中国石化2007年第一季度报告

股票简称:中国石化 股票代码:600028

股票代码:600028	股票简称:中国石化

中国石油化工股份有限公司2007年第一季度报告

    1重要提示
    1.1    中国石油化工股份有限公司(“中国石化”)董事会、监事会及其董事、监事、高
    级管理人员保证本季度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、准确性和完整性负个别及连带责任。
    1.2    本季度报告已经中国石化第三届董事会第十次会议审议通过。
    1.3    本季度财务报告未经审计。
    1.4    中国石化董事长陈同海先生,董事、总裁王天普先生,董事、高级副总裁兼财务总监戴厚良先生,财务副总监兼会计机构负责人刘运先生声明并保证本季度报告中财务报告的真实、完整。
    2中国石化基本情况
    2.1主要会计数据及财务指标
    2.1.1按中国企业会计准则编制的主要会计数据及财务指标
                                                                                              本报告期末比上年
                                       于2007年3月31日            于2006年12月31日
                                                                                              度期末增减(%)
      总资产(人民币百万元)                            623,066                    596,519                  4.45
      股东权益(不含少数股东
                                                     277,311                     257,893                  7.53
      权益)(人民币百万元)
      每股净资产(人民币元)                              3.198                      2.974                  7.53
                                       截至2007年3月31日止        截至2006年3月31日止         本报告期比上年同
                                             3个月期间                  3个月期间               期增减(%)
      经营活动产生的现金流量
                                                      31,891                       3,053                 944.58
      净额(人民币百万元)
      每股经营活动产生的现金
                                                        0.368                      0.035                 944.58
      流量净额(人民币元)
      归属于母公司股东净利润
                                                      19,418                       9,135                112.57
       (人民币百万元)
      基本每股收益(人民币元)                            0.224                      0.105                112.57
      稀释每股收益(人民币元)                            0.224                      0.105                112.57
      净资产收益率(%)                                   7.002                      4.031      2.971个百分点
      扣除非经常性损益后的净                            7.030                      4.086      2.944个百分点
      资产收益率(%)
                                                             截至2007年3月31日止3个月期间
      非经常性损益项目
                                                                (收入)/支出(人民币百万元)
      以前年度已经计提各项减
                                                                           -
      值准备的转回
      营业外支出(扣除公司日                                               178
      常根据企业会计制度规定
      计提的资产减值准备)
      其中:处置固定资产损失                                                7
            捐赠支出                                                      10
      营业外收入                                                         (62)
      相应税项调整                                                       (38)
      合计                                                                78
    
        2.1.2按国际财务报告准则编制的主要会计数据及财务指标
    
                                                                                              本报告期末比上年
                                       于2007年3月31日            于2006年12月31日
                                                                                              度期末增减(%)
      总资产(人民币百万元)                           646,365                     611,790                  5.65
      母公司股东应占权益(不
      含少数股东权益)                                282,289                    262,845                  7.40
       (人民币百万元)
      每股净资产(人民币元)                              3.256                      3.032                  7.40
      调整后的每股净资产
                                                        3.183                      2.957                  7.64
        (人民币元)
                                       截至2007年3月31日止        截至2006年3月31日止         本报告期比上年同
                                             3个月期间                  3个月期间               期增减(%)
      经营活动所得现金净额
                                                      30,206                       1,369              2,106.43
       (人民币百万元)
      股东应占利润                                    19,444                       9,547                103.67
       (人民币百万元)
      每股收益(人民币元)                                0.224                      0.110                103.67
      净资产收益率(%)                                   6.888                      4.083      2.805个百分点
    
    2.1.3按中国企业会计准则和国际财务报告准则编制的二零零七年第一季度本公司的净利润和报告期末股东权益的差异
    2.1.3.1就中国企业会计准则和国际财务报告准则之重大差异对净利润的影响分析
    
                                                                                     截至三月三十一日止
                                                                                         三个月期间
                                                                            二零零七年               二零零六年
                                                                                 人民币                  人民币
                                                                                 百万元                  百万元
                 按中国企业会计准则编制
                      的会计报表之净利润
                    (含少数股东损益)                                             20,257                 9,195
                 调整:
                      油气资产                                                         88                   794
                      土地使用权重估冲减摊销                                            7                     7
                      以上调整对税务之影响                                           (68)                 (265)
                 按国际财务报告准则编制的会计报表
                      之本期间利润                                                 20,284                 9,731
    
