深发展A 2005年第三季度报告

股票简称:深发展A 股票代码:000001


                     深圳发展银行股份有限公司2005年第三季度报告

                                     重要提示
    本行董事会及其董事保证本报告所载资料不存在任何虚假记载、误导性陈述或者重大遗
漏,并对其内容的真实性、准确性和完整性承担个别及连带责任。
董事13人。委托董事1人,董事戴德时(Timothy D. Dattels)因事不能亲自出席会议,委
托董事唐开罗(Daniel A. Carroll)行使表决权。
    本行董事会会议一致同意此报告。
    本行董事长法兰克纽曼、行长韦杰夫、财务负责人王博民保证季度报告中财务报告的真
实、完整。
    本行本季度财务会计报告未经审计。
    一、公司基本情况
    1、公司基本信息
         股票简称        深发展A
         股票代码        000001
                         董事会秘书                  证券事务代表
         姓名            徐  进                      吕旭光
         联系地址        深圳市深南东路5047号深圳发展银行董事会秘书处
         电话            (0755) 82080387
         传真            (0755) 82080386
         电子邮箱        dsh@sdb.com.cn
     2、财务资料
     2.1  主要会计数据及财务指标
                                                            (货币单位:人民币元)
                         本报告期末         上年度期末         比上年度期末增减
 总资产                220,515,943,932     204,286,424,020                    7.94%
 股东权益(不含少数      5,014,966,149       4,684,662,288                    7.05%
 股东权益)
 每股净资产                       2.58                2.41                    7.05%
 调整后的每股净资产               2.50                2.34                    6.84%
                      报告期(7-9月)     年初至报告期期末   本报告期比上年同期增减
 经营活动产生的现金                         -1,513,257,543
 流量净额
 每股收益                         0.08                0.19                   31.01%
 净资产收益率                    3.17%               7.31%          增加0.4个百分点
 扣除非经常性损益后              2.97%               5.96%          增加0.3个百分点
 的净资产收益率
 非经常性损益项目                                          金  额
 扣除预计负债后的营业外收入、支出净额                                     7,590,778
 以前年度已经计提各项减值准备的转回                                       8,845,562
 所得税影响                                                              -5,423,992
 调整存贷款利息收支计息日对净利润的                                      56,767,665
 影响(十天净利息)
              合      计                                                 67,780,013
     注:本表中的净资产收益率是未年化的数字。
                                                                        (单位:%)
    主要指标(%)       标准值  2005年9月30日     2005年6月30日2004年12月31日
              人民币     ≤75             57.14             62.32             65.96
存贷款比例    外  币     ≤85             54.01             57.12             47.93
              本外币     ≤75             57.00             62.07             65.46
              人民币     ≥25             36.12             33.62             25.39
流动性比例
              外  币     ≥60             80.43             91.76             79.30
              拆入比例   ≤4                  0              0.12              0.15
拆借资金比例
              拆出比例   ≤8               0.52              0.74              0.92
 资本充足率              ≥8               3.43              3.14              2.30
 不良贷款比例            ≤15             10.29             10.74             11.41
 国际商业借款比例       ≤100                                  --              5.26
 利息回收率                   -           91.02             88.29             95.53
     注:本表所列示的资本充足率是根据银监会《商业银行资本充足率管理办法》和《关于
 印发资本充足率统计制度的通知》的规定计算。
    2.2利润表(见附录)
    3、报告期末股东总数及前十名流通股股东持股表
报告期末股东总数(户)                    630,989
                             前十名流通股股东持股情况
                                                                      种类(A、B、H
                股东名称                  期末持有流通股的数量(股)
                                                                      股或其它)
全国社保基金零零一组合                           11,476,773                A
国债服务部                                        7,340,670                A
博时裕富证券投资基金                              7,307,009                A
深圳市投资管理公司                                6,132,473                A
张绍红                                            5,623,726                A
融通深证100指数证券投资基金                       5,334,576                A
银河-渣打-CITIGROUP     GLOBAL  MARKETS           4,689,332                A
LIMITED
孟常春                                            4,283,024                A
长城久泰中信标普300指数证券投资基金               3,415,002                A
王秋生                                            3,386,220                A
二、管理层讨论与分析
    1、公司报告期内经营活动总体状况的简要分析
         1、报告期末,本行总资产为2205.16亿元,比年初增加162.30亿元,增长7.94%。
     其中,各项贷款余额1403.92亿元,比年初增加141.96亿元,增长11.25%。
         2、报告期末,本行总负债为2155.01亿元,比年初增加158.99亿元,增长7.97
     %。其中,各项存款余额为1925.46亿元,比年初增加252.80亿元,增长15.11%;
     本外币各项储蓄存款余额276.86亿元,比年初增加39.3亿元,增长16.54%。
         3、报告期内(7-9月),本行实现准备前利润6.81亿元,同比增长43.72%;实
     现净利润1.59亿元,同比增长31.01%。
         4、报告期内,本行计提各项资产减值准备4.41亿元,同比增加1.14亿元,增
     长34.74%。
    1.1  占主营收入或主营业务利润总额10%以上的主营行业或产品情况
    √适用  □不适用
                                                            (货币单位:人民币元)
                    业务种类                       报告期内业务收入
       贷款(含贴现)                                           1,819,821,076
     1.2  公司经营的季节性或周期性特征
     □适用  √不适用
     1.3  报告期利润构成情况
     √适用  □不适用
                                                            (货币单位:人民币元)
项目                2005年7-9月               2005年1-6月                 占利润总
                                  占利润总                    占利润总    额  增  减
                    金额                      金额
                                  额                          额          (+/-)
