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博朗環(huán)境:2013年半年度報(bào)告

2013-11-05 16:54:37  

博朗環(huán)境(430050)2013年半年度報(bào)告
 
 
 
            北京博朗環(huán)境工程技術(shù)股份有限公司2013年半年度報(bào)告

    目錄 
    基本信息 
    1 公司概覽                                   4 
    2  主要會(huì)計(jì)數(shù)據(jù)與關(guān)鍵指標(biāo)                     5 
    3  管理層討論與分析                           6 
    財(cái)務(wù)信息 
    4  財(cái)務(wù)報(bào)表                                  8 
    5 財(cái)務(wù)報(bào)表附注                               12 
    非財(cái)務(wù)信息 
    6  重要事項(xiàng)                                  29 
    7  股本變動(dòng)及股東情況                        31 
    8  董事、監(jiān)事、高管及核心員工情況 33 
    聲明與提示
    公司董事會(huì)及其董事、監(jiān)事會(huì)及其監(jiān)事、公司高級(jí)管理人員是否保證本報(bào)告所載資料不存在任何虛假記載、誤導(dǎo)性陳述或者重大遺漏,并對(duì)其內(nèi)容的真實(shí)性、準(zhǔn)確性和完整性承擔(dān)個(gè)別及連帶責(zé)任。是   √  否公司負(fù)責(zé)人、主管會(huì)計(jì)工作負(fù)責(zé)人及會(huì)計(jì)機(jī)構(gòu)負(fù)責(zé)人(會(huì)計(jì)主管人員)是否保證半年度報(bào)告中財(cái)務(wù)信息的真實(shí)、完整。                                                                     是    √    否
    基本信息—公司概覽
    1 公司概覽
    法定代表人                            周松濤 
    北京市海淀區(qū)北四環(huán)中路229     號(hào)海泰大廈 
    注冊(cè)地址 
    公 司                                                   620 室 
    北京市海淀區(qū)北四環(huán)中路229     號(hào)海泰大廈 
    辦公地址 
    信 息                                                   620 室 
    主辦券商                               國(guó)海證券股份有限公司 
    會(huì)計(jì)師事務(wù)所                          無(wú) 
    董事會(huì)秘書(shū)或信息披露事務(wù)負(fù)責(zé)人        羅娜 
    聯(lián)             電話                                  010-82884331 
    傳真                                  010-82885106 
    系 
    電子郵箱                              luona@bolang.com.cn 
    北京市海淀區(qū)北四環(huán)中路229     號(hào)海泰大廈 
    人             聯(lián)系地址 
    620 室 
    股份公司成立時(shí)間                      2003 年7 月31  日 
    掛牌時(shí)間                              2009 年2 月18 日 
    行業(yè)分類(lèi)                              廢棄資源綜合利用業(yè) 
    運(yùn)                                                   用專(zhuān)業(yè)而先進(jìn)的技術(shù)為固體廢棄物的減量 
    主要產(chǎn)品與服務(wù)項(xiàng)目
    營(yíng)                                                   化、無(wú)害化、資源化提供系統(tǒng)解決方案。
    總股本                                4000 萬(wàn)股 
    概             無(wú)限售條件的股份數(shù)量                  3622.2596 萬(wàn)股 
    控股股東、實(shí)際控制人及持股比例        實(shí)際控制人周松濤持股比例40.09% 
    況             截至報(bào)告期末的股東人數(shù)                 15 人 
    員工人數(shù)(包含子公司)                41 人 
    是否擁有高新技術(shù)企業(yè)資格              是 
    公司擁有的重要經(jīng)營(yíng)資質(zhì)                環(huán)保工程專(zhuān)業(yè)承包三級(jí)資質(zhì)、安全許可資質(zhì) 
    公司依托中國(guó)科學(xué)院工程熱物理研究所(IET)以及中科院清潔能源技術(shù)發(fā)