    2.1.3.2就中国企业会计准则和国际财务报告准则之重大差异对股东权益的影响分析如下:
    
                                                                           于二零零七年          于二零零六年
                                                                           三月三十一日        十二月三十一日
                                                                                   人民币              人民币
                                                                                   百万元              百万元
                 按中国企业会计准则编制
                     的会计报表之股东权益
                     (含少数股东权益)                                               300,191         279,931
                 调整:
                     油气资产                                                          10,904          10,816
                     土地使用权重估                                                   (1,065)          (1,072)
                     以上调整对税务之影响                                             (4,954)          (4,886)
                 按国际财务报告准则编制的会计报表
                     之权益                                                           305,076         284,789
    
        2.2报告期末股东总数及前十名无限售条件股东持股表
    
    报告期末股东总数                     股东总数为322,901户,其中境内315,297户,境外
                                         7,604   户。
    前十名无限售条件股东持股情况
                                           期末持有无限售条件股份的
             股东名称(全称)                                           种类(A、B、H股或其它)
                                                 数量(万股)
                                                  1,668,635.3
    香港(中央结算)代理人有限公司                                                 H
    中国人寿保险(集团)公司-传统-普                8,079.6                        A
    通保险产品
    中国人寿保险股份有限公司-分红-                7,370.1                        A
    个人分红-005L-FH002沪
    宝盈策略增长股票型证券投资基金                  5,195.3                        A
    交银施罗德精选股票证券投资基金                  4,800.0                        A
    嘉实成长收益型证券投资基金                      4,800.0
    博时精选股票证券投资基金                        4,200.0                        A
    中国平安人寿保险股份有限公司-分                4,000.0                        A
    红-银保分红
    汇添富成长焦点股票型证券投资基金                3,912.5                        A
    嘉实策略增长混合型证券投资基金                  3,889.3                        A
    
    2.3   经营业务回顾
    二零零七年第一季度,中国经济继续保持较快增长,国际原油价格仍在高位震荡。国内石化产品需求延续合理的增长势头,石化产品价格维持在相对较高的水平。本公司按照董事会确立的“改革、调整、管理、创新、发展”的工作方针,积极应对市场变化,注重健康、安全与环境保护,着力抓好降本减费,加快结构调整,强化企业管理,推进科技创新,油气产量、原油加工量、成品油销量、乙烯产量等均保持增长,实现了良好的经营业绩。
    勘探及开采板块:本公司川东北海相油气勘探和东部老区、西部塔河等油气勘探获得新进展,为后继资源接替奠定了基础。一季度本公司原油和天然气产量同比分别增长2.0%和10.1%。
    炼油板块:本公司积极优化资源配置和产品结构,提高劣质原油加工比例,增产高附加值产品。一季度本公司原油加工量同比增长5.0%。
    营销和分销板块:本公司加强资源统筹,优化营销网络和物流运行,销售总量、零售量和自营加油站进一步增加。一季度本公司国内成品油经销量和零售量同比分别增长5.5%和3.5%。
    化工板块:本公司主要化工装置保持满负荷稳定运行,化工产品产量和销量稳步提高,集中销售的优势进一步发挥。一季度本公司乙烯和合成树脂产量同比分别增长7.8%和13.9%。
    第一季度主要生产经营情况
    
                                         截至3月31日止3个月期间      同比变动
    生产经营数据               单位
                                           2007年      2006年          (%)
    勘探及开采
    原油产量                   万吨           999.43       979.86          2.00
    天然气产量               亿立方米          19.96        18.13         10.07
    原油实现价格           人民币元/吨       2582.70      3112.81       (17.03)
    天然气实现价格       人民币元/千立方米    799.27       745.10          7.27
    炼油
    原油加工量                 万吨          3691.40      3516.88          4.96
    汽煤柴产量                 万吨          2164.94      2088.87          3.64
    其中:汽油                 万吨           587.24       553.40          6.11
          柴油                 万吨          1390.88      1381.87          0.65
          煤油                 万吨           186.82       153.60         21.63
    化工轻油产量               万吨           608.50       576.81          5.49
    轻油收率                    %              74.31        74.81 (0.50)个百分点
    综合商品率                  %              93.38        93.64 (0.26)个百分点
    营销及分销
    国内成品油总经销量         万吨          2746.60      2603.00           5.51
    其中:零售量               万吨          1724.30      1666.80           3.45
          直销量               万吨           469.80       491.50         (4.40)
          批发量               万吨           552.40       444.80          24.19
    加油站总数                  座             28885        29744        (2.89)
    其中:自营加油站            座             28075        27464          2.22
          特许经营加油站        座               810         2280       (64.47)
    单站加油量(注1)           吨/座             2457         2428          1.19
    化工(注2)
    乙烯产量                   万吨           163.23       151.36          7.84
    合成树脂产量               万吨           236.40       207.49         13.93
    合成橡胶产量               万吨            18.88        16.12         17.15
    合纤单体及聚合物           万吨           190.96       178.18          7.17
    合成纤维                   万吨            35.52        39.02        (8.98)
    尿素                       万吨            36.56        44.13       (17.16)
    
