Skip to main content

AI assistant

Sign in to chat with this filing

The assistant answers questions, extracts KPIs, and summarises risk factors directly from the filing text.

CStone Pharmaceuticals Interim / Quarterly Report 2007

Oct 26, 2007

Preview isn't available for this file type.

Download source file

资产

Yanzhou Coal Mining Co.,Ltd. Unnamed: 1 Unnamed: 2 Unnamed: 3 Unnamed: 4 Unnamed: 5
BALANCE SHEET NaN NaN NaN NaN NaN
AT SEPTEMBER 30, 2007 NaN NaN NaN NaN NaN
NaN Unit: RMB Yuan NaN NaN NaN NaN
NaN NaN The Group NaN The Company NaN
NaN NaN At September At December At September At December
NaN NaN 30, 2007 31, 2006 30, 2007 31, 2006
NaN NaN RMB RMB RMB RMB
NaN NaN (Unaudited) (Unaudited and restated) (Unaudited) (Unaudited and restated)
NaN NaN NaN NaN NaN NaN
NaN ASSETS NaN NaN NaN NaN
NaN CURRENT ASSETS: NaN NaN NaN NaN
NaN Bank balances and cash 6749747101 6028060759 6476180035 5615399136
NaN Notes receivable 2076335284 2061620338 2074185284 2061620338
NaN Accounts receivable 101278187 214170457 61520237 181851451
NaN Prepayments 143953665 115894464 121346809 105414667
NaN Interest receivable NaN - 65378210 31457046
NaN Dividends receivable NaN - NaN 298582
NaN Other receivables 317016887 192373095 923195843 563655156
NaN Inventories 677717357 579560747 575972909 417815789
NaN Entrust loan 640000000 640000000 808993000 923278300
NaN Other current assets 221618076 240199375 221618076 239949381
NaN NaN ___________ ___________ ____________ ___________
NaN TOTAL CURRENT ASSETS 10927666557 10071879235 11328390403 10140739846
NaN NaN ___________ ___________ ____________ ___________
NaN NaN NaN NaN NaN NaN
NaN NON CURRENT ASSETS: NaN NaN NaN NaN
NaN Available-for-sale financial assets 286638876 53900039 286638876 53900039
NaN Entrust loan NaN - 1506979000 1132504700
NaN Long-term equity investments 22743312 42242003 2798895967 1927428458
NaN Fixed assets and NaN NaN NaN NaN
NaN accumulated depreciation 8198543937 8795190480 6814971288 7522530384
NaN Fixed assets under construction 3122837304 2197521485 327977709 111624099
NaN Materials held for construction NaN NaN NaN NaN
NaN of fixed assets 664571319 525897325 5410316 21829853
NaN Intangible assets 718825233 721759540 652653367 659503957
NaN Goodwill 12319645 7813059 NaN -
NaN Long-term deferred expenses 22789708 121344906 117925900 -
NaN Other non current assets 117925900 97425900 NaN 97425900
NaN NaN ___________ ___________ ____________ ___________
NaN TOTAL NON CURRENT ASSETS 13167195234 12563094737 12511452423 11526747390
NaN NaN ___________ ___________ ____________ ___________
NaN TOTAL ASSETS 24094861791 22634973972 23839842826 21667487236