主营业务利润        777,114,194   323.75%     1,563,300,149   422.38%     -98.63%
其他业务利润
计提资产减值准备    440,740,270   183.61%     964,029,778     260.46%     -76.85%
营业费用            646,825,303   269.47%     1,147,478,648   310.03%     -40.56%
营业外收支净额      9,756,828     4.06%       -21,150,550     -5.71%      9.77%
税前利润            240,037,498   100%        370,120,574     100%
     1.4  主营业务及其结构与前一报告期相比发生重大变化的情况及原因说明
     □适用  √不适用
     1.5  主营业务盈利能力(毛利率)与前一报告期相比发生重大变化的情况及其原因说
 明
     □适用  √不适用
     2、重大事项及其影响和解决方案的分析说明
     □适用  √不适用
     3、会计政策、会计估计、合并范围变化以及重大会计差错的情况及原因说明
     □适用  √不适用
         本报告期,本行无新的关于会计政策、会计估计、合并范围的变化以及重大会计
    差错之更正。
         关于本年度存贷款计息日改变的说明
         本行以前年度各项贷款及各项存款计息日按中国人民银行的规定为每月的20日。
    本行于本期将利息计提日改为每月月末。管理层认为,将计息日改为每月的月末更符合
    会计期间核算的原则。本行目前正在更改相关的电脑计息系统,并将于未来期间持续地
    应用新的计息日。
         以前年度各项贷款及各项存款实际计息期间为上年12月20日到当年12月20日,
    变更上述方法对本行以前年度公布的会计报表项目影响并不重大(对2004年度、2003
    年度净利润影响分别为1.96%和4.92%,对净资产影响分别为1.21%和1.16%),故本行
    不对以前年度会计报表进行追溯调整。
         上述变更对截至本期末之营业利润的影响为2.42%,影响金额已作为非经常性损益
    并调整每股收益作披露(见本报告2.1     主要会计数据及财务指标)。
    4、经审计且被出具"非标意见"情况下董事会和监事会出具的相关说明
    □适用  √不适用
    5、公司管理层对会计师事务所上年度“非标意见”涉及事项的变化及处理情况的说明
     √适用   □不适用
          2004年9月,中国证监会机构监管部发出通知,要求我行立即归还扣划的德恒证
     券有限责任公司的存款。2005年1月,中国证监会机构监管部、上市公司监管部再次
     发出通知,要求我行收到通知20天内归还已被我行扣划的德恒证券有限责任公司及南
     方证券股份有限公司合计人民币4.215亿元的相关款项,否则将对我行立案稽查并依
     法进行行政处罚。
          目前,我行没有向有关方面归还该等款项,并已向中国证监会及中国银监会报告,
     要求妥善解决。我行至今未收到证监会关于此案的进一步通知或者要求,证监会未再
     次要求我行归还有关款项。独立第三方律师意见认为,我行并无现时义务支付该等款
     项。
    6、预测年初至下一报告期期末的累计净利润可能为亏损或者与上年同期相比发生大幅
度变动的警示及原因说明
   □适用  √不适用
   7、公司对已披露的年度经营计划或预算的滚动调整情况
   □适用  √不适用
                                                           深圳发展银行董事会
                                                              2005年10月29日
附录:
   1  资产负债表
   2  利润表
   3  现金流量表
                                         资产负债表
                                        (2005年9月30日)
编制单位:深圳发展银行股份有限公司                                              货币单位:人民币元
                                         2005年9月30日                         2004年12月31日
 资产
 流动资产:
现金                                                   883,240,244                           703,081,594
存放中央银行款项                                    14,166,847,391                        18,404,206,126
存放联行款项                                           913,021,509                                     -
存放同业款项                                        19,331,284,438                         5,236,463,983
拆放同业                                             3,044,965,260                         2,752,091,600
拆放金融性公司                                         257,244,914                           271,021,624
买入返售资产                                         7,364,273,033                        11,148,189,646
应收帐款                                               232,239,481                            75,008,634
其他应收款                                             875,991,825                           809,366,899
      减:坏帐准备                                    (983,786,230)                         (949,254,376)
预付帐款                                                53,218,139                            52,785,247
递延支出                                                         -                                     -
待摊费用                                                23,531,534                             9,045,181
短期投资                                             6,597,234,486                        11,046,867,007
      减:短期投资减值准备                                        -                                     -
委托贷款及委托投资                                   6,571,658,599                         6,145,411,762
自营证券                                                         -                                     -
代理证券                                                         -                                     -
短期贷款                                            60,359,453,491                        64,404,003,227
进出口押汇                                           2,094,977,139                         1,154,051,709
贴现                                                30,138,960,322                        16,701,407,260
        流动资产合计                               151,924,355,575                       137,963,747,123
 长期资产:
中长期贷款                                          31,701,537,226                        31,238,496,393
逾期贷款                                             1,838,827,543                         1,264,560,541
非应计贷款                                          14,257,959,698                        11,432,944,110
      减:贷款呆帐准备                             (6,031,457,032)                       (5,111,559,816)
应收租赁款                                               4,205,113                             4,293,888
租赁资产                                                 8,541,380                             8,718,359
      减:待转租赁资产                                 (8,541,380)                           (8,718,359)
长期股权投资                                           156,491,335                           156,491,335
长期债券投资                                        21,704,491,526                        22,601,847,375
长期投资合计                                        21,860,982,861                        22,758,338,710
