各地市场: 上海 华东 华南 华中 华北 东北 西南 西北

新疆众和:2015年半年度报告

2015-08-20 14:21 来源: 我的有色网

600888                                            新疆众和股份有限公司 2015 年半年度报告



       公司代码:600888                                           公司简称:新疆众和




                      新疆众和股份有限公司
                        2015 年半年度报告
                                      重要提示

一、 本公司董事会、监事会及董事、监事、高级管理人员保证半年度报告内容的真实、准确、完

     整,不存在虚假记载、误导性陈述或重大遗漏,并承担个别和连带的法律责任。


二、 公司全体董事出席董事会会议。


三、 本半年度报告未经审计。


四、 公司负责人孙健、主管会计工作负责人陆旸及会计机构负责人(会计主管人员)王新华声明:

     保证半年度报告中财务报告的真实、准确、完整。


五、 经董事会审议的报告期利润分配预案或公积金转增股本预案




六、 前瞻性陈述的风险声明

     本报告所涉及的公司未来计划、发展战略等前瞻性陈述,不构成公司对投资者的实质承诺,
请投资者注意投资风险。


七、 是否存在被第一大股东及其关联方非经营性占用资金情况




八、    是否存在违反规定决策程序对外提供担保的情况?





                                         1 / 117
  600888                                                                    新疆众和股份有限公司 2015 年半年度报告




                                                        目录
第一节     释义....................................................................................................................3
第二节     公司简介............................................................................................................4
第三节     会计数据和财务指标摘要................................................................................5
第四节     董事会报告........................................................................................................7
第五节     重要事项..........................................................................................................16
第六节     股份变动及股东情况......................................................................................19
第七节     优先股相关情况..............................................................................................21
第八节     董事、监事、高级管理人员情况..................................................................22
第九节     财务报告..........................................................................................................23
第十节     备查文件目录................................................................................................ 117




                                                         2 / 117
   600888                                               新疆众和股份有限公司 2015 年半年度报告



                                 第一节          释义
在本报告书中,除非文义另有所指,下列词语具有如下含义:
常用词语释义
本公司、公司、新疆众和         指     新疆众和股份有限公司
第一大股东、特变电工           指     特变电工股份有限公司
中国证监会                     指     中国证券监督管理委员会
报告期                         指     2015 年 1 月 1 日至 2015 年 6 月 30 日
元、万元                       指     人民币元、万元
MW(兆瓦)                     指     1 兆瓦=1000 千瓦,是一种表示功率的单位,常用来
                                      指发电机组在额定情况下每小时能发出来的电量




                                       3 / 117
   600888                                            新疆众和股份有限公司 2015 年半年度报告



                                第二节       公司简介
一、 公司信息
公司的中文名称                        新疆众和股份有限公司
公司的中文简称                        新疆众和
公司的外文名称                        XINJIANG JOINWORLD CO.,LTD.
公司的外文名称缩写                    XJJW
公司的法定代表人                      孙健


二、 联系人和联系方式
                                                              董事会秘书
姓名                                         刘建昊
联系地址                                     新疆乌鲁木齐市高新区喀什东路18号
电话                                         0991-6689800
传真                                         0991-6689882
电子信箱                                     ljh600888@joinworld.com



三、 基本情况变更简介
本报告期公司基本情况未发生变更。


四、 信息披露及备置地点变更情况简介
本报告期公司信息披露及备置地点未发生变更。


五、 公司股票简况
      股票种类          股票上市交易所             股票简称                股票代码
        A股             上海证券交易所             新疆众和                600888


六、 公司报告期内注册变更情况
本报告期公司注册情况未发生变更。




                                         4 / 117
   600888                                                  新疆众和股份有限公司 2015 年半年度报告



                       第三节      会计数据和财务指标摘要
一、 公司主要会计数据和财务指标
(一) 主要会计数据
                                                                        单位:元币种:人民币
                                                                                  本报告期比
                                              本报告期
             主要会计数据                                          上年同期       上年同期增
                                            (1-6月)
                                                                                    减(%)
营业收入                                 3,909,049,391.22      2,146,067,257.03         82.15
归属于上市公司股东的净利润                  27,612,243.81        -62,276,748.26       不适用
归属于上市公司股东的扣除非经常性损         -28,744,046.60        -77,400,450.73       不适用
益的净利润
经营活动产生的现金流量净额                 436,003,750.51       -132,287,678.87            不适用
                                                                                     本报告期末
                                            本报告期末              上年度末         比上年度末
                                                                                       增减(%)
归属于上市公司股东的净资产               3,222,716,888.19      3,192,800,192.00              0.94
总资产                                   9,256,692,225.66      8,803,902,596.83              5.14