    自              展中心(CCET)進(jìn)行一系列環(huán)保技術(shù)的研發(fā),是IET在這一領(lǐng)域唯一的技術(shù)研發(fā)
    成果產(chǎn)業(yè)化推廣與應(yīng)用平臺(tái)。公司的合作方上海環(huán)信環(huán)境工程公司擁有爐排爐技
    愿
    術(shù)、市政污泥內(nèi)循環(huán)流化床處理技術(shù)和工業(yè)廢物處理技術(shù);公司的合作方上海玉
    披              壘環(huán)境生物有限公司擁有中國(guó)唯一建有企標(biāo)的工業(yè)級(jí)馴化型環(huán)境生物制劑的技
    術(shù)等。通過(guò)與以上合作方的技術(shù)合作和共同開(kāi)發(fā),我公司可以得到源源不斷的技
    露
    術(shù)支持。
    基本信息—主要會(huì)計(jì)數(shù)據(jù)與關(guān)鍵指標(biāo)
    2 主要會(huì)計(jì)數(shù)據(jù)與關(guān)鍵指標(biāo)
    本期          上年同期       增減比例(%) 
    營(yíng)業(yè)收入                                 20,000,000.00    29,610,256.40   -32.46 
    盈利              毛利率                                   26.19%           17.50%          49.66 
    能力              歸屬于掛牌公司股東的凈利潤(rùn)               102,780.41       105,065.79      -2.18 
    加權(quán)平均凈資產(chǎn)收益率                     0.11             0.12            -8.33 
    基本每股收益(元/股)                    0.003            0.003           - 
    本期期末         上年度期末      增減比例 (%) 
    償債              總資產(chǎn)                                  165,436,272.23    151,075,320.77    9.51 
    歸屬于掛牌公司股東的每股凈資產(chǎn)          2.34              2.34             - 
    能力              資產(chǎn)負(fù)債率                              43.34             38.02             13.99 
    流動(dòng)比率                                2.21              2.50             -11.60 
    利息保障倍數(shù)                            1.07              3.72             -71.24 
    本期            上年同期      增減比例 (%) 
    營(yíng)運(yùn)              經(jīng)營(yíng)活動(dòng)產(chǎn)生的現(xiàn)金流量?jī)纛~               14,879,669.23   -10,411,144.93    - 
    情況              應(yīng)收賬款周轉(zhuǎn)率                           0.45            0.79              -43.04% 
    存貨周轉(zhuǎn)率                               0.52            1.56              -66.67% 
    本期         上年同期      增減比例 (%) 
    成長(zhǎng)              總資產(chǎn)增長(zhǎng)率                               9.51%           3.24%           193.52 
    情況              營(yíng)業(yè)收入增長(zhǎng)率                             -32.46%         199.09%        - 
    凈利潤(rùn)增長(zhǎng)率                               -2.18%          327.02%        - 
    無(wú)
    自愿
    披露
    基本信息—管理層討論與分析
    3  管理層討論與分析
    本公司是處于環(huán)保產(chǎn)業(yè)的服務(wù)提供商,擁有自主知識(shí)產(chǎn)權(quán)和強(qiáng)大的技術(shù)
    商             深度研發(fā)支持、優(yōu)越的股東背景、良好的工程技術(shù)集成能力及工程業(yè)績(jī),為
    投資運(yùn)營(yíng)企業(yè)提供工程建設(shè)、設(shè)備安裝和技術(shù)支持服務(wù),以及市場(chǎng)開(kāi)發(fā)咨詢(xún)
    業(yè)
    服務(wù)等系統(tǒng)的、多元化的固體廢物處理的整體解決方案。公司通過(guò)依靠強(qiáng)大模             的股東資源,以點(diǎn)帶面,片區(qū)突破的方式開(kāi)拓業(yè)務(wù),收入來(lái)源是技術(shù)咨詢(xún)服式             務(wù)收入、工程建設(shè)收入。