负债

Unnamed: 0 Yanzhou Coal Mining Co.,Ltd. Unnamed: 2 Unnamed: 3 Unnamed: 4 Unnamed: 5
NaN BALANCE SHEET NaN NaN NaN NaN
NaN AT SEPTEMBER 30, 2007 NaN NaN NaN NaN
NaN Unit: RMB Yuan NaN NaN NaN NaN
NaN NaN The Group NaN The Company NaN
NaN NaN At September At December At September At December
NaN NaN 30, 2007 31, 2006 30, 2007 31, 2006
NaN NaN RMB RMB RMB RMB
NaN NaN (Unaudited) (Unaudited and restated) (Unaudited) (Unaudited and restated)
NaN LIABILITIES AND NaN NaN NaN NaN
NaN SHAREHOLDERS' EQUITY NaN NaN NaN NaN
NaN CURRENT LIABILITIES: NaN NaN NaN NaN
NaN Notes payable 106677428 168945054 106677428 137843036
NaN Accounts payable 572644429 662673015 439935703 537682591
NaN Advances from customers 1009141411 732812102 984997922 722618722
NaN Salaries and wages payable 279596146 210216780 237641732 211571061
NaN Taxes payable 124490581 356052352 123505939 353593958
NaN Dividends payable NaN - NaN -
NaN Other payables 1715565161 1760353295 1832801643 1394339284
NaN Other current liabilities 148508976 - 148508976 -
NaN Long-term payable NaN NaN NaN NaN
NaN due within one year 309068914 93455596 232757146 35593610
NaN NaN NaN ___________ ____________ ___________
NaN TOTAL CURRENT LIABILITIES 4265693046 3984508194 4106826489 3393242262
NaN NaN ___________ ___________ ____________ ___________
NaN NaN NaN NaN NaN NaN
NaN NON CURRENT LIABILITIES NaN NaN NaN NaN
NaN Bank borrowings 319000000 330000000 NaN -
NaN Long-term payable 610873615 487116135 610873615 487116135
NaN Deferred tax liabilities 61690374 11207245 61690374 11207245
NaN NaN ___________ ___________ ____________ ___________
NaN TOTAL NON CURRENT LIABILITIES 991563989 828323380 672563989 498323380
NaN NaN ___________ ___________ ____________ ___________
NaN TOTAL LIABILITIES 5257257035 4812831574 4779390478 3891565642
NaN NaN ___________ ___________ ____________ ___________
NaN NaN NaN NaN NaN NaN
NaN SHAREHOLDERS' EQUITY: NaN NaN NaN NaN
NaN Share capital 4918400000 4918400000 4918400000 4918400000
NaN Capital reserves 4923729695 4757053340 4919370358 4757053340
NaN Surplus reserves 1709766063 1709766066 1709449482 1709449482
NaN Unappropriated profits 7223283575 6381830403 7513232508 6391018772
NaN Translation reserve -11651137 -10395923 - -
NaN NaN ___________ ___________ ____________ ___________
NaN Equity attributable to NaN NaN NaN NaN
NaN shareholders of the Company 18763528196 17756653886 19060452348 17775921594
NaN NaN ___________ ___________ ____________ ___________
NaN Minority interest 74076560 65488512 - -
NaN NaN ___________ ___________ ____________ ___________
NaN TOTAL SHAREHOLDERS' EQUITY 18837604756 17822142398 19060452348 17775921594
NaN NaN ___________ ___________ ___________ ___________
NaN NaN ___________ ___________ ___________ ___________
NaN TOTAL LIABILITIES AND NaN NaN NaN NaN
NaN SHAREHOLDERS' EQUITY 24094861791 22634973972 23839842826 21667487236

