晨 鸣B:2012年第三季度报告全文(英文版) .ppt
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1、,2012 Third Quarter Report,I.,Important,1、The board of directors(the“Board”),the supervisory committee(the“SupervisoryCommittee”)and the directors(the“Directors”),supervisors(the“Supervisors”)and seniormanagement(the“Senior Management”)of Shandong Chenming Paper Holdings Limited(the“Company”,“us”,an
2、d“we”)hereby warrant that there are no false representations,misleadingstatements or material omissions contained in this report(the“Report”),and jointly andseverally accept full responsibility for the truthfulness,accuracy and completeness of itscontents.This Report has been prepared in both Chines
3、e and English.For any discrepancies,the Chinese version shall prevail.2、None of the Directors,Supervisors and Senior Management is unable to warrant thetruthfulness,accuracy and completeness of the contents of this Report or holds any dissentingviews.3、This quarterly report was considered and approv
4、ed by the fifteenth meeting of the sixth sessionof the Board of the Company with all Directors present by means of communication.4、The third quarter financial statements of the Company and its subsidiaries(collectivelyreferred to as the“Group”)prepared in accordance with Accounting Standards for Bus
5、inessEnterprises issued by the Ministry of Finance of PRC have not been audited.5、Chen Hongguo,the person in charge of the Company,Wang Chunfang,the financial controllerof the Company,and Liu Jun,head of accounting department(the person in charge ofaccounting)hereby declare their assurance of the tr
6、uthfulness and completeness of thefinancial report contained in the quarterly report.II.Company overview(I)Major accounting data and financial indicatorsRetrospective adjustments to the financial statements of prior reporting periods,Yes,No,Not applicable,Unit:RMBIncrease/decrease as at the end of t
7、he,2012.9.30,2011.12.31,reporting period compared to the end of theprior year(%),Total assets(RMB),47,184,097,928.45,45,630,828,967.03,3.40,1,0,Equity attributable to shareholders of theCompany(RMB)Share capital(shares),13,352,474,002.672,062,045,941.00,13,528,622,319.912,062,045,941.00,-1.30,Net as
8、sets per share attributable to,shareholders of the Company,6.48,6.56,-1.30,(RMB/share),July September 2012,Increase/decreasecompared to thecorresponding periodof the prior year(%),January September 2012,Increase/decreasecompared to thecorrespondingperiod of the prioryear(%),Total revenue(RMB)Net pro
9、fit attributable to shareholders ofthe Company(RMB)Net cash flows from operating activities(RMB)Net cash flows per share from operatingactivities(RMB/share)Basic earnings per share(RMB/share)Diluted earnings per share(RMB/share)Weighted average return on net assets(%),5,001,125,623.4338,909,228.410.
10、020.020.29%,12.96-73.93-73.93-73.93-0.82,14,965,577,158.47133,154,191.26337,787,337.650.160.060.060.99%,12.15-78.96-50.91-50.91-78.96-78.96-3.54,Weighted average return on net assets,after deducting extraordinary gains or,-0.40%,-1.16,-1.16%,-4.72,losses(%)Less the amounts for extraordinary gain or
11、loss items,Applicable,Not applicable,Amounts from the,Unit:RMB,ItemGain or loss on disposal of non-current assetsTax rebate or tax concessions with unauthorised approval orwithout official approval documentsGovernment grants recognised in profit or loss for the currentperiod(except for government gr
12、ants closely related to thecorporate business that were given under at a fixed standardamount or quantity as stipulated by the State)Fees charged to profit or loss for the current period received fromnon-financial institutions for utilisation of fundsGain arising from investment costs for acquisitio
13、n of subsidiaries,2,beginning of the year tothe end of the reportingperiod(RMB)4,276,203.08215,857,588.70,Note,Amounts from the,Item,beginning of the year tothe end of the reporting,Note,period(RMB)associates and joint-ventures by the corporation being less thanits share of fair value of identifiabl
14、e net assets of the investees onacquisitionGain or loss on non-monetary asset swapGain or loss on assets invested or managed under entrustmentImpairment provisions for various assets due to force majeure suchas natural disasters,Gain or loss on debt restructuringCorporate restructuring fees such as
15、expenses for severancepayments for staff and consolidation feesProfit or loss in excess of the fair value portion arising fromtransactions with obvious unfair transaction pricesNet gain or loss for the period arising from subsidiaries formedfrom business merger under common control from the beginnin
16、gof the year to the merger dateGain or loss arising from contingent items unrelated to the ordinarycourse of business of the CompanyExcept for effective hedging business conducted in the ordinarycourse of business of the Company,gain or loss arising from thechange in fair value of financial assets h
17、eld for trading andfinancial liabilities held for trading,as well as investment gainsfrom disposal of financial assets held for trading and financialliabilities held for trading and available-for-sale financial assetsReversal of impairment provision on receivables tested forimpairment on individual
18、basisGain or loss on external entrusted loansGain or loss from the change in fair value of investment property byadopting fair value method for subsequent measurementsEffect on profit or loss for the current period from one-offadjustments to profit or loss for the current period made pursuantto taxa
19、tion and accounting laws and regulations,etc.Entrustment fees received from entrusted businessNon-operating income and expenses other than the above items,7,653,776.5988,770,404.99,Gain or loss from the,Other gain or loss items within the definition of extraordinary gainor lossEffect of minority sha
20、reholders interestsEffect of income taxTotal3,15,457,198.72-33,817,343.75-8,310,194.92289,887,633.41,change in fair value oftimber assets measuredat fair value,Note on“other gain or loss items within the definition of extraordinary gain or loss”andextraordinary gain or loss items defined as recurrin
21、g income or loss items by the Company based onthe nature and features of its ordinary course of business,ItemGain or loss from the change in fair value oftimber assets measured at fair value,Amount(RMB)15,457,198.72,NoteGain or loss from the change in fair valueof timber assets measured at fair valu
22、e,(II)Total number of shareholders and the shareholding of the top ten shareholders as at theend of the reporting periodThe total number of shareholders was 159,715,of which 126,979 wereTotal number of shareholders as at the end holders of A shares,32,144 were holders of B shares and 592 were holder
23、s,of the reporting period,of H shares.,Shareholding of the top ten shareholders of non-restricted tradable shares,Name of shareholders,Number of non-restrictedtradable shares held as at the,Class and number of shares,end of the reporting period,Class,Number,HKSCC NOMINEES LIMITEDPLATINUM ASIA FUNDTA
24、IFOOK SECURITIES COMPANYLIMITED ACCOUNT CLIENT,389,724,50043,480,37735,436,403,Overseas listed foreignsharesDomestic listed foreignsharesDomestic listed foreignshares,389,724,50043,480,37735,436,403,BILL&MELINDA GATESFOUNDATION TRUSTCHINA LIFE INSURANCE COMPANYLIMITED-DIVIDEND INDIVIDUAL DIVIDEND-00
25、5L-FH002 SHENZHEN,23,701,666 RMB ordinary shares17,819,798 RMB ordinary sharesRMB ordinary shares,23,701,66617,819,7982,091,600,Jin XingLSV EMERGING MARKETS EQUITYFUND,L.P.VICTORIAN FUNDS MANAGEMENTCORPORATION ATF VFM EMGMKTS TRT,7,969,0006,102,8006,086,106,Domestic listed foreignsharesDomestic list
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