    報(bào)告期內(nèi),公司的商業(yè)模式較上年度相比無(wú)變化。
    報(bào)告期內(nèi),公司根據(jù)年初制定的經(jīng)營(yíng)指標(biāo)和工作計(jì)劃,整體經(jīng)營(yíng)狀況良好。武漢項(xiàng)目按既定計(jì)劃順利完成三爐兩機(jī)的72+24測(cè)試,目前正在準(zhǔn)備最終的環(huán)保驗(yàn)收及竣工結(jié)算。圍繞年初制定的“一體兩翼”戰(zhàn)略,公司積極開(kāi)拓有機(jī)垃圾市場(chǎng),上海閔行餐廚垃圾處理BT 項(xiàng)目在報(bào)告期內(nèi)進(jìn)入施工階段,預(yù)計(jì)9 月中旬竣工。
    報(bào)告期內(nèi)實(shí)現(xiàn)銷(xiāo)售收入2000 萬(wàn)元,與上年同期相比下降32.46%;凈利經(jīng)             潤(rùn)10.28 萬(wàn)元,與上年同期相比下降2.18%。主營(yíng)業(yè)務(wù)成本率較去年同期下?tīng)I(yíng)             降10.53%,主要是由于去年同期實(shí)現(xiàn)741萬(wàn)元剩余存貨改造銷(xiāo)售收入的成本情             率約90%,而本期實(shí)現(xiàn)的武漢項(xiàng)目收入的成本率為73.81%。
    報(bào)告期內(nèi),公司總資產(chǎn)為 16543.63 萬(wàn)元,與期初相比增加9.05%;主況             要是由于流動(dòng)資產(chǎn)較期初增加 10.29%,固定資產(chǎn)與無(wú)形資產(chǎn)較期初有所減少,系計(jì)提折舊、攤銷(xiāo)所致。公司負(fù)債總額為7169.93萬(wàn)元,全部為流動(dòng)負(fù)債,與期初相比增加24.82%,主要是由于短期拆借資金用于償還招行到期貸款所致。截止本報(bào)告期公司資產(chǎn)負(fù)債率43.34%,流動(dòng)比率2.21。報(bào)告期內(nèi)經(jīng)營(yíng)活動(dòng)產(chǎn)生的現(xiàn)金流期末較期初變動(dòng)較大,一方面是由于收回武漢項(xiàng)目工程款,另一方面是由于補(bǔ)充流動(dòng)資金周轉(zhuǎn)而新增往來(lái)款所致。
    公司在保持主營(yíng)業(yè)務(wù)的基礎(chǔ)上,積極拓展新項(xiàng)目及業(yè)務(wù)模式轉(zhuǎn)型。報(bào)告期內(nèi)利潤(rùn)構(gòu)成、主營(yíng)業(yè)務(wù)或其結(jié)構(gòu)、主營(yíng)業(yè)務(wù)盈利能力等未發(fā)生重大變化。
    基本信息—管理層討論與分析
    公司2012年年度報(bào)告中披露的風(fēng)險(xiǎn)因素及公司應(yīng)對(duì)措施存續(xù)至本報(bào)告期,基本無(wú)變化,要點(diǎn)如下:
    1、資金短缺的風(fēng)險(xiǎn)
    公司處于工程技術(shù)服務(wù)行業(yè),項(xiàng)目前期需要投入大量資金采購(gòu)工程所需設(shè)備和物資,此外,公司項(xiàng)目開(kāi)發(fā)、市場(chǎng)投入等均需要較大的資金支持??傮w來(lái)看,未來(lái)仍然可能面臨資金短缺的風(fēng)險(xiǎn)。公司正通過(guò)定向發(fā)行、加大工程款回收力度、預(yù)算管理等辦法增強(qiáng)自有資金實(shí)力、調(diào)整資本結(jié)構(gòu)。
    2、項(xiàng)目數(shù)量較少,對(duì)單一項(xiàng)目依賴(lài)的風(fēng)險(xiǎn)
    公司近年主要收入來(lái)源于武漢項(xiàng)目,存在收入來(lái)源比較單一,對(duì)單一項(xiàng)風(fēng)             目依賴(lài)的風(fēng)險(xiǎn)。公司通過(guò)充分利用國(guó)家環(huán)保和節(jié)能減排優(yōu)惠政策,依托股東險(xiǎn)             資源、開(kāi)拓新項(xiàng)目,初顯成效。
    3、市場(chǎng)開(kāi)拓風(fēng)險(xiǎn)及對(duì)策
    與
    市場(chǎng)開(kāi)發(fā)網(wǎng)絡(luò)規(guī)模小、資源有限。公司擬通過(guò)增資擴(kuò)股,融通資金,擴(kuò)價(jià)             大市場(chǎng)網(wǎng)絡(luò)和開(kāi)發(fā)規(guī)模;與大型環(huán)保投資集團(tuán)聯(lián)合,優(yōu)勢(shì)互補(bǔ),共同拓展市值            場(chǎng)。同時(shí),加大技術(shù)研發(fā)、引進(jìn)消化吸收國(guó)內(nèi)外先進(jìn)技術(shù),在餐廚垃圾、果蔬垃圾等有機(jī)垃圾處理及其工業(yè)廢物處置領(lǐng)域形成特色技術(shù),提升細(xì)分市場(chǎng)份額。
    4、技術(shù)風(fēng)險(xiǎn)及對(duì)策
    垃圾發(fā)電行業(yè)技術(shù)多樣化與差異性并存,為市場(chǎng)提供了選擇技術(shù)的空間,使技術(shù)競(jìng)爭(zhēng)日趨激烈。目前,博朗在建項(xiàng)目主要采用循環(huán)流化床焚燒發(fā)電技術(shù)和“BPY”濕解制肥技術(shù),技術(shù)產(chǎn)品還不夠豐富,不能完全滿足不同用戶的需要。公司不斷加大研發(fā)投入,繼續(xù)創(chuàng)新,保持核心技術(shù)競(jìng)爭(zhēng)優(yōu)勢(shì),提高技術(shù)適用性,重點(diǎn)集成爐排爐焚燒技術(shù),一般工業(yè)廢物焚燒技術(shù)、有機(jī)垃圾生物處理技術(shù)等。為市場(chǎng)提供多樣化先進(jìn)技術(shù)工藝,整體提升公司的競(jìng)爭(zhēng)力,以有效降低技術(shù)競(jìng)爭(zhēng)帶來(lái)的風(fēng)險(xiǎn)。