(二)    主要财务指标
                                           本报告期                             本报告期比上年
            主要财务指标                                       上年同期
                                         (1-6月)                               同期增减(%)
基本每股收益(元/股)                           0.0431             -0.0971               不适用
稀释每股收益(元/股)                           0.0431             -0.0971               不适用
扣除非经常性损益后的基本每股收益
                                               -0.0448              -0.1207                不适用
(元/股)
加权平均净资产收益率(%)                                                        增加2.5495个百
                                                0.8611              -1.6884
                                                                                           分点
扣除非经常性损益后的加权平均净资                                                 增加1.2020个百
                                               -0.8964              -2.0984
产收益率(%)                                                                              分点


二、 境内外会计准则下会计数据差异

□适用 √不适用


三、 非经常性损益项目和金额
√适用 □不适用
                                                                           单位:元   币种:人民币
非经常性损益项目                  金额                    附注(如适用)
非流动资产处置损益                       153,079.98       营业外收入、营业外支出附注
计入当期损益的政府补助,但与公
司正常经营业务密切相关,符合国
                                    55,022,322.42         营业外收入附注
家政策规定、按照一定标准定额或
定量持续享受的政府补助除外
债务重组损益                             593,609.76       营业外收入附注
                                            5 / 117
   600888                                         新疆众和股份有限公司 2015 年半年度报告


除上述各项之外的其他营业外收入
                                   662,719.02    营业外收入附注
和支出
所得税影响额                       -75,440.77
合计                             56,356,290.41




                                      6 / 117
    600888                                          新疆众和股份有限公司 2015 年半年度报告



                              第四节      董事会报告

一、董事会关于公司报告期内经营情况的讨论与分析

    2015 年上半年,国内经济增速下滑、需求不振,铝价持续低迷,电子铝箔、电极箔等市场竞
争更加激烈,产品价格下滑。面对严峻的经济形势,公司努力提高产品质量,持续降低各项成本
费用,积极调整市场、产品结构,在做好风险防控的前提下稳步推进物流贸易业务,公司经营状
况在一定程度上得到有效改善。报告期内,公司实现营业收入 39.09 亿元,同比增长 82.15%;实
现归属于上市公司股东的净利润为 2,761.22 万元,去年同期归属于上市公司股东的净利润为
-6,227.67 万元,同比实现扭亏为盈。
    1、努力提高产品质量
    上半年,公司继续固化质量管理体系,围绕关键质量指标细化质量管控方法,强化过程质量
管控,并配合三级监督检查等多项措施,持续降低内外部质量损失,降低质量成本,产品毛利率
有所回升。2015 年上半年,公司电子新材料产业毛利率 14.31%,同比增加 1.47 个百分点。
    2、持续降低各项成本费用
    报告期内,公司持续挖潜降低成本费用的深度和广度,激发全员创新思路,努力推动改进工
艺、拓宽原材料供应等各项降本增效项目。
    3、积极调整产品结构、市场结构
    面对日益激烈的市场竞争形势,公司以市场为导向,以客户为中心,加快新产品研发、量产,
增加高附加值产品销售比重;同时,根据产品特性,积极调整市场结构,加大部分产品疆内销售
比重,降低运输费用,2015 年上半年,公司销售费用为 5427.27 万元,同比下降 26.42%。
    4、降低存货,加速资产周转
    公司建立全产业链资源互享机制,建立物资周转动态监控和循环处置程序,及时发现并盘活
滞留物资,加速资产周转。截至 2015 年上半年末,公司存货 10.64 亿元,较期初降低 9.12%。


(一) 主营业务分析
1   财务报表相关科目变动分析表
                                                                   单位:元    币种:人民币
科目                                本期数             上年同期数            变动比例(%)
营业收入                         3,909,049,391.22     2,146,067,257.03               82.15
营业成本                         3,676,279,615.99     1,997,174,915.32               84.07
销售费用                           54,272,699.19         73,761,112.75              -26.42
管理费用                           84,525,941.09         60,857,724.21               38.89
财务费用                           106,685,729.89        86,251,514.88               23.69
经营活动产生的现金流量净额         436,003,750.51      -132,287,678.87              不适用
投资活动产生的现金流量净额       -175,572,021.52        -26,175,461.96              不适用
筹资活动产生的现金流量净额         87,660,169.58        406,643,744.29              -78.44
研发支出                           126,455,320.33        89,499,041.68               41.29
营业外收入                         56,433,920.37         16,998,906.10              231.99
归属于母公司所有者净利润           27,612,243.81        -62,276,748.26              不适用
销售费用变动原因说明:公司积极调整销售结构,加大部分产品疆内销售比重,降低运输费用;
财务费用变动原因说明:主要系公司本期借款增加,借款费用相应增加所致;
研发支出变动原因说明:公司根据市场需求,加大铝箔、电极箔等产品研发投入,调整产品结构,

                                        7 / 117
       600888                                          新疆众和股份有限公司 2015 年半年度报告


