长春燃气2006年中期报告

股票简称:XD长春燃 股票代码:600333

    长春燃气股份有限公司

    600333
    
    2006年中期报告

    
    目录
     一、重要提示 1
    二、公司基本情况 1
    三、股本变动及股东情况 2
    四、董事、监事和高级管理人员 3
    五、管理层讨论与分析 3
    六、重要事项 4
    七、财务会计报告(未经审计) 7
    八、备查文件目录 50
    
     一、重要提示
    1、本公司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、准确性和完整性负个别及连带责任。
    2、 董事胡强,因公出差  3、公司中期财务报告未经审计。 4、公司负责人王振,主管会计工作负责人梁永祥及会计机构负责人(会计主管人员)齐国军声明:保证中期报告中财务报告的真实、完整。
    二、公司基本情况
    (一)基本情况简介
    1、 公司法定中文名称:长春燃气股份有限公司 公司法定中文名称缩写:长春燃气 公司法定英文名称:Changchun Gas Co.,Ltd 2、 公司A股上市交易所:上海证券交易所 公司A股简称:长春燃气 公司A股代码:600333 3、 公司注册地址:长春市朝阳区延安大街421号 公司办公地址:长春市朝阳区延安大街421号 邮政编码:130021 公司国际互联网网址:http://www.ccrq.com.cn 公司电子信箱:changchunranqi@mail.china.com 4、 公司法定代表人:王振 5、 董事会秘书:孙树怀 电话:0431-5954615 传真:0431-5954665 E-mail:shuhuai0333@vip.sina.com 联系地址:长春市朝阳区延安大街421号 公司证券事务代表:赵勇 电话:0431-5954383 传真:0431-5954267 E-mail:ccrq_zy609@sina.com 联系地址:长春市朝阳区延安大街421号 6、 公司信息披露报纸名称:《中国证券报》、《上海证券报》 登载公司中期报告的中国证监会指定国际互联网网址:http://www.sse.com.cn 公司中期报告备置地点:长春市朝阳区延安大街421号
    (二)主要财务数据和指标
    1、主要会计数据和财务指标
    单位:元 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(%)          
  流动资产             613,420,95  694,436,50  -11.67                
                       4.35        2.61                              
  流动负债             438,234,04  498,529,82  -12.09                
                       7.16        8.30                              
  总资产               1,569,060,  1,662,140,  -5.60                 
                       048.22      010.87                            
  股东权益(不含少数   1,066,118,  1,087,832,  -2.00                 
  股东权益)           052.50      261.59                            
  每股净资产(元)       2.62        2.68        -2.24                 
  调整后的每股净资产(  2.61        2.66        -1.88                 
  元)                                                                
                       报告期(1   上年同期    本报告期比上年同期增  
                       -6月)                 减(%)              
  净利润               18,938,910  68,882,942  -72.51                
                       .91         .34                               
  扣除非经常性损益的   19,053,927  68,592,853  -72.22                
  净利润               .78         .60                               
  每股收益(元)         0.05        0.17        -70.58                
  净资产收益率(%)      1.78        6.31        减少4.53个百分点      
  经营活动产生的现金   -100,249,1  5,205,449.  -2,025.85             
  流量净额             45.91       55                                
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2、扣除非经常性损益项目和金额 
    单位:元 币种:人民币


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  非经常性损益项目                               金额                
  扣除公司日常根据企业会计制度规定计提的资产减   -135,313.96         
  值准备后的其他各项营业外收入、支出                                 
  所得税影响数                                   20,297.09           
  合计                                           -115,016.87         
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
三、股本变动及股东情况
    (一)股份变动情况表
    报告期内,公司股份总数及股本结构未发生变化。
    (二)股东情况
    1、股东数量和持股情况
    单位:股