    財(cái)務(wù)信息—財(cái)務(wù)報(bào)表(資產(chǎn)負(fù)債表)
    4  財(cái)務(wù)報(bào)表
    4-1 資產(chǎn)負(fù)債表(未經(jīng)審計(jì))
    編制單位:北京博朗環(huán)境工程技術(shù)股份有限公司            2013 年6 月30  日         金額單位:人民幣元
    資產(chǎn)                    附注            2013.6.30                 2012.12.31 
    流動(dòng)資產(chǎn): 
    貨幣資金                                  1                  18,458,304.21            5,433,788.98 
    交易性金融資產(chǎn) 
    應(yīng)收票據(jù) 
    應(yīng)收賬款                                  2                  48,684,853.47           39,672,949.36 
    預(yù)付款項(xiàng)                                  3                  29,961,192.33           40,037,747.33 
    應(yīng)收利息                                                                -                        - 
    應(yīng)收股利                                                                -                        - 
    其他應(yīng)收款                                4                  20,926,824.89           22,068,434.40 
    存貨                                      5                  40,386,117.57           36,427,019.83 
    一年內(nèi)到期的非流動(dòng)資產(chǎn) 
    其他流動(dòng)資產(chǎn) 
    流動(dòng)資產(chǎn)合計(jì)                                     158,417,292.47          143,639,939.90 
    非流動(dòng)資產(chǎn): 
    可供出售金融資產(chǎn) 
    持有至到期投資 
    長(zhǎng)期應(yīng)收款 
    長(zhǎng)期股權(quán)投資                              6                   2,400,000.00            2,400,000.00 
    投資性房地產(chǎn) 
    固定資產(chǎn)                                  7                    470,101.85               573,404.43 
    在建工程 
    工程物資 
    固定資產(chǎn)清理 
    生產(chǎn)性生物資產(chǎn) 
    油氣資產(chǎn) 
    無(wú)形資產(chǎn)                                  8                   3,121,200.00            3,434,298.53 
    開(kāi)發(fā)支出 
    商譽(yù) 
    長(zhǎng)期待攤費(fèi)用 
    遞延所得稅資產(chǎn)                            9                   1,027,677.91            1,027,677.91 
    其他非流動(dòng)資產(chǎn) 
    非流動(dòng)資產(chǎn)合計(jì)                                      7,018,979.76            7,435,380.87 
    資產(chǎn)總計(jì)                                       165,436,272.23          151,075,320.77 
    法定代表人:周松濤                                    財(cái)務(wù)負(fù)責(zé)人:王利霞 
    財(cái)務(wù)信息—財(cái)務(wù)報(bào)表(資產(chǎn)負(fù)債表)(續(xù)表)
    4-1 資產(chǎn)負(fù)債表 (未經(jīng)審計(jì))(續(xù)表)
    編制單位:北京博朗環(huán)境工程技術(shù)股份有限公司             2013 年6 月30  日         金額單位:人民幣元
    負(fù)債和股東權(quán)益             附注              2013.6.30                     2012.12.31 
    流動(dòng)負(fù)債: 
    短期借款                          10                    46,000,000.00                   46,000,000.00 