      减:长期投资减值准备                                             (53,169,688)                                       (48,159,919)
长期投资净额                                                             21,807,813,173                                     22,710,178,791
固定资产原值                                                              4,659,456,489                                      4,598,460,554
      减:累计折旧                                                      (1,583,778,516)                                    (1,354,891,225)
固定资产净值                                                              3,075,677,973                                      3,243,569,329
在建工程                                                                 17,584,082                                         11,792,846
        减:在建工程减值准备                                                          -                                                  -
固定资产清理                                                                  1,423,620                                                  -
           长期资产合计                                                  66,673,571,396                                     64,794,276,082
 无形资产及其他资产:
无形资产                                                                     46,037,859                                         65,857,066
长期待摊费用                                                                124,343,036                                        131,406,613
抵债资产                                                                    922,378,131                                        722,981,888
      减:抵债资产减值准备                                                (167,701,151)                                      (144,142,099)
递延税款借项                                                                992,959,086                                        752,297,347
其他资产                                                                              -                                                  -
无形资产及其他资产合计                                                    1,918,016,961                                      1,528,400,815
             资产总计                                                   220,515,943,932                                    204,286,424,020
                                     资产负债表(续)
                                        (2005年9月30日)
编制单位:深圳发展银行股份有限公司                                                货币单位:人民币元
                                           2005年9月30日                             2004年12月31日
 负债及所有者权益
 流动负债:
短期存款                                       90,823,046,045                             86,482,462,951
短期储蓄存款                                   25,170,312,177                             21,429,291,424
存入短期保证金                                 53,924,442,845                            39,539,679,306
财政性存款                                      5,207,861,598                              4,710,677,076
向中央银行借款                                              -                                          -
同业存放款项                                    9,950,435,849                              8,325,483,278
联行存放款项                                                -                                          -
同业拆入                                                    -                               322,764,999
汇出汇款                                          170,287,733                                599,477,063
应解汇款                                          830,477,156                                594,653,672
委托资金                                        6,571,658,599                              6,145,411,762
应付代理证券款项                                   36,837,763                                 16,471,412
卖出回购资产                                    1,618,572,628                            13,898,079,991
应付帐款                                          974,235,320                                635,548,554
应付工资                                          254,051,888                                257,289,040
应付福利费                                        118,578,144                                107,831,830
应交税金                                          507,521,749                                395,564,267
应付利润                                           23,441,268                                23,571,856
其他应付款                                      2,170,351,766                              1,150,119,977
预提费用                                           46,197,192                                 15,207,131
递延收益                                          231,616,667                                167,083,227
预计负债                                           29,374,075                                 30,389,574
    流动负债合计                              198,659,300,462                            184,847,058,390
 长期负债:
长期存款                                       14,004,827,966                             11,219,230,753
长期储蓄存款                                    2,515,236,945                              2,326,813,987
存入长期保证金                                    114,669,545                              1,006,921,846
长期应付款                                            942,867                                  1,508,587