 提高产品质量;
 营业收入等变动原因请见“第四节   董事会报告、一、(一)、2、其他”。


 2     其他
 (1) 公司利润构成或利润来源发生重大变动的详细说明
 ①资产负债表
                                                                      单位:元 币种:人民币
                                                      变动幅
项目             期末余额            年初余额                     原因
                                                      度(%)
                                                                  主要系公司营业收入增加所
应收账款            471,065,992.88   343,699,812.97      37.06
                                                                  致
                                                                  主要系本期收回前期支付给
                                                                  新疆维吾尔自治区地质矿产
其他应收款           14,852,208.38    63,018,558.25     -76.43
                                                                  勘查开发局第一地质大队的
                                                                  保证金所致
                                                                  主要系本期对参股公司新疆
长期股权投资       232,965,176.93    133,006,350.84      75.15    天池能源有限责任公司增资
                                                                  所致
                                                                  主要系本期购入的设备尚未
工程物资            20,370,198.50      6,204,385.13     228.32
                                                                  安装所致
                                                                  主要系本期支付采购业务开
应付票据            589,643,124.81   389,836,186.98      51.25
                                                                  具的银行承兑汇票增加所致
                                                                  主要系公司前期预收的贸易
预收款项            38,340,316.03     71,162,026.94     -46.12
                                                                  业务款项已实现销售所致
                                                                  主要系本期应缴的增值税、
应交税费            20,421,314.65      8,077,921.77     152.80
                                                                  子公司所得税增加所致
                                                                  主要系本期已计提的公司债
应付利息            75,592,737.38     25,035,150.51     201.95
                                                                  券利息未到付款期所致
一年内到期的非                                                    主要系公司分期偿还的长期
                   220,115,000.00    331,510,000.00     -33.60
流动负债                                                          借款归还所致
                                                                  主要系公司根据经营需要增
长期借款         1,348,510,000.00    845,970,000.00      59.40
                                                                  加长期银行贷款所致
                                                                  主要系本期与新疆维吾尔自
                                                                  治区地质矿产勘查开发局第
                                                                  一地质大队下属的全资子公
少数股东权益        27,998,864.67      6,532,328.98     328.62    司吐鲁番金源矿冶有限责任
                                                                  公司成立合资公司——新疆
                                                                  众和金源镁业有限公司、少
                                                                  数股东权益相应增加所致


 ②利润表
                                                                      单位:元 币种:人民币

                                          8 / 117
       600888                                             新疆众和股份有限公司 2015 年半年度报告


                                                              变动幅
项目               本期数              上期数                         原因
                                                              度(%)
                                                                       主要系本期贸易业务增加所
营业收入           3,909,049,391.22    2,146,067,257.03        82.15
                                                                       致
                                                                       主要系本期贸易业务增加所
营业成本           3,676,279,615.99    1,997,174,915.32        84.07
                                                                       致
                                                                       主要系公司已关停 4×25MW
                                                                       热电机组的相关人员正在开
管理费用             84,525,941.09        60,857,724.21        38.89   拓其他业务,将上述人员工
                                                                       资薪酬计入管理费用,以及
                                                                       本期研发支出增加所致
                                                                       主要系本期符合收入确认条
营业外收入           56,433,920.37        16,998,906.10       231.99
                                                                       件的政府补助增加所致


 ③现金流量表
                                                                          单位:元 币种:人民币
                                                               变动幅
项目               本期金额             上期金额                       原因
                                                               度(%)
销售商品、提供劳                                                         主要系本期销售收入增加,
                    3,699,974,534.05     1,432,170,683.56       158.35
务收到的现金                                                             收到的货款相应增加所致
                                                                         主要系本期收到的政府补
收到其他与经营
                      161,966,963.79        36,877,870.00       339.20   助及物流业务代收款增加
活动有关的现金
                                                                         所致
购买商品、接受劳                                                         主要系本期采购业务及贸
                    3,053,482,660.63     1,358,219,264.74       124.82
务支付的现金                                                             易业务增加所致
                                                                         主要系本期支付的增值税
支付的各项税费         73,473,283.63        21,562,111.75       240.75
                                                                         增加所致
                                                                         主要系公司招标业务结束
支付其他与经营                                                           后,退还收到的投标保证
                      101,026,916.74        28,878,788.68       249.83
活动有关的现金                                                           金,以及物流业务代付款增
                                                                         加所致
                                                                         主要系公司销售收入增加,
经营活动产生的
                      436,003,750.51      -132,287,678.87       不适用   销售商品、提供劳务收到的
现金流量净额
                                                                         现金增加所致
购建固定资产、无
形资产和其他长                                                           主要系公司本期工程项目
                       85,927,925.76        26,417,299.46       225.27
期资产支付的现                                                           投入所致

                                                                         主要系公司对参股公司新
投资支付的现金         83,997,500.00                      0     不适用   疆天池能源有限责任公司
                                                                         增加投资所致
投资活动产生的                                                           主要系公司本期工程项目
                     -175,572,021.52       -26,175,461.96       不适用
现金流量净额                                                             投入增加及对外投资增加
                                                9 / 117
         600888                                                    新疆众和股份有限公司 2015 年半年度报告