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  报告期末股东   45,564                                              
  总数                                                               
  前十名股东持股情况                                                 
  股东名   股东  持股  持股总   报告期  股份   持有非   质押或冻结的 
  称       性质  比例  数       内增减  类别   流通股   股份数量     
                 (%)                           数量                  
  长春燃   国有  60.2  244,800          未流   244,800               
  气控股   股东  2     ,000             通     ,000                  
  有限公                                                             
  司                                                                 
  邱力     其他  0.27  1,100,6  1,100,  已流            未知         
                       25       625     通                           
  陈丽萍   其他  0.17  672,410  672,41  已流            未知         
                                0       通                           
  陈光熊   其他  0.11  427,034  427,03  已流            未知         
                                4       通                           
  孙剑秋   其他  0.09  352,600  352,60  已流            未知         
                                0       通                           
  陈士盛   其他  0.08  330,900  330,90  已流            未知         
                                0       通                           
  鞍山市   其他  0.08  316,080  316,08  已流            未知         
  中泰宾                        0       通                           
  馆                                                                 
  张剑光   其他  0.08  312,100  312,10  已流            未知         
                                0       通                           
  韩忠沛   其他  0.07  301,600  301,60  已流            未知         
                                0       通                           
  王树英   其他  0.07  296,000          已流            未知         
                                        通                           
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  前十名流通股股东持股情况                                           
  股东名称                持有流通股   股份种类                      
                          的数量                                     
  邱力                    1,100,625    人民币普通股                  
  陈丽萍                  672,410      人民币普通股                  
  陈光熊                  427,034      人民币普通股                  
  孙剑秋                  352,600      人民币普通股                  
  陈士盛                  330,900      人民币普通股                  
  鞍山市中泰宾馆          316,080      人民币普通股                  
  张剑光                  312,100      人民币普通股                  
  韩忠沛                  301,600      人民币普通股                  
  王树英                  296,000      人民币普通股                  
  白银银珠电力有限责任公  288,000      人民币普通股                  
  司                                                                 
  上述股东关联关系或一致  公司未知前十名流通股股东之间是否存在关联关 
  行动关系的说明          系或一致行动人的情况。公司前十名流通股股东 
                          和公司非流通股股东之间不存在关联关系。     
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控股股东-长春燃气控股有限公司与其他九名流通股股东之间不存在关联关系,也不属于《上市公司股东持股变动信息披露管理办法》规定的一致行动人。公司不知其他九名流通股股东之间是否存在关联关系或属于一致行动人的情况。  2、控股股东及实际控制人变更情况 本报告期内公司控股股东及实际控制人没有发生变更。 
    四、董事、监事和高级管理人员
    
    (一)董事、监事和高级管理人员持股变动
    报告期内公司董事、监事、高级管理人员持股未发生变化。  (二)新聘或解聘公司董事、监事、高级管理人员的情况
    经公司四届四次董事会审议通过,同意王振先生辞去公司总经理职务的申请,聘任周小犇先生为公司总经理。此次高管人员变动,已于2006年2月11日在《中国证券报》和《上海证券报》上刊登公告。
    五、管理层讨论与分析
    (一)管理层讨论与分析
    报告期内,公司所属行业、经营范围、生产经营情况与上年同期相比未发生重大变化。受焦炭市场价格下降影响,报告期内,公司主营业务收入较上年同期有较大幅度下降,公司管理层面对严峻的市场局面,采取了一系列增收节支措施,合理调整原料配方,加强内控管理,严格控制成本费用支出,调整工业燃气销售价格,最大限度的消化了焦炭价格下滑给公司带来的不利影响.当期实现净利润1,893.89万元。
    (二)公司主营业务及其经营状况
    1、主营业务分行业、产品情况表
    单位:元 币种:人民币


━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
  分行   主营业务收入  主营业务成   主营业  主营   主营业   主营业务 
  业或                 本           务利润  业务   务成本   利润率比 
  分产                              率(%)   收入   比上年   上年同期 
  品                                        比上   同期增   增减(%  
                                            年同   减(%   )       
                                            期增   )                
                                            减(                     
                                            %)                     
  分行                                                               
  业                                                                 
  分产                                                               
  品                                                                 
  燃气   191,647,341.  160,129,239  16.45   10.27  -11.60   增加20.6 
         07            .20                                  8个百分  
                                                            点       
  燃气   28,572,795.0  15,852,377.  44.52   -26.4  38.99    减少26.1 
  管道   0             03                   1               1个百分  
  改造                                                      点       
  及用                                                               
  户安                                                               
  装                                                                 
  冶金   309,566,465.  281,697,375  9.00    -20.5  5.66     减少22.5 
  焦炭   00            .37                  1               4个百分  
                                                            点       
  煤焦   17,450,149.5  10,028,347.  42.53   49.89  -6.66    增加34.8 
  油     3             55                                   2个百分  
                                                            点       
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2、主营业务分地区情况
    单位:元 币种:人民币