利润

Unnamed: 0 Yanzhou Coal Mining Co.,Ltd. Unnamed: 2 Unnamed: 3 Unnamed: 4 Unnamed: 5 Unnamed: 6 Unnamed: 7 Unnamed: 8 Unnamed: 9 Unnamed: 10 Unnamed: 11 Unnamed: 12 Unnamed: 13
NaN STATEMENT OF INCOME AND PROFITS APPROPRIATION NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
NaN FOR THE PERIOD ENDED SEPTEMBER 30, 2007 NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
NaN Unit: RMB Yuan NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
NaN Item 1 QUARTER ENDED SEPTEMBER 30 NaN NaN NaN 3 QUARTERS ENDED SEPTEMBER 30 NaN NaN NaN 9 MONTHS ENDED September 30 NaN NaN NaN
NaN NaN The Group NaN The Company NaN The Group NaN The Company NaN The Group NaN The Company NaN
NaN NaN 2007 2006 2007 2006 2007 2006 2007 2006 2007 2006 2007 2006
NaN NaN (Unaudited) (Unaudited and restated) (Unaudited) (Unaudited and restated) (Unaudited) (Unaudited and restated) (Unaudited) (Unaudited and restated) (Unaudited) (Unaudited and restated) (Unaudited) (Unaudited and restated)
NaN 1. Operating income 4135675356 3281009817 3878626500 3278372389 11913885610 10312713675 11041285071 10305208282 7778210254 7031703858 7162658571 7026835893
NaN Less: Operating cost 2198386130 1851344051 1959677016 1848546498 6448233428 5296085446 5799682261 5294812761 4249847298 3444741395 3840005245 3446266263
NaN Operating taxes and surcharges 71514593 70739947 70768084 73712624 213431242 208860307 209886129 211832984 141916649 138120360 139118045 138120360
NaN Selling expense 135249593 215446182 89826171 216279330 537012456 735293875 398001705 738005553 401762863 519847693 308175534 521726223
NaN General and administrative expense 639243740 456727655 551115531 457533084 1780607925 1365800239 1340194584 1353544592 1141364185 909072584 789079053 896011508
NaN Financial expense -46363411 2437864 6051193 7607415 -116720594 -20150237 27040528 -8933145 -70357183 -22588101 20989335 -16540560
NaN Impairment loss of assets 0 0 0 0 NaN - NaN - - - - -
NaN Add: Investment income 7143648 6032188 30548251 16076793 7143648 5474112 76332851 16323564 0 -558076 45784600 246771
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN ___________ ___________ ___________ ___________
NaN 2. Operating profit 1144788359 690346306 1231736756 690770231 3058464801 2732298157 3342812715 2732269101 1913676442 2041951851 2111075959 2041498870
NaN Add: Non-operating income 4397473 1542249 4160473 1542249 9287804 6167282 8927181 6164782 4890331 4625033 4766708 4622533
NaN Less: Non-operating expense 1268525 1309907 225661 1301907 33059364 3894571 31191406 3886571 31790839 2584664 30965745 2584664
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN ___________ ___________ ___________ ___________
NaN 3. Total profit 1147917307 690578648 1235671568 691010573 3034693241 2734570868 3320548490 2734547312 1886775934 2043992220 2084876922 2043536739
NaN Less: Income tax 433080672 241643472 433080673 241564693 1215184326 926704379 1214654754 926411424 782103654 685060907 781574081 684846731
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN ___________ ___________ ___________ ___________
NaN 4. Net profit 714836635 448935176 802590895 449445880 1819508915 1807866489 2105893736 1808135888 1104672280 1358931313 1303302841 1358690008
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN ___________ ___________ ___________ ___________
NaN Including: Attribute to shareholders NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
NaN of the Company 716214673 448188129 802590895 449445880 1825133172 1806878137 2105893736 1808135888 1108918499 1358690008 1303302841 1358690008
NaN Minority interest -1378038 747047 NaN NaN -5624257 988352 NaN NaN -4246219 241305 - -

