联系客服

600860 沪市 京城股份


首页 公告 北人印刷机械股份:2012年度业绩公告

北人印刷机械股份:2012年度业绩公告

公告日期:2013-02-27

     香港交易及结算所有限公司及香港联合交易所有限公司对本文件的内容概不负责,对其准确性或                      

     完整性亦不发表任何声明,并明确表示,概不对因本文件全部或任何部分内容而产生或因倚赖该                       

     等内容而引致的任何损失承担任何责任。         

                                               (股份代号:0187)       

                                              2012年度业绩公告       

     北人印刷机械股份有限公司(本公司)董事会(董事会)谨此公布本公司及其附属公司(本集团)截至                     

     2012年12月31日止年度(报告期)的按照中国企业会计准则编制之初步综合业绩如下:                     

     一、财务资料    

        (除特别注明外,金额单位为人民币元)           

          合并资产负债表    

                                                   合并资产负债表    

          项目                                      附注         2012年12月31日          2011年12月31日    

          流动资产:   

            货币资金 

                                                                      181,154,277.96 

                                                                                               161,866,351.06 

            结算备付金  

            拆出资金 

            交易性金融资产  

            应收票据 

                                                                       23,425,119.81 

                                                                                                20,263,400.00 

            应收账款                                 5

                                                                      192,265,245.43 

                                                                                               163,969,806.39 

            预付款项 

                                                                       15,824,817.72 

                                                                                                30,187,908.20 

            应收保费 

            应收分保账款  

            应收分保合同准备金   

            应收利息 

            应收股利 

                                                                          113,600.00 

                                                                                                    113,600.00 

            其他应收款  

                                                                       18,586,901.72 

                                                                                                17,583,975.31 

            买入返售金融资产   

            存货

                                                                      403,659,917.33 

                                                                                               422,781,854.19 

            一年内到期的非流动资产    

            其他流动资产  

            流动资产合计  

                                                                      835,029,879.97 

                                                                                               816,766,895.15 

                                                         1

          项目                                      附注         2012年12月31日          2011年12月31日    

          非流动资产:   

            发放委托贷款及垫款   

            可供出售金融资产   

            持有至到期投资  

            长期应收款  

            长期股权投资  

                                                                       15,935,435.65 

                                                                                                15,660,364.86 

            投资性房地产  

                                                                         6,556,479.32 

                                                                                                  6,739,095.77 

            固定资产 

                                                                      498,616,014.96 

                                                                                               526,997,541.58 

            在建工程 

                                                                         8,068,949.59 

                                                                                                  3,179,294.90 

            工程物资 

            固定资产清理  

            生产性生物资产  

            油气资产 

            无形资产 

                                                                      101,464,670.47 

                                                                                               104,020,316.25 

            开发支出 

            商誉

            长期待摊费用  

                                                                         9,367,320.00 

                                                                                                  9,367,320.00 

            递延所得税资产                                                                       2,711,017.52 

            其他非流动资产  

            非流动资产合计  

                                                                      640,008,869.99 

                                                                                               668,674,950.88 

            资产总计