    注1:单站加油量为折合年平均数;
    注2:包括扬巴和赛科100%的产量。
    资本支出:本公司第一季度资本支出约人民币151.50亿元。勘探开发板块资本支出人民币69.27亿元,川东北油气勘探及“川气东送”工程前期工作进展顺利,新建原油产能88万吨,新建天然气产能26,900万立方米。炼油板块资本支出约人民币43.77亿元,主要用于曹妃甸进口原油码头及配套工程和津燕原油管道;以及燕山、广州高桥等炼油改造;青岛新建1000万吨/年炼油工程全面实施。化工板块资本支出约人民币17.29亿元,茂名高压聚乙烯、上海乙二醇建成投产;天津、镇海乙烯工程及金陵PX等项目全面启动。销售板块资本支出人民币19.70亿元,重点区域加油站建设成效显著,新增加油站74座;成品油管道建设取得新进展。总部及其它资本支出人民币1.47亿元。
    3重要事项
    3.1公司主要会计报表项目、财务指标大幅度变动的情况及原因
    √适用         □不适用
    
                                 截至3月31日止3个月期间
                                                                                      同比变动
                                    2007年             2006年
              项    目
                                          人民币百万元                   人民币百万元                  %
       营业收入                         278,250             226,131                  52,119               23.05
       营业税金及附加                     6,313               4,418                   1,895               42.89
       管理费用                           8,295              5,694                    2,601               45.68
       勘探费用                           2,412              1,493                      919               61.55
       投资收益                           1,175                 563                     612              108.70
       利润总额                          28,050              13,352                  14,698              110.08
       经营活动产生的现
                                         31,891               3,053                  28,838              944.58
       金流量净额
    