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  地区                主营业务收入         主营业务收入比上年同期增  
                                           减(%)                  
  省内                291,908,311.52       -14.98                    
  省外                255,328,439.08       -5.57                     
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    3、主营业务盈利能力(毛利率)与上年相比发生重大变化的原因说明
      报告期内,公司主营产品毛利率发生变化原因如下: (1)燃气毛利率上升了二十个百分点,主要因为公司调整了工业燃气价格,同时合理调整原料配方,降低了生产成本。 (2)燃气管道改造及用户安装毛利率下降系安装用户量减少所致。 (3)冶金焦炭毛利率下降原因是由于市场价格较上年同期有较大幅度下降。 (4)煤焦油毛利率上升是因为市场销售价格上涨所致。
    (三)公司投资情况
     1、报告期内,公司无募集资金或前期募集资金使用到本期的情况。 2、报告期内,公司无非募集资金投资项目。
    六、重要事项
    
    (一)公司治理的情况
    
      报告期内,公司严格按照《上市公司治理准》、《证券法》、《股票上市规则》以及中国证监会有关法律法规的要求,不断建立和完善法人治理结构、现代企业制度,规范公司运作,加强与投资者关系的沟通,树立良好公司形象,提高公司信息披露水平,未发生因信息披露不规范而受到监管部门批评的情况。根据监管机构发布的监管制度、规则,公司修改了《公司章程》和《股东大会议事规则》,完善了公司重大决策中加强对社会公众股股东权益的保护和提高公司决策效率等事项。目前公司治理结构完善,与中国证监会的有关文件要求没有差异。
    
    (二)报告期实施的利润分配方案执行情况
    
    公司于2006年6月28日召开的2005年度股东大会通过了2005年末每10股派现金1.0元(含税)的分配方案,利润分配方案将于规定期间内实施。 
    
    (三)重大诉讼仲裁事项
    本报告期公司无重大诉讼、仲裁事项。 
    (四)资产交易事项
    本报告期公司无收购及出售资产、吸收合并事项。
    (五)报告期内公司重大关联交易事项
    本报告期公司无重大关联交易事项。 
    (六)托管情况
    本报告期公司无托管事项。 
    (七)承包情况
    本报告期公司无承包事项。 
    (八)租赁情况
    本报告期公司无租赁事项。 
    (九)担保情况
    本报告期公司无担保事项。 
    (十)委托理财情况
    本报告期公司无委托理财事项。 
    (十一)承诺事项履行情况
    报告期内或持续到报告期内,公司或持股5%以上股东没有承诺事项。 
    未股改公司的股改工作时间安排说明
    公司股改工作现正在进行中,股改方案已于8月4日报送上海证券交易所,8月17日复牌,9月4日召开股东大会股东对公司股改方案进行投票表决。
    
    未股改公司已承诺股改但未能按时履行的具体原因说明


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  已承诺内容                                   未能履行承诺的原因    
  公司计划2006年6月末以前正式向上海证券交易所  公司股改方案未能按时  
  报送股改方案                                 完成。                
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    (十二)公司、董事会、董事受处罚及整改情况
    报告期内公司、公司董事会及董事均未受中国证监会的稽查、行政处罚、通报批评及证券交易所的公开谴责。 
    (十三)其它重大事项
    本报告期内公司无其它重大事项。 
     (十四)信息披露索引


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  事项                     刊载的报刊名称  刊载日  刊载的互联网网站  
                           及版面          期      及检索路径        
  四届四次董事会决议公告   《上海证券报》  2006年  http://www.sse.co 
                           C12、《中国证   2月11   m.cn              
                           券报》C05       日                        
  2005年年度报告、四届五   《中国证券报》  2006年  http://www.sse.co 
  次董事会及四届二次监事   C10、《上海证   3月9日  m.cn              
  会决议公告               券报》C14                                 
  2006年一季度报告、四届   《上海证券报》  2006年  http://www.sse.co 
  六次董事会决议及召开200  B27、《中国证   4月29   m.cn              
  5年度股东大会通知的公告  券报》C109      日                        
  2005年度股东大会决议公   《上海证券报》  2006年  http://www.sse.co 
  告                       B08、《中国证   6月29   m.cn              
                           券报》          日                        
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     七、财务会计报告(未经审计)
    (一)财务报表
    资产负债表 2006年06月30日
    编制单位: 长春燃气股份有限公司 
    单位: 元 币种:人民币


