冠城大通2007年第一季度报告

股票简称:冠城大通 股票代码:600067

                                           冠城大通股份有限公司

                                            2007年第一季度报告
    
    
    
    
    目录
    §1重要提示 3
    §2 公司基本情况简介 3
    §3 重要事项 4
    §4 附录 6
    
     §1 重要提示
    1.1 本公司董事会、监事会及其董事、监事、高级管理人员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。 
    1.2 公司全体董事出席董事会会议。  1.3 公司第一季度财务报告未经审计。 
    1.4 公司负责人韩国龙,主管会计工作负责人郑衡及会计机构负责人(会计主管人员)李春声明:保证本季度报告中财务报告的真实、完整。
    
    §2 公司基本情况简介
    2.1 主要会计数据及财务指标
    币种:人民币


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                                                   本报告期末              上年度期末              本报告期末比上年度  
                                                                                                   期末增减(%)         
  总资产(元)                                       4,404,748,255.52        4,412,261,476.91        -0.17               
  股东权益(不含少数股东权益)(元)                   656,081,438.14          632,615,549.32          3.71                
  每股净资产(元)                                   1.77                    1.71                    3.51                
                                                   年初至报告期期末                                比上年同期增减(%)   
  经营活动产生的现金流量净额(元)                   -213,518,980.10                                 不适用              
  每股经营活动产生的现金流量净额(元)               -0.58                                           不适用              
                                                   报告期                  年初至报告期期末        本报告期比上年同期  
                                                                                                   增减(%)             
  净利润(元)                                       22,009,047.30           22,009,047.30           -23.91              
  基本每股收益(元)                                 0.06                    0.06                    -25.00              
  稀释每股收益(元)                                 0.06                    0.06                    -25.00              
  净资产收益率(%)                                  3.35                    3.35                    减少1.88个百分点    
  扣除非经常性损益后的净资产收益率(%)              3.31                    3.31                    减少1.95个百分点    
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  非经常性损益项目                                                                 年初至报告期期末金额(元)          
  计入当期损益的政府补助                                                           926,321.46                          
  其他非经常性损益项目                                                             -417,938.85                         
  减:所得税影响数                                                                  90,287.48                           
  少数股东权益                                                                     134,742.61                          
  合计                                                                             283,352.52                          
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     2.2 报告期末股东总数及前十名无限售条件流通股股东持股表(已完成股权分置改革)
    单位:股


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  报告期末股东总数(户)                    21,245                                                                     
  前十名无限售条件流通股股东持股情况                                                                                   
  股东名称(全称)                            期末持有无限售条件流通股   种类                                            
                                            的数量                                                                     
  福建丰榕投资有限公司                      35,181,220                 人民币普通股                                    
  中国建设银行-长城消费增值股票型证券投资  7,622,088                  人民币普通股                                    
  基金                                                                                                                 
  中国工商银行-易方达价值精选股票型证券投  6,860,000                  人民币普通股                                    
  资基金                                                                                                               
  中国银行-易方达积极成长证券投资基金      6,007,459                  人民币普通股                                    
  交通银行-科瑞证券投资基金                4,789,854                  人民币普通股                                    
  福州市投资管理公司                        4,065,451                  人民币普通股                                    
  中国银行-嘉实主题精选混合型证券投资基金  2,999,948                  人民币普通股                                    
  深圳市蓝波湾投资有限公司                  2,687,817                  人民币普通股                                    
  东方证券-中国银行-东方红2号集合资产管   2,541,228                  人民币普通股                                    
  理计划                                                                                                               
  福州市福保贸易公司                        2,395,712                  人民币普通股                                    
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━

    §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


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  1、资产负债表项目(1)报告期末,货币资金比期初减少35,489.10万元,同比减少53.79%,主要系公司房地产项目开发投入所致; 
  (2)报告期末,应收票据比期初减少4,067.79万元,同比减少74.17%,主要系本报告期内收回期初票据所致;(3)报告期末,应  
  收账款比期初增加11,193.66万元,同比增加34.23%,主要系报告期内漆包线销售收入增加所致;(4)报告期末,预付款项比期初  
  增加21,916.42万元,同比增加166.47%,主要系资金投入房地产项目开发但尚未取得结算所致;(5)报告期末,可供出售金融资产 
  比期初增加132.39万元,同比增加52.61%,主要系公司所持有的股票在本报告期内公允价值增加所致;(6)报告期末,在建工程比 
  期初增加873.94万元,同比增加178.35%,主要系子公司福州大通机电有限公司增加一万吨漆包线技改项目投入所致;(7)报告期  
  末,预收款项比期初增加5,296.72万元,同比增加72.39%,主要系房地产项目在本报告期内收到的房款尚未结转收入所致;(8)报 
  告期末,应交税费比期初减少1,356.06万元,同比减少44.86%,主要系报告期内交纳上年应交税费所致;2、利润表项目(1)报告  
  期内,营业收入较上年同期增加26,409.65万元,同比增加42.25%,主要系原材料价格上涨及销量增加影响,本报告期内漆包线销售 
  收入增加;(2)报告期内,营业成本比上年同期增加26,294.68万元,同比增加48.47%,主要系营业收入增加带动营业成本配比增  
  加;(3)报告期内,财务费用比上年同期增加462.03万元,同比增加64.70%,主要系报告期内银行贷款利率较上年同期上调及贷款 
  较上年同期增加所致;                                                                                                 
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    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


