542,214,874.31

  资产总计

  13,821,543,276.12

  13,410,400,918.49

  11,996,116,420.51

  10,496,326,988.14

  流动负债:

  短期借款

  5,117,000,000.00

  5,028,000,000.00

  3,588,000,000.00

  3,750,340,000.00

  应付票据

  540,000,000.00

  457,480,000.00

  393,299,122.42

  335,000,000.00

  应付账款

  1,129,661,644.15

  926,365,120.96

  787,097,301.09

  885,217,613.59

  预收款项

  220,826,623.90

  240,605,677.23

  245,090,484.58

  195,941,783.58

  应付职工薪酬

  6,533,262.85

  3,746,174.45

  4,302,486.80

  4,294,431.62

  应交税费

  200,249,590.49

  215,306,121.19

  236,262,585.63

  116,398,758.76

  应付利息

  76,210,147.98

  41,903,295.95

  28,388,234.11

  15,627,223.36

  应付股利

  -

  -

  74,686.25

  -

  其他应付款

  164,704,649.45

  155,682,955.89

  130,083,798.09

  330,308,473.28

  一年内到期的非流动负债

  320,307,222.92

  394,323,977.51

  830,000,000.00

  256,366,759.53

  其他流动负债

  -

  -

  1,000,000,000.00

  -

  流动负债合计

  7,775,493,141.74

  7,463,413,323.18

  7,242,598,698.97

  5,889,495,043.72

  非流动负债:

  长期借款

  1,314,000,000.00

  1,249,000,000.00

  1,463,424,000.00

  1,372,050,000.00

  应付债券

  987,383,333.33

  986,633,333.33

  -

  -

  长期应付款

  -

  -

  100,094,530.48

  236,324,234.17

  专项应付款

  9,090,909.09

  9,090,909.09

  9,090,909.09

  10,000,000.00

  预计负债

  19,341,829.50

  24,279,362.97

  4,029,691.04

  1,764,722.92

  其他非流动负债

  121,230,649.77

  95,263,596.30

  70,200,816.43

  67,081,909.27

  非流动负债合计

  2,451,046,721.69

  2,364,267,201.69

  1,646,839,947.04

  1,687,220,866.36

  负债合计

  10,226,539,863.43

  9,827,680,524.87

  8,889,438,646.01

  7,576,715,910.08

  所有者权益:

  实收资本

  741,219,252.00

  741,219,252.00

  741,219,252.00

  741,219,252.00

  资本公积

  706,585,962.97

  706,585,962.97

  706,585,962.97

  752,376,962.85

  专项储备

  14,156,840.64

  12,528,869.79

  25,560,956.73

  60,953,343.74

  盈余公积

  186,965,687.45

  186,965,687.45

  176,684,714.83

  165,375,244.90

  未分配利润

  1,200,305,690.33

  1,216,513,059.37

  902,767,288.46

  718,014,279.18

  归属于母公司所有者权益合计

  2,849,233,433.39

  2,863,812,831.58

  2,552,818,174.99

  2,437,939,082.67

  少数股东权益

  745,769,979.30

  718,907,562.04

  553,859,599.51

  481,671,995.39

  所有者权益合计

  3,595,003,412.69

  3,582,720,393.62

  3,106,677,774.50

  2,919,611,078.06

  负债和所有者权益总计

  13,821,543,276.12

  13,410,400,918.49

  11,996,116,420.51

  10,496,326,988.14

  合并利润表(单位:元)

  项目

  2012年1-3月

  2011年

  2010年

  2009年

  一、营业总收入

  1,709,615,690.35

  8,207,994,508.11

  7,051,936,903.50

  5,186,255,110.13

  其中:营业收入

  1,709,615,690.35

  8,207,994,508.11

  7,051,936,903.50

  5,186,255,110.13

  二、营业总成本

  1,695,539,092.63

  7,627,231,228.60

  6,632,868,380.44

  5,136,052,576.64

  其中:营业成本

  1,402,203,297.19

  6,516,298,134.78

  5,676,212,041.47

  4,391,294,011.64

  营业税金及附加

  12,504,078.01

  62,003,577.06

  48,033,418.65

  39,871,372.72

  销售费用

  59,241,494.87

  244,379,486.08

  201,783,639.94

  145,251,917.42

  管理费用

  81,618,357.69

  304,756,340.39

  309,466,836.66

  251,537,608.19

  财务费用

  139,971,864.87

  458,878,727.25

  373,321,349.23

  304,153,538.23

  资产减值损失

  -

  40,914,963.04

  24,051,094.49

  3,944,128.44

  加:公允价值变动收益

  -

  -

  -

  -

  投资收益

  -

  2,000,000.00

  1,200,000.00

  800,000.00

  三、营业利润

  14,076,597.72

  582,763,279.51

  420,268,523.06

  51,002,533.49

  加:营业外收入

  5,691,332.27

  43,730,867.82

  27,788,583.95

  42,594,966.20

  减:营业外支出

  1,789,606.86

  17,578,666.06

  31,698,942.88

  8,561,402.17

  其中:非流动资产处置损失

  -

  8,492,967.23

  8,490,418.88

  2,406,597.40

  四、利润总额

  17,978,323.13

  608,915,481.27

  416,358,164.13

  85,036,097.52

  减:所得税费用

  7,989,910.23

  120,440,775.21

  87,838,118.07

  21,641,315.67

  五、净利润

  9,988,412.90

  488,474,706.06

  328,520,046.06

  63,394,781.85

  归属于母公司所有者的净利润

  -16,874,004.36

  324,026,743.53

  233,123,441.81

  34,768,163.80

  少数股东损益

  26,862,417.26

  164,447,962.53

  95,396,604.25

  28,626,618.05

  六、每股收益:

  (一)基本每股收益

  -0.023

  0.44

  0.31

  0.05

  (二)稀释每股收益

  -0.023

  0.44

  0.31

  0.05

  七、其他综合收益

  -

  -

  -

  -

  八、综合收益总额

  9,988,412.90

  488,474,706.06

  328,520,046.06

  63,394,781.85

  归属于母公司所有者的综合收益总额

  -16,874,004.36

  324,026,743.53

  233,123,441.81

  34,768,163.80

 
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