━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
  项目                附注      合并               母公司            
                      合  母公  期末数   期初数    期末数   期初数   
                      并  司                                         
  流动资产:                                                         
  货币资金            4.        79,385,  143,825,  62,583,  133,549, 
                      1         594.86   288.65    280.21   130.22   
  短期投资                                                           
  应收票据            4.        12,552,  93,602,5  9,552,4  93,302,5 
                      2         425.99   02.13     25.99    02.13    
  应收股利            4.        360,320  360,320.  360,320  34,375,0 
                      3         .19      19        .19      82.86    
  应收利息                                                           
  应收账款            4.  5.1   215,097  176,386,  195,098  157,076, 
                      4         ,733.12  709.24    ,424.59  259.67   
  其他应收款                    104,249  53,603,4  53,795,  48,680,0 
                                ,767.33  50.32     221.61   10.03    
  预付账款            4.        18,081,  11,289,7  10,471,  5,957,44 
                      5         403.94   45.32     694.42   8.65     
  应收补贴款                                                         
  存货                4.        182,164  212,065,  72,483,  103,190, 
                      6         ,508.91  821.51    387.57   614.27   
  待摊费用            4.        1,529,2  3,302,66  1,121,5  2,902,44 
                      7         00.01    5.25      65.33    3.69     
  一年内到期的长期债                                                 
  权投资                                                             
  其他流动资产                                                       
  流动资产合计                  613,420  694,436,  405,466  579,033, 
                                ,954.35  502.61    ,319.91  491.52   
  长期投资:                                                         
  长期股权投资        4.  5.2   22,054,  17,957,9  141,866  137,075, 
                      8         314.22   18.82     ,073.20  097.90   
  长期债权投资                                                       
  长期投资合计                  22,054,  17,957,9  141,866  137,075, 
                                314.22   18.82     ,073.20  097.90   
  其中:合并价差                                                     
  其中:股权投资差额                                                 
  固定资产:                                                         
  固定资产原价        4.        1,132,1  1,131,04  1,018,5  1,018,52 
                      9         45,643.  6,049.71  62,148.  4,742.56 
                                20                 72                
  减:累计折旧                  291,985  267,791,  270,386  249,129, 
                                ,369.24  969.47    ,879.52  723.35   
  固定资产净值                  840,160  863,254,  748,175  769,395, 
                                ,273.96  080.24    ,269.20  019.21   
  减:固定资产减值准            15,798,  15,798,8  15,798,  15,798,8 
  备                            835.67   35.67     835.67   35.67    
  固定资产净额                  824,361  847,455,  732,376  753,596, 
                                ,438.29  244.57    ,433.53  183.54   
  工程物资            4.        873,090  730,646.  153,394  153,394. 
                      10        .64      86        .95      95       
  在建工程            4.        63,743,  51,927,7  62,860,  50,198,6 
                      11        317.33   10.33     765.83   88.97    
  固定资产清理                  250,097            94,733.           
                                .95                50                
  固定资产合计                  889,227  900,113,  795,485  803,948, 
                                ,944.21  601.76    ,327.81  267.46   
  无形资产及其他资产                                                 
  :                                                                 
  无形资产            4.        44,033,  49,288,6  44,033,  49,288,6 
                      12        502.07   54.33     502.07   54.33    
  长期待摊费用        4.        323,333  343,333.                    
                      13        .37      35                          
  其他长期资产                                                       
  无形资产及其他资产            44,356,  49,631,9  44,033,  49,288,6 
  合计                          835.44   87.68     502.07   54.33    
  递延税项:                                                         
  递延税款借项                                                       
  资产总计                      1,569,0  1,662,14  1,386,8  1,569,34 
                                60,048.  0,010.87  51,222.  5,511.21 
                                22                 99                