                                                                                 所致
  取得借款收到的                                                                 主要系公司本期借款增加
                          1,218,267,142.00      858,970,500.00           41.83
  现金                                                                           所致
  偿还债务支付的                                                                 主要系公司本期偿还借款
                          1,105,208,180.05      383,412,945.00          188.26
  现金                                                                           所致
                                                                                 主要系与去年同期相比公
  筹资活动产生的
                             87,660,169.58      406,643,744.29          -78.44   司借款增加额少于偿还债
  现金流量净额
                                                                                 务额
                                                                                 主要系公司本期销售收入
  现金及现金等价
                            350,168,283.26      248,997,972.82           40.63   增加、经营活动产生的现金
  物净增加额
                                                                                 流量净额增加所致


    (2) 经营计划进展说明
        公司在 2014 年年度报告中披露的 2015 年经营计划为:公司力争实现营业收入 60 亿元(合并
    报表),营业成本控制在 54.5 亿元以内(合并报表)。公司 2015 年上半年实际营业收入 39.09
    亿元(合并报表),完成年度目标计划的 65.15%;公司营业成本为 36.76 亿元(合并报表),控
    制在年度目标计划的 67.45%,营业成本控制目标略高于营业收入的增长。主要原因为:公司根据
    市场需求,在做好风险控制的前提下,扩大了贸易业务量,贸易业务收入大幅增加是公司营业收
    入大幅增加的主要原因;但由于贸易业务毛利率较低,使得公司整体毛利率下降,营业成本增幅
    超过营业收入增幅。


    (二) 行业、产品或地区经营情况分析
    1、 主营业务分行业、分产品情况
                                                                                    单位:元    币种:人民币
                                          主营业务分行业情况
                                                                        营业收入        营业成本     毛利率比
                                                              毛利率
  分行业             营业收入           营业成本                        比上年增        比上年增     上年增减
                                                              (%)
                                                                        减(%)         减(%)        (%)
                                                                                                     增加 1.47
电子新材料          959,258,489.84     821,997,035.35           14.31        7.89             6.07
                                                                                                     个百分点
                                                                                                     增加 6.62
合金产品            391,285,071.94     370,018,422.37            5.44      -33.40         -37.76
                                                                                                     个百分点
                                                                                                     减少 0.31
贸易业务          2,181,784,599.39   2,145,544,686.81            1.66      391.11         392.65
                                                                                                     个百分点
                                          主营业务分产品情况
                                                                        营业收入        营业成本     毛利率比
                                                              毛利率
  分产品             营业收入           营业成本                        比上年增        比上年增     上年增减
                                                              (%)
                                                                        减(%)         减(%)        (%)
                                                                                                     增加 3.93
电极箔              388,347,689.68     309,427,624.56           20.32       15.27             9.85
                                                                                                     个百分点
                                                                                                     增加 3.71
电子铝箔            300,094,115.67     250,278,833.10           16.60        9.18             4.54
                                                                                                     个百分点

                                                   10 / 117
         600888                                               新疆众和股份有限公司 2015 年半年度报告


                                                                                             减少 5.32
高纯铝              270,816,684.49     262,290,577.69       3.15      -2.35           3.33
                                                                                             个百分点
                                                                                             增加 6.62
合金产品            391,285,071.94     370,018,422.37       5.44     -33.40        -37.76
                                                                                             个百分点
                                                                                             减少 0.31
贸易业务          2,181,784,599.39   2,145,544,686.81       1.66     391.11        392.65
                                                                                             个百分点


    主营业务分行业和分产品情况的说明
        报告期内,公司努力提高产品质量,大力开拓市场,同时降低生产成本,使得电子新材料产
    品收入有所增长,毛利率有所提升,其中电极箔产品毛利率增加 3.93 个百分点,电子铝箔毛利率
    增加 3.71 个百分点;但由于铝价下跌,以铝价为定价基础的高纯铝销售收入有所下降,同时,由
    于公司 4×25MW 热电机组关停,高纯铝用电成本增加,导致毛利率下降。
        为降低运输费用,公司积极调整市场、产品结构,减少了在疆外销售的合金产品的生产,使
    得合金产品营业收入较上年下降,但由于改进生产工艺、技术以及多途径降低生产成本,毛利率
    有所增长。
        公司根据市场需求,以风险控制为前提,扩大了贸易业务量,贸易业务营业收入实现较大幅
    度增长。


    2、 主营业务分地区情况
                                                                           单位:元    币种:人民币
                    地区                        营业收入               营业收入比上年增减(%)
    境内                                         3,664,190,406.37                              91.42
    境外                                            179,905,460.01                             -4.36


    主营业务分地区情况的说明
    报告期内,公司境内营业收入增长 91.42%,主要是贸易业务收入增加所致.