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  本公司关于向StarlexLimited发行新股购买资产的申请于2007年4月获得中国证券监督管理委员会证监公司字【2007】62号文件批复  
  ,核准本公司向StarlexLimited发行7272万股人民币普通股购买StarlexLimited的相关资产。公司目前正按照有关规定办理本次发行 
  新股的相关手续。本公司于2006年8月4日公告了《冠城大通股份有限公司向特定对象发行新股购买资产暨关联交易报告书》(草案) 
  ,并于2007年4月14日公告了《冠城大通股份有限公司关于非公开发行股票申请获得中国证券监督管理委员会核准的公告》,修改后  
  的《冠城大通股份有限公司向特定对象发行新股购买资产暨关联交易报告书》于2007年4月18日公告,具体内容详见上海证券交易所  
  网站(www.sse.com.cn)。同时本公司第一大股东福建丰榕投资有限公司(以下简称"丰榕投资")及其一致行动人韩国龙、薛黎曦、 
  信景国际有限公司、中国海淀集团有限公司、StarlexLimited因本公司向StarlexLimited发行股份而增持7272万股本公司股份(占发 
  行后总股本16.39%),合计持有本公司42.68%的股份而应履行的要约收购义务,已经获得中国证券监督管理委员会证监公司字【20 
  07】63号文件批复,同意予以豁免。                                                                                     
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    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


━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
  冠城大通股份有限公司(以下简称“本公司”)控股股东——福建丰榕投资有限公司(以下简称“丰榕投资”)在股权分置改革过程 
  中做出如下承诺:1、本公司在股权分置改革实施后,若本公司的经营业绩无法达到以下设定目标,丰榕投资将向流通股股东追送股  
  份一次:(1)根据本公司经审计的年度财务报告,如果本公司2005至2007年度净利润的年复合增长率低于30%,即按照2004年度净利 
  润6414.65万元为基准计算,2005年度的净利润未达到8339.05万元,或2006年度的净利润未达到10840.76万元,或2007年度的净利润 
  未达到14092.99万元;(2)本公司2005至2007年度中任一年度财务报告被出具非标准审计意见。2、在股权分置改革方案获得相关股 
  东会议批准之日起的9个月内,丰榕投资将通过上海证券交易所集中竞价的交易方式增持不少于本公司截止股权分置改革相关股东会  
  议股权登记日总股本10%的社会公众股;3、丰榕投资承诺其持有的非流通股股份自获得上市流通权之日起,三十六个月内不上市交易 
  或者转让;4、丰榕投资承诺在实施股权分置改革方案后,将向2005年-2007年每年的年度股东大会提出利润分配比例不低于本公司  
  当年实现的可分配利润40%的分配议案,并保证在股东大会表决时对该议案投赞成票;5、由于福州建银贸易公司和中国建设银行福建 
  省分行直属支行将冠城大通股权分置改革方案方案上报审批,尚未签署同意,丰榕投资承诺对该两家股东的执行对价安排先行代为垫 
  付。以上事项详见2005年12月2日刊登于《中国证券报》、《上海证券报》的公司股权分置改革方案。上述承诺的履行情况如下:1、 
  2006年度本公司的经营业绩达到了股改承诺的设定目标:(1)根据本公司经审计的年度财务报告,本公司2006年度净利润为11,384. 
  30万元,年复合增长率不低于30%。(2)本公司2006年度财务报告被出具标准无保留审计意见。2、在股权分置改革方案获得相关股  
  东会议批准之日起的9个月内,丰榕投资已通过上海证券交易所集中竞价的交易方式增持了35,181,220股社会公众股,不少于本公司截 
  止股权分置改革相关股东会议股权登记日总股本10%;3、报告期该部分股份仍在锁定中;4、本公司2006年度的利润分配比例不低于  
  本公司当年实现的可分配利润40%,股东大会尚未召开;5、福州建银贸易公司和中国建设银行福建省分行直属支行的对价安排已由丰 
  榕投资先行代为垫付。                                                                                                 
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    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 
    3.5 本次季报资产负债表中的2007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2007年期初股东权益存在差异的原因说明:
    □适用√不适用 
    