现金流量表

Yanzhou Coal Mining Co.,Ltd. Unnamed: 1 Unnamed: 2 Unnamed: 3 Unnamed: 4 Unnamed: 5 Unnamed: 6 Unnamed: 7 Unnamed: 8 Unnamed: 9
CASH FLOW STATEMENT NaN NaN NaN NaN NaN NaN NaN NaN NaN
FOR THE PERIOD ENDED SEPTEMBER 30, 2007 NaN NaN NaN NaN NaN NaN NaN NaN NaN
NaN Unit: RMB Yuan NaN NaN NaN NaN NaN NaN NaN NaN
NaN Item 1 QUARTER ENDED SEPTEMBER 30,2007 NaN 9 MONTHS ENDED SEPTEMBER 30, 2007 NaN 1 QUARTER ENDED SEPTEMBER 30,2006 NaN 9 MONTHS ENDED SEPTEMBER 30, 2006 NaN
NaN NaN The Group The Company The Group The Company The Group The Company The Group The Company
NaN NaN (Unaudited) (Unaudited) (Unaudited) (Unaudited) (Unaudited and restated) (Unaudited and restated) (Unaudited and restated) (Unaudited and restated)
NaN 1.CASH FLOW FROM OPERATING ACTIVITIES NaN NaN NaN NaN NaN NaN NaN NaN
NaN Cash received from sales of goods or rendering of services 4118190564 3846701276 13615592538 12743481242 3748822511 3754877109 10780485329 10786074405
NaN Taxes refunded 0 0 NaN NaN 0 0 NaN NaN
NaN Other cash received relating to operating activities 40028209 77812467 114030578 405072830 134219651 118823969 276399363 259224072
NaN Sub-total of cash inflows 4158218773 3924513743 13729623116 13148554072 3883042162 3873701078 11056884692 11045298477
NaN Cash paid for goods and services 1372605077 1204719328 4086933981 3605686367 1172426959 1191432905 3713398900 3733012054
NaN Cash paid to and on behalf of employees 497557980 311670426 1698977709 1320756760 260928069 114218782 1328665712 1147492614
NaN Taxes and surcharges paid 909542793 929731308 2903294363 2897745927 1039192378 1022781585 2627677159 2608022438
NaN Other cash paid relating to operating activities 801693827 921438967 2428019476 2542933688 775350626.24 995698803 2361614986.24 2726281056
NaN Sub-total of cash outflows 3581399677 3367560029 11117225529 10367122742 3247898032.24 3324132075 10031356757.24 10214808162
NaN NET CASH FLOW FROM OPERATING ACTIVITIES 576819096 556953714 2612397587 2781431330 635144129.76 549569003 1025527934.76 830490315
NaN 2.CASH FLOW FROM INVESTING ACTIVITIES NaN NaN NaN NaN NaN NaN NaN NaN
NaN Cash received from return on investments 0 0 0 213000000 0 0 0 0
NaN Net cash received from investment income 7143648 19403955 7143648 42710269 6311230 7568975 6311230 7568975
NaN Net cash received from disposal of fixed assets and other long-term assets 7516086 5214858 12905191 9255625 12675205 1870554 17057701 6248017
NaN decrease in restricted cash NaN NaN 51842528 2865013 0 0 0 0
NaN Sub-total of cash inflows 14659734 24618813 71891367 267830907 18986435 9439529 23368931 13816992
NaN Cash paid to acquire fixed assets and other long-term assets 555259156 125706108 1436255360 330078248 902567034 188540675 1988148904 400426865
NaN Cash paid to acquire investments 0 300000000 14966200 1390966200 0 289344000 0 610944000
NaN Increase in restricted cash 4410341 2342347 NaN 0 15781082 0 28867747 0
NaN Sub-total of cash outflows 559669497 428048455 1451221560 1721044448 918348116 477884675 2017016651 1011370865
NaN NET CASH FLOW FROM INVESTING ACTIVITIES -545009763 -403429642 -1379330193 -1453213541 -899361681 -468445146 -1993647720 -997553873
NaN 3.CASH FLOW FROM FINANCING ACTIVITIES NaN NaN NaN NaN NaN NaN NaN NaN
NaN Cash received from equity investment 0 0 24000000 0 0 0 0 0
NaN Sub-total of cash inflows 0 0 24000000 0 0 0 0 0
NaN Repayments of borrowings 0 0 NaN NaN 200000000 200000000 200000000 200000000
NaN Cash paid for interest expenses 6258436 891877 19858524 891877 1938551 13049561 8398000 19237561
NaN Dividends paid 463680000 463680000 463680000 463680000 510046195 510048000 510046195 510048000
NaN Dividends paid to minority shareholder of a subsidiary 0 0 NaN 0 271449 0 271449 0
NaN Sub-total of cash outflows 469938436 464571877 483538524 464571877 712256195 723097561 718715644 729285561
NaN NET CASH FLOW FROM FINANCING ACTIVITIES -469938436 -464571877 -459538524 -464571877 -712256195 -723097561 -718715644 -729285561
NaN 4.EFFECT OF FOREIGN EXCHANGE RATE CHANGES ON CASH 0 0 NaN NaN 0 0 NaN 0
NaN 5.NET INCREASE (DECREASE) IN CASH AND CASH EQUIVALENTS -438129103 -311047805 773528870 863645912 -976473746.24 -641973704 -1686835429.24 -896349119