    (三) 核心竞争力分析
    报告期内,公司核心竞争力未发生重大变化。


    (四) 投资状况分析
    1、 对外股权投资总体分析
                                                                         单位:万元 币种:人民币
    报告期内对外股权投资额                                                               13,579.75
    投资额增减变动数                                                                     13,579.75
    投资额增减幅度(%)                                                                      不适用

        根据公司第六届董事会 2014 年第五次临时会议决议,公司本期增加对新疆天池能源有限责任
    公司投资额 8399.75 万元,对其增资后,公司持股比例不变,仍为 14.22%;根据公司第六届董事
    会 2014 年第十次临时会议决议,公司与新疆维吾尔自治区地质矿产勘查开发局第一地质大队下属
    全资子公司吐鲁番金源矿冶有限责任公司成立合资公司——新疆众和金源镁业有限公司,该公司
    注册资本 12000 万元,首期实缴 8000 万元,其中公司出资 5200 万元,持有其 65%的股权;公司
    本期以 20 万元价格将新疆经纬众和环保科技有限公司 20 万元的出资额转让给郑州经纬实业有限
                                                 11 / 117
           600888                                                           新疆众和股份有限公司 2015 年半年度报告


       公司,转让后,公司持有新疆经纬众和环保科技有限公司出资额 490 万元,持股比例由 51%减少
       至 49%。


       (1) 证券投资情况
       √适用 □不适用
                                                              持有数                        占期末证券       报告期
            证券      证券代   证券    最初投资金额                        期末账面价值
  序号                                                          量                          总投资比例       损益
            品种        码     简称      (元)                              (元)
                                                              (股)                          (%)          (元)
            A股                交通
       1              601328              300,000.00            264,000    2,175,360.00             100      71,280
            股票               银行
  期末持有的其他证券投资                               0               /               0              0              0
  报告期已出售证券投资损益                             /               /               /              /              0
  合计                                    300,000.00                   /   2,175,360.00             100      71,280



       (2) 持有其他上市公司股权情况
       √适用 □不适用
                                                                                                          单位:元
                                                                                                                         股
                                      期初持        期末持                                     报告期所
证券代       证券      最初投资成                                                  报告期                  会计核算      份
                                      股比例        股比例         期末账面值                  有者权益
  码         简称          本                                                      损益                      科目        来
                                      (%)         (%)                                        变动
                                                                                                                         源
             交通                                                                                          可供出售
601328                 300,000.00     0.00035       0.00035       2,175,360.00     71,280       380,160
             银行                                                                                          金融资产
合计                   300,000.00              /            /     2,175,360.00     71,280       380,160              /    /


       (3) 持有金融企业股权情况
       √适用 □不适用
                                                                                               报告期                    股
                                    期初持         期末持                          报告期
所持对象名          最初投资金额                                期末账面价值                   所有者 会计核             份
                                    股比例         股比例                            损益
    称                (元)                                      (元)                       权益变 算科目             来
                                    (%)          (%)                           (元)
                                                                                               动(元)                  源
乌鲁木齐市                                                                                                  可供出
商业银行        25,204,441.00          0.86          0.86       25,442,941.00              0       0.00     售金融
                                                                                                            资产
合计                  25,204,441           /            /       25,442,941.00              0       0.00          /            /




                                                            12 / 117
        600888                                             新疆众和股份有限公司 2015 年半年度报告


   2、 非金融类公司委托理财及衍生品投资的情况
   (1) 委托理财情况
   □适用 √不适用


   (2) 委托贷款情况
   □适用 √不适用


   (3) 其他投资理财及衍生品投资情况
   □适用 √不适用



   3、 募集资金使用情况
   (1) 募集资金总体使用情况
   √适用 □不适用
                                                                          单位:元    币种:人民币
                                                                                    尚未使用募集
募集                   募集资金        本报告期已使用 已累计使用募集资金 尚未使用募
        募集方式                                                                    资金用途及去
年份                     总额          募集资金总额         总额         集资金总额
                                                                                          向
                                                                                        用于募投项目,
2011 非公开发行     1,151,348,373.57     13,585,605.79    1,165,949,697.74        173.72 存放于募集资
                                                                                             金专户
合计        /       1,151,348,373.57     13,585,605.79    1,165,949,697.74        173.72            /
                                       2011 年非公开发行募集资金项目未使用募集资金总额包含账户利
       募集资金总体使用情况说明
                                       息。




                                               13 / 117
         600888                                             新疆众和股份有限公司 2015 年半年度报告




    (2) 募集资金承诺项目情况
    √适用 □不适用
                                                                                                                               单位:元   币种:人民币
                                                                        是                                                                             变更
            是                                                          否                                                                             原因
            否                                                          符    项                                是否                                   及募
承诺项目    变    募集资金拟投入金   募集资金本报    募集资金累计实际   合    目     预计收益                   符合                                   集资
                                                                                                 产生收益情况           未达到计划进度和收益说明
  名称      更            额         告期投入金额        投入金额       计    进     (万元)                   预计                                   金变
            项                                                          划    度                                收益                                   更程
            目                                                          进                                                                             序说
                                                                        度                                                                             明
                                                                                                                       受国内外经济形势及电子新材
                                                                                                 已投产部分生          料产品市场变化的影响,为降
电子材料
                                                                                                 产线 2015 年          低投资风险,公司放缓了募集
循环经济
           否     1,151,348,373.57   13,585,605.79   1,165,949,697.74   否    96%    20,644.44   上半年实现效   否     资金项目建设进度;因产品价       /
产业化项
                                                                                                 益 2,330.35           格下降及需求不足,募集资金
目(一期)
                                                                                                 万元                  项目已投产部分未实现预计收
                                                                                                                       益。
  合计       /    1,151,348,373.57   13,585,605.79   1,165,949,697.74    /       /   20,644.44        /          /                 /                    /
                                         项目进度为工程形象进度。截至 2015 年上半年末,年产 2 万吨高纯铝生产线中的 1 万吨高纯铝生产线、年产 1200 万平
 募集资金承诺项目使用情况说明
                                     方米化成箔生产线以及年产 2 万吨环保型电子铝箔项目主要生产设施已投入生产。