     冠城大通股份有限公司 法定代表人:韩国龙 2007年4月25日
     §4 附录
    资产负债表
    2007年3月31日
    编制单位: 冠城大通股份有限公司                    单位: 元 币种:人民币 审计类型:未经审计 


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  项目                              合并                                      母公司                                   
                                    期末余额             年初余额             期末余额             年初余额            
  流动资产:                                                                                                           
  货币资金                          304,861,066.90       659,752,059.64       113,068,672.40       320,193,092.80      
  交易性金融资产                    623,990.00           -                    434,080.00           -                   
  应收票据                          14,167,192.41        54,845,097.18        13,783,192.41        49,115,887.28       
  应收账款                          438,950,745.16       327,014,123.49       273,279,029.81       218,824,660.03      
  预付款项                          350,821,917.31       131,657,694.89       21,156,619.92        23,272,126.84       
  应收利息                          -                    -                    -                    -                   
  应收股利                          -                    -                    123,667,148.43       123,667,148.43      
  其他应收款                        21,758,594.99        22,246,166.28        283,943,508.47       48,143,520.29       
  存货                              2,576,600,477.19     2,525,193,452.47     180,530,634.55       185,700,018.68      
  一年内到期的非流动资产            -                    -                    -                    -                   
  其他流动资产                      -                    -                    -                    -                   
  流动资产合计                      3,707,783,983.96     3,720,708,593.95     1,009,862,885.99     968,916,454.35      
  非流动资产:                                                                                                         
  可供出售金融资产                  3,840,220.80         2,516,342.40         3,840,220.80         2,516,342.40        
  持有至到期投资                    -                    -                    -                    -                   
  长期应收款                        -                    -                    -                    -                   
  长期股权投资                      29,141,276.27        29,303,216.85        599,005,809.20       599,167,749.78      
  投资性房地产                      20,469,059.83        19,680,598.49        1,007,274.84         1,014,399.84        
  固定资产                          391,053,711.78       396,531,144.70       207,140,612.24       211,065,172.43      
  在建工程                          13,639,586.76        4,900,189.37         1,450,614.78         1,302,564.78        
  工程物资                          26,500.00            37,500.00            -                    -                   
  固定资产清理                      -                    -                    -                    -                   
  生产性生物资产                    -                    -                    -                    -                   
  油气资产                          -                    -                    -                    -                   
  无形资产                          40,936,025.85        41,109,222.96        37,546,151.43        37,701,600.51       
  开发支出                          -                    -                    -                    -                   
  商誉                              189,196,060.90       189,196,060.90       -                    -                   
  长期待摊费用                      2,417,138.88         2,473,777.09         -                    -                   
  递延所得税资产                    6,244,690.49         5,804,830.20         5,827,864.28         5,271,979.02        
  其他非流动资产                    -                    -                    -                    -                   
  非流动资产合计                    696,964,271.56       691,552,882.96       855,818,547.57       858,039,808.76      
  资产总计                          4,404,748,255.52     4,412,261,476.91     1,865,681,433.56     1,826,956,263.11    
  流动负债:                                                                                                           
  短期借款                          1,559,520,000.00     1,643,154,389.22     608,970,000.00       598,830,000.00      
  交易性金融负债                    -                    -                    -                    -                   
  应付票据                          222,000,000.00       208,700,000.00       198,000,000.00       162,700,000.00      
  应付账款                          397,887,579.08       373,793,420.42       174,135,515.11       218,648,999.83      
  预收款项                          126,136,223.12       73,169,012.00        6,542,940.30         6,873,417.88        
  应付职工薪酬                      5,387,010.20         8,558,409.43         811,751.63           3,762,904.92        
  应交税费                          16,668,254.74        30,228,871.96        -7,932,844.94        -7,484,001.05       
  应付利息                          -                    -                    -                    -                   
  应付股利                          2,277,548.27         2,284,400.83         2,277,548.27         2,284,400.83        
  其他应付款                        80,951,992.24        91,031,826.49        179,672,846.11       140,836,866.99      
  一年内到期的非流动负债            420,831,941.54       430,831,941.54       20,831,941.54        20,831,941.54       
  其他流动负债                      -                    -                    -                    -                   
  流动负债合计                      2,831,660,549.19     2,861,752,271.89     1,183,309,698.02     1,147,284,530.94    
  非流动负债:                                                                                                         
  长期借款                          729,961,820.14       729,911,796.02       76,961,820.14        76,911,796.02       
  应付债券                          -                    -                    -                    -                   
  长期应付款                        4,241,933.79         4,241,933.79         -                    -                   
  专项应付款                        -                    -                    -                    -                   
  预计负债                          -                    -                    -                    -                   
  递延所得税负债                    495,751.87           513,592.99           495,751.87           513,592.99          
  其他非流动负债                    950,000.00           950,000.00           950,000.00           950,000.00          
  非流动负债合计                    735,649,505.80       735,617,322.80       78,407,572.01        78,375,389.01       
  负债合计                          3,567,310,054.99     3,597,369,594.69     1,261,717,270.03     1,225,659,919.95    
  所有者权益(或股东权益):                                                                                           
  实收资本(或股本)                370,985,186.00       370,985,186.00       370,985,186.00       370,985,186.00      
  资本公积                          3,804,554.47         2,347,712.95         7,404,554.47         6,003,962.95        
  减:库存股                        -                    -                    -                    -                   
  盈余公积                          126,465,950.84       126,465,950.84       83,266,041.28        83,266,041.28       
  未分配利润                        154,825,746.83       132,816,699.53       142,308,381.78       141,041,152.93      
  外币报表折算差额                                                                                                     
  归属于母公司所有者权益合计        656,081,438.14       632,615,549.32                                                
  少数股东权益                      181,356,762.39       182,276,332.90                                                
  所有者权益(或股东权益)合计      837,438,200.53       814,891,882.22       603,964,163.53       601,296,343.16      
  负债和所有者权益(或股东权益)合  4,404,748,255.52     4,412,261,476.91     1,865,681,433.56     1,826,956,263.11    
  计                                                                                                                   
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
公司法定代表人:韩国龙             主管会计工作负责人: 郑衡          会计机构负责人: 李春
    