    ●营业收入
    二零零七年第一季度营业收入同比增长23.05%,主要原因是本公司抓住国内石油化工产品价格仍处于高位的有利时机,不断扩大经营规模,优化营销结构,提高市场占有率。
    ●营业税金及附加
    二零零七年第一季度营业税金及附加同比增长42.89%,主要原因是石油特别收益金、消费税金及附加的增长。
    ●管理费用
    二零零七年第一季度管理费用同比增长45.68%,主要原因是按新企业会计准则,一季度修理费在管理费用中归集,同比增加费用约人民币23亿元。
    ●勘探费用
    二零零七年第一季度勘探费用同比增长61.55%,主要原因是本公司增加了对川东北等南方海相、西部新区的勘探力度。
    ●投资收益
    二零零七年第一季度投资收益同比增长108.7%,主要原因是一季度本公司所属子公司扬巴、赛科经营业绩同比显著增长。
    ●利润总额
    二零零七年第一季度利润总额同比增长110.08%,主要原因是第一季度国际市场原油价格有所回落,国内石油化工产品价格仍处于高位,本公司炼油业务扭亏为盈。同时本公司不断扩大产品销售,强化公司管理,实现了较好的经营业绩。
    ●经营活动产生的现金流量净额
    二零零七年第一季度经营活动产生的现金流量净额同比增长944.58%,主要原因是第一季度本公司净利润和折旧同比增加及存货占用变化同比有所降低。
    3.2重大事项进展情况及其影响和解决方案的分析说明
    √适用       □不适用
    3.2.1关联交易执行情况
    本报告期本公司实际发生的关联交易额共人民币529.00亿元,其中买入人民币247.57亿元,卖出人民币281.43亿元(包括卖出产品及服务人民币281.14亿元,利息收入人民币0.08亿元,代理费收入人民币0.21亿元)。本报告期中国石化集团向本公司提供的产品和服务(采购、储运、勘探及生产服务、与生产有关的服务)为人民币208.87亿元,占本公司本报告期经营费用的8.3%;中国石化集团向本公司提供的辅助及社区服务为人民币4.00亿元,占本报告期经营费用的0.16%。本报告期本公司对中国石化集团及其它关联方的产品销售人民币281.14亿元,占本公司经营收入的11.2%。
    3.2.2境内发行公司债券和境外发行可转换公司债券
    中国石化二零零七年第一次临时股东大会批准了在境内发行总值不超过人民币100亿元公司债券;在境外发行总额不超过15亿美元(或约港币117亿元)可转换为中国石化境外上市外资股的公司债券,并就配发、发行及处理境内上市内资股新股和境外上市外资股新股(各自不超过中国石化现已发行的内资股和境外上市外资股的百分之二十)给予中国石化董事会无条件的一般性授权。
    有关情况详见二零零六年十二月七日和二零零七年一月二十三日刊登在中国境内《中国证券报》、《上海证券报》、《证券时报》以及香港的《南华早报》、《经济日报》的有关公告。
    3.2.3重大项目
    (1)川气东送工程
    川气东送工程已于二零零七年四月九日获得国务院正式核准,并列入国家“十一五”重大工程。川气东送工程由两个部分组成,一是普光气田勘探、开发以及气体处理工程,另一部分是从普光气田到上海的长输管线工程。川气东送工程预计总投资人民币632亿元,按现行价格估算,该工程的内部收益率在14%以上。根据目前的勘探开发部署,预计二零零八年底即可形成天然气生产能力100亿立方米以上,二零零八年底即可开始供气,二零零九年底可形成天然气生产能力150亿立方米。
    (2)福建炼化一体化项目及成品油营销项目
    二零零七年二月二十五日,中国石化、福建省、埃克森美孚及沙特阿美签署了福建炼油乙烯合资项目合资合同。同时,中国石化、埃克森美孚及沙特阿美签署福建成品油营销合资项目合资合同。福建炼油乙烯合资项目计划将位于福建泉州的现有炼油厂的炼油能力从400万吨/年扩大至1200万吨/年,同时,建设新的化工装置,包括80万吨/年乙烯裂解装置、80万吨/年聚乙烯装置、40万吨/年聚丙烯装置和70万吨/年对二甲苯芳烃联合装置。此外,该项目还将建设包括30万吨级原油码头和公用工程配套设施。该项目将由福建炼化(一间由中国石化和福建省按50%-50%比例投资的公司)、埃克森美孚和沙特阿美按50%、25%、25%的股比投资兴建。预计该项目将于二零零九年初建成投产。福建成品油营销合资项目由中国石化、埃克森美孚和沙特阿美按55%、22.5%、22.5%的股比投资,计划在福建省管理和经营约750个加油站和若干个油库。二零零七年三月十五日和三月十九日国家商务部分别批准了上述合资合同,并批准设立福建联合石油化工有限公司和中石化森美(福建)石油有限公司两个合资企业。
    3.3公司、股东及实际控制人承诺事项履行情况
    □适用       √不适用
    3.4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
    中国石化本季度通过调整结构并扩大经营总量,取得良好的经营业绩。按照目前的生产经营情况,在市场环境不发生重大变化的情况下,按照中国企业会计准则对二零零七年上半年累计净利润进行了初步预测,预计二零零七年上半年合并净利润与上年同期相比增幅在50%以上。以上预计为中国石化初步测算,具体数据将在二零零七年上半年报告中详细披露。
    3.5本次季度报告资产负债表中的二零零七年期初股东权益与“新旧会计准则股东权益差异调节表”中的二零零七年期初股东权益存在差异的原因说明
    □适用       √不适用
    3.6本季度报告以中英文两种语言印制,在对两种文体说明上存在歧义时,以中文为准。
    承董事会命
    陈同海
    董事长
    中国北京,二零零七年四月十五日
    A.     按照中国企业会计准则编制之季度财务报表
    1.     合并资产负债表(未       经审 计)
    
                                                                                     2007年              2006年
                                                                                   3月31日           12月31日
                                                                                      人民币                  人民币
                                                                                      百万元                  百万元
       资产
       流动资产
            货币资金                                                                   15,943                  7,314
            应收票据                                                                    7,729                  8,375
            应收账款                                                                   23,745                 15,884
            预付款项                                                                    7,721                  5,232
            其他应收款                                                                  8,426                  9,532
            存货                                                                       93,460                 92,149
            其他流动资产                                                                  806                    596
       流动资产合计                                                                   157,830                139,082
       非流动资产
            长期股权投资                                                                  24,520              23,205
            固定资产                                                                     338,368             343,337
            在建工程                                                                      62,689              52,707
            无形资产                                                                       9,293               9,132
            商誉                                                                          14,510              14,510
            长期待摊费用                                                                   4,662               4,752
            递延所得税资产                                                                 9,663               8,267
            其他非流动资产                                                                 1,531               1,527
       非流动资产合计                                                                    465,236             457,437
       资产总计                                                                       623,066                596,519
    