    (3) 募集资金变更项目情况
    □适用 √不适用



                                                                          14 / 117
      600888                                           新疆众和股份有限公司 2015 年半年度报告


 4、 主要子公司、参股公司分析
                                                                  单位:万元 币种:人民币

                                注册资
      公司名称      持股比例                总资产       净资产       营业收入        净利润
                                  本

新疆众和进出口有
                      100%        2,000    47,385.29     3,872.42    168,005.21       1,396.52
限公司

新疆众和现代物流
                      100%        2,000    9,009.03      2,878.12     19,287.67          702.65
有限责任公司

特变电工新疆能源
                     14.22%      10,000    37,451.64    17,417.00     10,747.20       2,729.95
有限公司


新疆天池能源有限
                     14.22%      77,000   410,787.80 157,921.98       82,048.92       2,960.56
责任公司




 5、 非募集资金项目情况
 □适用 √不适用



 二、利润分配或资本公积金转增预案

 (一) 报告期实施的利润分配方案的执行或调整情况
 无

 (二) 半年度拟定的利润分配预案、公积金转增股本预案
 无

 三、其他披露事项

 (一) 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
      的警示及说明
 √适用 □不适用
     预计公司年初至下一报告期期末的累计净利润可能为盈利,主要原因为公司积极开展抓市场、
 调结构、降成本等工作,使得近年投产的甘泉堡工业园区的主要产品的质量、结构逐步得到改善
 和调整,各项成本费用实现一定幅度降低;以及确认对参股公司的投资收益,收到的政府补助同
 比增加。

 (二) 董事会、监事会对会计师事务所“非标准审计报告”的说明
 □适用 √不适用




                                          15 / 117
                600888                                             新疆众和股份有限公司 2015 年半年度报告


                                              第五节       重要事项
             一、重大诉讼、仲裁和媒体普遍质疑的事项

             □适用 √不适用

             二、破产重整相关事项

             □适用 √不适用

             三、资产交易、企业合并事项

             □适用 √不适用

             四、公司股权激励情况及其影响

             □适用 √不适用

             五、重大关联交易

             √适用 □不适用
             (一) 与日常经营相关的关联交易
             1、 已在临时公告披露,但有后续实施的进展或变化的事项


                                                                            单位:万元    币种:人民币
                          关联                                                  占同类交
                                    关联交                        关联交易金                关联交易结算方
关联交易方     关联关系   交易                关联交易定价原则                  易金额的
                                    易内容                            额                          式
                          类型                                                比例(%)
               第一大股   购买               参考市场价格经双方                           次月以电子汇兑
新疆天池能
               东特变电   燃料               协商确定,如燃煤市                           或银行承兑汇票
源有限责任                          动力煤                            301.91         3.41
               工之控股   和动               场情况出现较大变化                           方式结清全部款
  公司
                 子公司   力                 时,双方可协商解决                           项
               第一大股   购买               参考市场价格经双方                           次月以电子汇兑
新疆准东矿
               东特变电   燃料               协商确定,如燃煤市                           或银行承兑汇票
业投资有限                          动力煤                          1,768.30        20.00
               工之控股   和动               场情况出现较大变化                           方式结清全部款
  公司
                 孙公司   力                 时,双方可协商解决                           项
                                                                                          收到增值税专用
               第一大股
新疆新特能                购买                                                            发票后十个工作
               东特变电                      参考市场价格经双方
源物流有限                原材      工业硅                          1,260.54          100 日内以银行承兑
               工之控股                      协商确定
  公司                    料                                                              汇票方式结清全
                 孙公司
                                                                                          部款项
                                             按照采购订单发货之                           收货并开具发票
                                             日至送货完毕之日期                           一个月以内,以电
特变电工股     第一大股   销售
                                    铝制品   间的铝锭长江现货平     5,009.27        27.02 子汇兑或银行承
份有限公司         东     产品
                                             均价格为基础,每吨                           兑汇票方式结清
                                             上浮 460-500 元                              全部款项
特变电工山     第一大股                      按照采购订单发货之                           收货并开具发票
东鲁能泰山     东特变电   销售               日至送货完毕之日期                           一个月以内,以电
                                    铝制品                          2,799.96        15.10
电缆有限公     工之控股   产品               间的铝锭长江现货平                           子汇兑或银行承
    司           子公司                      均价格为基础,每吨                           兑汇票方式结清
                                                       16 / 117
                 600888                                           新疆众和股份有限公司 2015 年半年度报告