    
     利润表
    2007年3月31日
    编制单位: 冠城大通股份有限公司                单位: 元 币种:人民币 审计类型:未经审计 


━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
  项目                                      合并                                  母公司                               
                                            本期金额           上期金额           本期金额           上期金额          
  一、营业收入                              889,127,678.73     625,031,207.68     432,422,027.52     262,933,732.59    
  减:营业成本                              805,411,891.08     542,465,129.00     417,953,861.56     247,501,367.13    
  营业税金及附加                            10,007,405.26      9,703,326.88       30,632.13          68,966.95         
  销售费用                                  13,639,093.16      10,651,787.57      1,726,081.18       2,998,363.32      
  管理费用                                  11,833,323.64      9,864,987.14       4,042,009.63       5,211,137.92      
  财务费用                                  11,761,334.79      7,140,996.23       7,547,478.03       4,400,402.12      
  资产减值损失                              3,912,321.09       -249,138.17        757,431.90         -50,781.11        
  加:公允价值变动收益(损失以“-”号填列  256,450.00         -                  178,400.00         -                 
  )                                                                                                                   
  投资收益(损失以“-”号填列)            -55,380.58         -45,833.01         -55,380.58         25,035,618.17     
  其中:对联营企业和合营企业的投资收益      -                  -                  -                  -                 
  二、营业利润(亏损以“-”号填列)        32,763,379.13      45,408,286.02      487,552.51         27,839,894.43     
  加:营业外收入                            1,049,872.46       9,767.50           700,000.00         -                 
  减:营业外支出                            541,489.85         179,950.23         10,700.00          168,081.77        
  其中:非流动资产处置净损失                -                  -                  -                  -                 
  三、利润总额(亏损总额以“-”号填列)    33,271,761.74      45,238,103.29      1,176,852.51       27,671,812.66     
  减:所得税费用                            12,182,284.95      13,387,671.11      -90,376.34         645,054.82        
  四、净利润(净亏损以“-”号填列)        21,089,476.79      31,850,432.18      1,267,228.85       27,026,757.84     
  归属于母公司所有者的净利润                22,009,047.30      28,924,431.42                                           
  少数股东损益                              -919,570.51        2,926,000.76                                            
  六、每股收益:                                                                                                       
  (一)基本每股收益                        0.06               0.08                                                    
  (二)稀释每股收益                        0.06               0.08                                                    
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
公司法定代表人:韩国龙          主管会计工作负责人: 郑衡           会计机构负责人: 李春
    
    
    