  流动负债:                                                         
  短期借款            4.        50,000,  30,000,0  50,000,  30,000,0 
                      14        000.00   00.00     000.00   00.00    
  应付票据            4.                 68,000,0           68,000,0 
                      15                 00.00              00.00    
  应付账款            4.        165,823  205,841,  128,568  160,844, 
                      16        ,592.20  651.77    ,685.37  946.59   
  预收账款            4.        95,391,  94,648,2  3,867,8  7,495,58 
                      17        750.28   61.25     47.03    4.38     
  应付工资                               366,266.                    
                                         95                          
  应付福利费                    12,447,  12,726,3  8,328,4  8,225,30 
                                843.65   27.83     53.67    8.25     
  应付股利            4.        41,373,  36,720,0  41,373,  36,720,0 
                      18        120.00   00.00     120.00   00.00    
  应交税金            4.        4,621,1  6,050,25  3,784,1  3,895,19 
                      19        16.60    4.02      32.84    8.95     
  其他应交款          4.        269,572  683,046.  213,362  221,265. 
                      20        .72      55        .35      38       
  其他应付款          4.        60,863,  43,364,6  25,308,  103,110, 
                      21        784.50   95.28     626.66   946.07   
  预提费用            4.        7,443,2  129,324.  7,288,9           
                      22        67.21    65        42.57             
  预计负债                                                           
  一年内到期的长期负                                                 
  债                                                                 
  其他流动负债                                                       
  流动负债合计                  438,234  498,529,  268,733  418,513, 
                                ,047.16  828.30    ,170.49  249.62   
  长期负债:                                                         
  长期借款            4.        52,000,  63,000,0  52,000,  63,000,0 
                      23        000.00   00.00     000.00   00.00    
  应付债券                                                           
  长期应付款                                                         
  专项应付款          4.        47,795.  99,341.5                    
                      24        55       5                           
  其他长期负债                                                       
  长期负债合计                  52,047,  63,099,3  52,000,  63,000,0 
                                795.55   41.55     000.0    00.00    
  递延税项:                                                         
  递延税款贷项                                                       
  负债合计                      490,281  561,629,  320,733  481,513, 
                                ,842.71  169.85    ,170.49  249.62   
  少数股东权益                  12,660,  12,678,5                    
                                153.01   79.43                       
  所有者权益(或股东                                                 
  权益):                                                           
  实收资本(或股本)  4.        406,531  406,531,  406,531  406,531, 
                      25        ,200.00  200.00    ,200.00  200.00   
  减:已归还投资                                                     
  实收资本(或股本)            406,531  406,531,  406,531  406,531, 
  净额                          ,200.00  200.00    ,200.00  200.00   
  资本公积            4.        230,880  230,880,  230,880  230,880, 
                      26        ,674.06  674.06    ,674.06  674.06   
  盈余公积            4.        97,671,  97,671,9  97,671,  97,671,9 
                      27        924.53   24.53     924.53   24.53    
  其中:法定公益金              30,383,  30,383,5  30,383,  30,383,5 
                                544.42   44.42     544.42   44.42    
  未分配利润          4.        331,034  352,748,  331,034  352,748, 
                      28        ,253.91  463.00    ,253.91  463.00   
  拟分配现金股利                                                     
  外币报表折算差额                                                   
  减:未确认投资损失                                                 
  所有者权益(或股东            1,066,1  1,087,83  1,066,1  1,087,83 
  权益)合计                    18,052.  2,261.59  18,052.  2,261.59 
                                50                 50                
  负债和所有者权益(            1,569,0  1,662,14  1,386,8  1,569,34 
  或股东权益)总计              60,048.  0,010.87  51,222.  5,511.21 
                                22                 99                
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
公司法定代表人:王振主管会计工作负责人:梁永祥会计机构负责人:齐国军
    