                                            上浮 460-500 元                                  全部款项


                                                                                             预付一定金额保
                 第一大股                                                                    证金,每月 20 日
新疆新特国
                 东特变电   销售   铝合金   价格暂定 15,900 元/                              前以现金及银行
际物流有限                                                            40.08         0.53
                 工之控股   产品     杆     吨,含包装费和税费                               承兑汇票方式结
  公司
                   子公司                                                                    清上月已发货货
                                                                                             款
                                                                                             预付一定金额保
                 第一大股                                                                    证金,每月 20 日
新疆特变电
                 东特变电   销售   铝合金   价格暂定 15,900 元/                              前以现金及银行
工国际贸易                                                         5,993.05        92.17
                 工之控股   产品     杆     吨,含包装费和税费                               承兑汇票方式结
有限公司
                   子公司                                                                    清上月已发货货
                                                                                             款
                 第一大股
特变电工新
                 东特变电   销售   太阳能   按照市场价格进行招
疆新能源股                                                                             100   按项目进度支付
                 工之控股   产品   支架     投标确定               1,413.99
份有限公司
                   孙公司
                                            以采购订单日铜的长
特变电工股       第一大股   销售            江现货平均价格为基
                                   铜杆                            3,089.14            100   现款现货
份有限公司           东     产品            础,每吨上浮 1400
                                            元
                 第一大股
新疆特变电
                 东之第一                                                                    采用电汇、支票或
工房地产开                  销售   铝合金   参考市场价格经双方
                 大股东之                                            874.71        30.80     银行承兑汇票的
发有限责任                  产品   门、窗   协商确定
                 全资子公                                                                    方式支付货款
  公司
                     司
                     合计                            /            22,550.96        /                /


             2、 临时公告未披露的事项
             □适用 √不适用

             (二) 共同对外投资的重大关联交易
             1、 已在临时公告披露,但有后续实施的进展或变化的事项
                 2014 年 9 月 29 日,公司召开第六届董事会 2014 年第五次临时会议,审议通过了《公司关于
             对新疆天池能源有限责任公司增资的议案》,第一大股东特变电工股份有限公司与公司拟对新疆
             天池能源有限责任公司同比例增资,其中特变电工股份有限公司以货币资金 50,670.25 万元增资,
             本公司以货币资金 8,399.75 万元增资。2015 年 1 月,该增资方案实施完毕。

             2、 临时公告未披露的事项
             □适用 √不适用

             六、重大合同及其履行情况

             1    托管、承包、租赁事项
             □适用 √不适用



                                                      17 / 117
    600888                                                     新疆众和股份有限公司 2015 年半年度报告


2      担保情况
√适用 □不适用
                                                                单位: 万元 币种: 人民币
                        公司对外担保情况(不包括对子公司的担保)
报告期内担保发生额合计(不包括对子公司                                                 0
的担保)
报告期末担保余额合计(A)(不包括对子                                                  0
公司的担保)
                                  公司对子公司的担保情况
报告期内对子公司担保发生额合计                                                                 29,063.76
报告期末对子公司担保余额合计(B)                                                              33,963.76
                             公司担保总额情况(包括对子公司的担保)
担保总额(A+B)                                                                                33,963.76

担保总额占公司净资产的比例(%)                                                                       10.62
其中:
为股东、实际控制人及其关联方提供担保的                                                                  0
金额(C)
直接或间接为资产负债率超过70%的被担保                                                          29,063.76
对象提供的债务担保金额(D)
担保总额超过净资产50%部分的金额(E)                                                                    0
上述三项担保金额合计(C+D+E)                                                                  29,063.76
担保情况说明                                   2015年度,公司为全资子公司新疆众和进出口有限公
                                           司、新疆众和现代物流有限责任公司及新疆五元电线电缆
                                           有限公司向银行办理银行承兑、信用证、借款等业务提供
                                           担保,担保总额分别不超过3亿元人民币、8亿元人民币和
                                           8000万元人民币。




七、承诺事项履行情况

√适用 □不适用
(一)     上市公司、持股 5%以上的股东、控股股东及实际控制人在报告期内或持续到报告期内的承
         诺事项
                                                                                  如未能及     如未能
                                                                  是否    是否
                                                        承诺时                    时履行应     及时履
承诺背     承诺                                                   有履    及时
                   承诺方         承诺内容              间及期                    说明未完     行应说
  景       类型                                                   行期    严格
                                                          限                      成履行的     明下一
                                                                    限    履行
                                                                                  具体原因     步计划
                             公司 2007 年度非公
                             开发行股票时,公司
                             第一大股东特变电工
与再融            特变电工
                             股份有限公司在
资相关     其他   股份有限                              长期       否      是
                             2007 年 3 月承诺:以
的承诺            公司
                             后不直接或间接从事
                             与公司有同业竞争的
                             业务。目前承诺事项