    1.     合并资产负债表(未       经审 计) (续)
    
                                                                                     2007年              2006年
                                                                                   3月31日           12月31日
                                                                                      人民币                  人民币
                                                                                      百万元               百万元
       负债和股东权益
       流动负债
            短期借款                                                                   32,156              31,197
            应付票据                                                                   18,000              21,685
            应付账款                                                                   65,438              52,350
            预收款项                                                                   17,438              19,435
            应付职工薪酬                                                                4,886               4,895
            应交税费                                                                   19,820              14,346
            其他应付款                                                                 30,069              35,350
            短期应付债券                                                               11,969              11,885
            一年内到期的非流动负债                                                     19,699              15,871
       流动负债合计                                                                   219,475             207,014
       非流动负债
            长期借款                                                                   90,851                 97,222
            应付债券                                                                    3,500                  3,500
            预计负债                                                                    5,309               5,309
            递延所得税负债                                                              2,568                  2,573
            其他非流动负债                                                              1,172                    970
       非流动负债合计                                                                 103,400                109,574
       负债合计                                                                       322,875                316,588
    
    1.       合并资产负债表(未               经  审 计) (续)
    
                                                                                                                  2007年                    2006年
                                                                                                               3月31日                 12月31日
                                                                                                                   人民币                       人民币
                                                                                                                   百万元                       百万元
         股东权益
                股本                                                                                                  86,702                    86,702
                资本公积                                                                                              37,046                    37,046
                盈余公积                                                                                              59,330                  59,330
                未分配利润
                      (其中:尚待股东批准的现金股利人民币9,537百万元
                      (2006年:人民币9,537百万元))                                                                    94,233                    74,815
                归属于母公司股东权益                                                                                 277,311                   257,893
                少数股东权益                                                                                          22,880                    22,038
         股东权益合计                                                                                                300,191                   279,931
         负债和股东权益总计                                                                                          623,066                   596,519
    
    此财务报表已于二零零七年四月十五日获董事会批准。
    陈同海                 王天普               戴厚良                                  刘运
    董事长                 董 事 及  总 裁      董事、高级副总裁                        会 计  机 构
    (法 定  代 表 人)                           兼财务总监                              负 责  人
    (公司盖章)
    2.     资产负债表(未     经 审 计)
    
                                                                                     2007年              2006年
                                                                                   3月31日           12月31日
                                                                                      人民币                  人民币
                                                                                      百万元                  百万元
       资产
       流动资产
            货币资金                                                                   11,366                  2,983
            应收票据                                                                    3,049                  2,760
            应收账款                                                                   11,914                  8,832
            预付款项                                                                    6,993                  4,393
            其他应收款                                                                  9,205                  8,308
            存货                                                                       50,025                 54,004
            其他流动资产                                                                  149                    154
       流动资产合计                                                                    92,701                 81,434
       非流动资产
            长期股权投资                                                              114,675                128,754
            固定资产                                                                  265,970            259,782
            在建工程                                                                   48,424             41,127
            无形资产                                                                    7,133              6,709
            长期待摊费用                                                                3,079              3,279
            递延所得税资产                                                              8,756              7,360
            其他非流动资产                                                                582                575
       非流动资产合计                                                                 448,619            447,586
       资产总计                                                                       541,320                529,020
    
    2.     资产负债表(未     经 审 计) (续)
    
                                                                                     2007年              2006年
                                                                                   3月31日           12月31日
                                                                                      人民币                  人民币
                                                                                      百万元                  百万元
       负债和股东权益
       流动负债
            短期借款                                                                   15,042                 15,851
            应付票据                                                                   14,230                 16,265
            应付账款                                                                   43,619                 38,041
            预收账项                                                                   13,880                 16,398
            应付职工薪酬                                                                3,844                  3,225
            应交税费                                                                   17,373                 12,130
            其他应付款                                                                 41,132                 45,352
            短期应付债券                               &n