    
     利润及利润分配表 2006年1-6月
    编制单位: 长春燃气股份有限公司 
    单位:元 币种:人民币 


━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
  项目                   附注      合并             母公司           
                         合  母公  本期数   上年同  本期数   上年同  
                         并  司             期数             期数    
  一、主营业务收入       4.  5.3   547,236  613,72  457,235  505,114 
                         29        ,750.60  0,677.  ,460.93  ,016.61 
                                            03                       
  减:主营业务成本       4.  5.3   467,707  469,91  391,413  394,721 
                         30        ,339.15  4,579.  ,019.06  ,800.95 
                                            18                       
  主营业务税金及附加     4.        3,665,5  4,553,  2,808,3  3,340,0 
                         31        28.24    597.14  44.39    82.38   
  二、主营业务利润(亏             75,863,  139,25  63,014,  107,052 
  损以“-”号填列)                883.21   2,500.  097.48   ,133.28 
                                            71                       
  加:其他业务利润(亏   4.        -3,799,  -1,237  -3,739,  -1,331, 
  损以“-”号填列)      32        587.40   ,536.0  940.18   503.13  
                                            6                        
  减:营业费用                      26,833,  30,557  22,757,  26,867, 
                                   116.82   ,067.3  723.97   050.31  
                                            6                        
  管理费用                         20,044,  22,082  12,664,  11,618, 
                                   156.30   ,441.5  669.92   465.47  
                                            5                        
  财务费用               4.        2,315,5  3,220,  2,351,5  3,252,0 
                         33        21.74    470.05  71.98    49.39   
  三、营业利润(亏损以             22,871,  82,154  21,500,  63,983, 
  “-”号填列)                    500.95   ,985.6  191.43   064.98  
                                            9                        
  加:投资收益(损失以   4.        96,395.  -51,18  790,975  17,057, 
  “-”号填列)          34        40       4.18    .30      790.72  
  补贴收入                                                           
  营业外收入                       48,487.  220,08  48,082.  54,000. 
                                   0        4.12    00       00      
  减:营业外支出                   183,800  -268,7  58,177.  56,100. 
                                   .96      76.33   07       00      
  四、利润总额(亏损总             22,832,  82,592  22,281,  81,038, 
  额以“-”号填列)                582.39   ,661.9  071.66   755.70  
                                            6                        
  减:所得税                       3,912,0  12,548  3,342,1  12,155, 
                                   97.90    ,276.4  60.75    813.36  
                                            3                        
  减:少数股东损益                 -18,426  1,161,                   
                                   .42      443.19                   
  加:未确认投资损失(合                                              
  并报表填列)                                                        
  五、净利润(亏损以“-            18,938,  68,882  18,938,  68,882, 
  ”号填列)                       910.91   ,942.3  910.91   942.34  
                                            4                        
  加:年初未分配利润               352,748  355,03  352,748  355,036 
                                   ,463.00  6,521.  ,463.00  ,521.39 
                                            39                       
  其他转入                                                           
  六、可供分配的利润               371,687  423,91  371,687  423,919 
                                   ,373.91  9,463.  ,373.91  ,463.73 
                                            73                       
  减:提取法定盈余公积                                               
  提取法定公益金                                                     
  提取职工奖励及福利基                                               
  金(合并报表填列)                                                   
  提取储备基金                                                       
  提取企业发展基金                                                   
  利润归还投资                                                       
  七、可供股东分配的利             371,687  423,91  371,687  423,919 
  润                               ,373.91  9,463.  ,373.91  ,463.73 
                                            73                       
  减:应付优先股股利                                                 
  提取任意盈余公积                                                   
  应付普通股股利                   40,653,  60,979  40,653,  60,979, 
                                   120.00   ,680.0  120.00   680.00  
                                            0                        
  转作股本的普通股股利                                               
  八、未分配利润(未弥补  4.        331,034  362,93  331,034  362,939 
  亏损以“-”号填列)     28        ,253.91  9,783.  ,253.91  ,783.73 
                                            73                       
  补充资料:                                                         
  1.出售、处置部门或被                                               
  投资单位所得收益                                                   
  2.自然灾害发生的损失                                               
  3.会计政策变更增加(或                                              
  减少)利润总额                                                      
  4.会计估计变更增加(或                                              
  减少)利润总额                                                      
  5.债务重组损失                                                     
  6.其他                                                             
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━

    公司法定代表人:王振主管会计工作负责人:梁永祥会计机构负责人:齐国军
     现金流量表 2006年1-6月
    编制单位: 长春燃气股份有限公司 
    单位:元 币种:人民币


━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
  项目                  附注         合并数          母公司数        
                        合并  母公                                   
                              司                                     
  一、经营活动产生的现                                               
  金流量:                                                           
  销售商品、提供劳务收               610,855,511.57  515,123,397.02  
  到的现金                                                           
  收到的税费返还                                                     
  收到的其他与经营活动               2,727,884.76    4,177,515.52    
  有关的现金                                                         
  现金流入小计                       613,583,396.33  519,300,912.54  
  购买商品、接受劳务支               590,103,266.64  501,677,708.85  
  付的现金                                                           
  支付给职工以及为职工               22,285,493.75   15,286,291.67   
  支付的现金                                                         
  支付的各项税费                     40,947,172.99   37,985,800.96   
  支付的其他与经营活动  4.35         60,496,608.86   76,804,451.03   
  有关的现金                   &nb