                                             18 / 117
     600888                                           新疆众和股份有限公司 2015 年半年度报告


                           正在履行中。



八、聘任、解聘会计师事务所情况

□适用 √不适用



九、上市公司及其董事、监事、高级管理人员、持有 5%以上股份的股东、实际控制人、收购人
       处罚及整改情况

□适用 √不适用

十、可转换公司债券情况

□适用 √不适用

十一、公司治理情况
    公司严格按照《公司法》、《证券法》、《上市公司治理准则》等规定,建立了较为完善的
法人治理结构,股东大会、董事会、监事会、经营管理层权责分明、相互协调、有效制衡。公司
制定了健全、完备的公司章程、股东大会、董事会、监事会及各专业委员会议事规则、独立董事
工作制度、总经理工作细则等,明确了各方的职责权限和工作规程,确保决策、执行和监督相互
分离。报告期内,公司第六届董事会和第六届监事会任期届满,根据《公司法》、《公司章程》
的有关规定,公司进行了换届选举;经公司 2015 年第二次临时股东大会审议,以累积投票制方式
选举产生公司第七届董事会和第七届监事会。
    公司法人治理结构较为完善,法人治理的实际状况与《公司法》和中国证监会相关规定的要
求相符。

十二、其他重大事项的说明

(一) 董事会对会计政策、会计估计或核算方法变更的原因和影响的分析说明
□适用 √不适用

(二) 董事会对重要前期差错更正的原因及影响的分析说明
□适用 √不适用




                         第六节      股份变动及股东情况
一、 股本变动情况

(一)    股份变动情况表
1、 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。
2、 股份变动情况说明



                                          19 / 117
                 600888                                             新疆众和股份有限公司 2015 年半年度报告


            3、 报告期后到半年报披露日期间发生股份变动对每股收益、每股净资产等财务指标的影响(如
            有)
            无

            4、 公司认为必要或证券监管机构要求披露的其他内容
            无

            (二)   限售股份变动情况
            □适用 √不适用

            二、 股东情况

            (一)   股东总数:
            截止报告期末股东总数(户)                                                                62,353



            (二)   截止报告期末前十名股东、前十名流通股东(或无限售条件股东)持股情况表
                                                                                                   单位:股
前十名股东持股情况
                                                                             持有有    质押或冻
股东名称                                                                     限售条    结情况
                                报告期内增减       期末持股数量    比例(%)                          股东性质
(全称)                                                                     件股份    股份 数
                                                                             数量      状态 量
                                                                                                    境内非国有
特变电工股份有限公司                           0     180,434,922     28.14         0   无
                                                                                                    法人
                                                                                                    境内非国有
云南博闻科技实业股份有限公司      -14,922,259         68,060,065     10.61         0   无
                                                                                                    法人
新疆凯迪投资有限责任公司                       0       7,800,000      1.22         0   无           国有法人
中融国际信托有限公司-汇鑫 1
                                               0       7,449,500      1.16         0   无           未知
号证券投资单一资金信托
                                                                                                    境内非国有
新疆宏联创业投资有限公司               -180,000        5,666,169      0.88         0   无
                                                                                                    法人
中国光大银行股份有限公司-摩
根士丹利华鑫资源优选混合型证          5,000,031        5,000,031      0.78         0   无           未知
券投资基金
中融国际信托有限公司-中融-
聚盈 1 号证券投资集合资金信托         4,927,179        4,927,179      0.77         0   无           未知
计划
中国工商银行股份有限公司-招
                                  -11,912,778          4,875,975      0.76         0   无           未知
商大盘蓝筹股票型证券投资基金
中融国际信托有限公司-中融-
金弛一号证券投资集合资金信托          3,958,764        3,958,764      0.62         0   无           未知
计划
蒋亦飞                                3,518,347        3,518,347      0.55         0   无           境内自然人
前十名无限售条件股东持股情况
                                                   持有无限售条件流通股的     股份种类及数量
股东名称
                                                   数量                       种类           数量
特变电工股份有限公司                                           180,434,922    人民币普通股     180,434,922
                                                        20 / 117
               600888                                               新疆众和股份有限公司 2015 年半年度报告


云南博闻科技实业股份有限公司                                    68,060,065    人民币普通股          68,060,065
新疆凯迪投资有限责任公司                                         7,800,000    人民币普通股           7,800,000
中融国际信托有限

 
 
[需要查看更多数据,请免费试用钢联数据]

相关文章

关于钢联 | 数据服务 | 联系我们 | 会员注册 | 技术支持 | 投资者关系
钢联旗下网站:大宗商品网 | 我的钢铁 | 搜搜钢 | 钢银现货交易 | 我的有色 | 我的不锈钢 | 我的农产品 | 百年建筑 | English
© 2000-2015 mymetal.net, All Rights Reserved.
上海钢联电子商务股份有限公司 版权所有 增值电信业务经营许可证沪B2-20090056   沪ICP备15006920号
»¦¹«θ±¸ 310104031210