    长期负债合计                               16,635,677,323                             14,554,475,173
递延税款贷项                                      205,999,998                                200,228,169
       负债合计                               215,500,977,783                            199,601,761,732
 股东权益:
股本                                            1,945,822,149                              1,945,822,149
资本公积                                        1,571,729,344                              1,571,729,344
盈余公积                                          261,789,591                                262,684,525
    其中:公益金                                   87,561,507                                 87,561,508
一般准备                                          269,773,947                                269,773,946
未分配利润                                      1,001,078,367                                634,655,241
外币报表折算差                                   (35,227,249)                                    (2,917)
    股东权益净额                                5,014,966,149                              4,684,662,288
 负债及股东权益合计                           220,515,943,932                            204,286,424,020
董事长:法兰克纽曼                 行长:韦杰夫                       财务负责人:王博民
                                                  利     润    表
                                                (2005年1至9月)
编制单位:深圳发展银行股份有限公司                                                       货币单位:人民币元
                                     2005年1-9月          2005年7-9月           2004年1-9月            2004年7-9月
一、营业收入                        6,349,683,885         2,150,600,246        6,085,604,364         2,002,992,387
      利息收入                      4,221,943,628         1,415,311,436        4,055,432,018         1,350,841,411
      金融企业往来收入              511,083,339           192,329,655          414,298,128           163,224,176
      手续费收入                    203,033,516           74,731,099           167,174,736           61,574,265
      贴现利息收入                  1,176,337,541         404,509,640          1,277,073,583         374,514,872
      买入返售资产收入              52,218,147            7,995,104            39,563,122            12,983,115
      证券销售差价收入              41,299,891            9,189,358            23,157,035            2,098,683
      汇兑收益                      95,254,004            40,685,043           71,326,970            26,081,625
      其他营业收入                  48,513,819            5,848,911            37,578,772            11,674,240
二、营业支出                        2,850,166,633         942,471,138          2,791,078,877         916,040,338
     利息支出                       2,128,267,772         744,348,833          1,738,003,048         614,586,588
     金融企业往来利息支出           648,354,238           175,730,814          993,002,768           287,269,832
     手续费支出                     46,715,909            17,208,766           39,996,554            13,667,356
     卖出回购资产支出               20,105,965            102,610              18,996,435            6,001,077
     汇兑损失                       6,722,749             5,080,115            1,080,072              (5,484,515)
三、营业费用                        1,794,303,951         646,825,303          1,844,023,986         676,712,619
四、投资净收入                      635,201,043           215,810,390          513,239,346           160,844,967
五、营业利润                        2,340,414,344         777,114,195          1,963,740,847         571,084,397
     减:营业税金及附加              314,092,500           106,093,253          309,414,547           101,767,556
     加:营业外收入                  11,183,872            5,825,614            16,666,036            5,418,965
     减:营业外支出                  22,577,594             (3,931,214)         14,015,523            1,065,938
六、利润总额                        2,014,928,122         680,777,770          1,656,976,813         473,669,868
七、计提的资产减值准备              1,404,770,048         440,740,270          1,165,367,770         327,105,950
八、扣除资产损失后利润总额          610,158,074           240,037,500          491,609,043           146,563,918
      减:所得税                     243,734,948           81,101,166           153,255,866           25,246,550
九、净利润                          366,423,126           158,936,334          338,353,177           121,317,368
董事长:法兰克纽曼                              行长:韦杰夫                     财务负责人:王博民
                                            现金流量表
                                            2005年1-9月
                                                                                   货币单位:人民币元
                                 项目                                               2005年1-9月
一、经营活动产生的现金流量:
     收回的中长期贷款                                                                    10,964,556,141
     吸收的活期存款净额                                                                   8,578,788,370
     吸收的活期存款以外的其他存款                                                        16,466,531,408
     同业存款净额                                                                         1,431,586,725
     向其他金融企业拆入的资金净额                                                       -12,602,272,362
     收取的利息                                                                           5,868,885,248