     现金流量表
    2007年1-3月
    编制单位: 冠城大通股份有限公司                   单位:元 币种:人民币 审计类型:未经审计


━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
  项目                       合并                                          母公司                                      
                             本期金额               上期金额               本期金额              上期金额              
  一、经营活动产生的现金流                                                                                             
  量:                                                                                                                 
  销售商品、提供劳务收到的   913,144,438.75         546,473,156.20         475,099,619.44        267,331,546.65        
  现金                                                                                                                 
  收到的税费返还             -                      7,747.01               -                     7,747.01              
  收到的其他与经营活动有关   1,244,151.54           13,303,221.58          42,720,582.00         -                     
  的现金                                                                                                               
  经营活动现金流入小计       914,388,590.29         559,784,124.79         517,820,201.44        267,339,293.66        
  购买商品、接受劳务支付的   1,072,710,174.61       557,510,685.09         495,507,594.04        228,724,289.41        
  现金                                                                                                                 
  支付给职工以及为职工支付   11,835,768.89          10,525,722.64          4,842,353.40          4,549,548.23          
  的现金                                                                                                               
  支付的各项税费             35,102,355.47          36,623,062.54          1,325,091.75          898,782.81            
  支付的其他与经营活动有关   8,259,271.42           59,067,717.18          221,541,651.38        35,670,114.32         
  的现金                                                                                                               
  经营活动现金流出小计       1,127,907,570.39       663,727,187.45         723,216,690.57        269,842,734.77        
  经营活动产生的现金流量净   -213,518,980.10        -103,943,062.66        -205,396,489.13       -2,503,441.11         
  额                                                                                                                   
  二、投资活动产生的现金流                                                                                             
  量:                                                                                                                 
  收回投资所收到的现金       -                      500,000.00             -                     5,500,000.00          
  取得投资收益所收到的现金   106,560.00             135,037.97             106,560.00            135,037.97            
  处置固定资产、无形资产和                          57,000.00              -                     45,000.00             
  其他长期资产收回的现金净                                                                                             
  额                                                                                                                   
  处置子公司及其他营业单位                          2,580,000.00                                 2,580,000.00          
  收到的现金净额                                                                                                       
  收到的其他与投资活动有关                                                 -                     -                     
  的现金                                                                                                               
  投资活动现金流入小计       106,560.00             3,272,037.97           106,560.00            8,260,037.97          
  购建固定资产、无形资产和   10,814,183.77          8,524,708.63           790,506.00            5,759,729.00          
  其他长期资产支付的现金                                                                                               
  投资所支付的现金           367,540.00                                    255,680.00            5,000,000.00          
  取得子公司及其他营业单位                          20,445,694.42                                20,445,694.42         
  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       11,181,723.77          28,970,403.05          1,046,186.00          31,205,423.42         
  投资活动产生的现金流量净   -11,075,163.77         -25,698,365.08         -939,626.00           -22,945,385.45        
  额                                                                                                                   
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━



━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
  三、筹资活动产生的现金流                                                                                             
  量:                                                                                                                 
  吸收投资所收到的现金                              5,000,000.00           -                     -                     
  其中:子公司吸收少数股东                                                                                             
  投资收到的现金                                                                                                       
  取得借款收到的现金         316,120,000.00         435,052,236.37         168,170,000.00        320,000,000.00        
  收到其他与筹资活动有关的                                                 -                     -                     
  现金                                                                                                                 
  筹资活动现金流入小计       316,120,000.00         440,052,236.37         168,170,000.00        320,000,000.00        
  偿还债务支付的现金         412,870,000.00         177,865,107.08         160,030,000.00        114,000,000.00        
  分配股利、利润或偿付利息   33,311,089.63          21,989,466.10          8,694,087.13          6,739,553.56          
  支付的现金                                                                                                           
  其中:子公司支付给少数股   -                                                                                         
  东的股利、利润                                                                                                       
  支付其他与筹资活动有关的   -                                             -                     -                     
  现金                                                                                                                 
  筹资活动现金流出小计       446,181,089.63         199,854,573.18         168,724,087.13        120,739,553.56        
  筹资活动产生的现金流量净   -130,061,089.63        240,197,663.19         -554,087.13           199,260,446.44        
  额                                                                                                                   
  四、汇率变动对现金及现金   -235,759.24                                   -234,218.14                                 
  等价物的影响                                                                                                         
  五、现金及现金等价物净增   -354,890,992.74        110,556,235.45         -207,124,420.40       173,811,619.88        
  加额                                                                                                                 
  加:期初现金及现金等价物   659,752,059.64         527,336,527.01         320,193,092.80        137,145,693.25        
  余额                                                                                                                 
  六、期末现金及现金等价物   304,861,066.90         637,892,762.46         113,068,672.40        310,957,313.13        
  余额