     收取的手续费                                                                           203,033,516
     收回的已于前期核销的贷款                                                                   770,000
     收回的委托资金净额                                                                     426,246,837
     收到的其他与经营活动有关的现金                                                       1,151,548,180
现金流入小计                                                                             32,489,674,063
     对外发放的中长期贷款                                                                11,427,596,975
     对外发放的短期贷款净额                                                              13,932,518,814
     对外发放的委托贷款净额                                                                 426,246,838
     支付的活期存款以外的其他存款                                                                     -
     存放同业款项净额                                                                    8,514,822,355
      拆放其他金融企业资金净额                                                           -2,940,334,563
     支付的利息                                                                           2,458,041,207
     支付的手续费                                                                            46,715,909
     支付给职工以及为职工支付的现金                                                         739,359,112
     支付的税费                                                                            701,143,374
     支付的其他与经营活动有关的现金                                                       1,146,800,877
现金流出小计                                                                             36,452,910,898
经营活动产生的现金流量净额                                                               -3,963,236,835
二、投资活动产生的现金流量:
     收回投资所收到的现金                                                                64,808,357,559
     分得股利或利润所收到的现金                                                                       -
     取得债券利息收入所收到的现金                                                           604,283,442
     处置固定资产、无形资产和其他长期资产收回的现金净额                                               -
     收到的其他与投资活动有关的现金                                                                   -
现金流入小计                                                                            65,412,641,001
     购建固定资产、无形资产和其他长期资产所支付的现金                                        99,735,433
     权益性投资所支付的现金                                                                           -
     债权性投资所支付的现金                                                              59,609,371,588
     支付其他与投资活动有关的现金                                                                     -
现金流出小计                                                                            59,709,107,021
投资活动产生的现金流量净额                                                                5,703,533,980
三、筹资活动产生的现金流量:
     吸收权益性投资收到的现金                                                                         -
     发行债券收到的利息                                                                               -
     借款所收到的现金                                                                                 -
     收到的其他与筹资活动有关的现金                                                                   -
现金流入小计                                                                                          -
     偿还债务所支付的现金                                                                             -
     发生筹资费用所支付的现金                                                                         -
     分配股利或利润所支付的现金                                                                 130,588
     支付其他与筹资活动有关的现金                                                                     -
现金流出小计                                                                                    130,588
筹资活动产生的现金流量净额                                                                     -130,588
四、非常项目产生的现金流量净额                                                              -11,632,867
五、汇率变动对现金的影响                                                                    -36,119,265
六、现金及现金等价物净增加额                                                              1,692,414,425
                                        现金流量表(续)
                                            2005年1-9月
 货币单位:人民币元
 补充资料                                                                          2005年1-9月
1.不涉及现金收支的投资和筹资:
   以固定资产偿还债务                                                                                 -
   以对外投资偿还债务                                                                                 -
   以非现金资产偿还债务                                                                               -
   以固定资产进行长期投资                                                                             -
   融资租赁固定资产                                                                                   -
   接收捐赠非现金资产                                                                                 -
2.将净利润调节为经营活动的现金流量:                                                                  -
   净利润                                                                                   366,423,126
   加:
 计提的资产减值准备                                                                       1,404,770,048
     ——计提的呆帐准备或转销的呆帐                &