    交易性金融負(fù)債                                                     -                               - 
    應(yīng)付票據(jù)                                                           -                               - 
    應(yīng)付賬款                          11                    12,911,912.54                    9,688,900.98 
    預(yù)收款項(xiàng) 
    應(yīng)付職工薪酬                      12                      255,210.71                      234,482.83 
    應(yīng)交稅費(fèi)                          13                      526,775.77                     1,507,306.86 
    應(yīng)付利息                                                           -                               - 
    應(yīng)付股利                                                           -                               - 
    其他應(yīng)付款                        14                    12,005,404.26                       10,441.56 
    一年內(nèi)到期的非流動(dòng)負(fù)債 
    其他流動(dòng)負(fù)債                      15 
    流動(dòng)負(fù)債合計(jì)                                      71,699,303.28                   57,441,132.23 
    非流動(dòng)負(fù)債: 
    長(zhǎng)期借款 
    應(yīng)付債券 
    長(zhǎng)期應(yīng)付款 
    專(zhuān)項(xiàng)應(yīng)付款 
    預(yù)計(jì)負(fù)債 
    遞延所得稅負(fù)債 
    其他非流動(dòng)負(fù)債 
    非流動(dòng)負(fù)債合計(jì) 
    負(fù)債合計(jì)                                       71,699,303.28                   57,441,132.23 
    所有者權(quán)益(或股東權(quán)益): 
    股本                              16                    40,000,000.00                   40,000,000.00 
    資本公積                          17                    10,340,544.99                   10,340,544.99 
    減:庫(kù)存股 
    專(zhuān)項(xiàng)儲(chǔ)備 
    盈余公積                          18                     4,426,887.24                    4,426,887.24 
    未分配利潤(rùn)                        19                    38,969,536.72                   38,866,756.31 
    股東權(quán)益合計(jì)                                      93,736,968.95                   93,634,188.54 
    負(fù)債和股東權(quán)益總計(jì)                                  165,436,272.23                  151,075,320.77 
    法定代表人:周松濤                                              財(cái)務(wù)負(fù)責(zé)人:王利霞 
    財(cái)務(wù)信息—財(cái)務(wù)報(bào)表(利潤(rùn)表)
    4-2  利潤(rùn)表 (未經(jīng)審計(jì))
    編制單位:北京博朗環(huán)境工程技術(shù)股份有限公司             2013 年1-6 月           金額單位:人民幣元
    項(xiàng)目                   附注          2013年1-6 月                  2012年1-6 月 
    一、營(yíng)業(yè)收入                          20                 20,000,000.00                    29,610,256.40 
    減:營(yíng)業(yè)成本                          20                  14,761,485.83                   24,429,230.76 
    營(yíng)業(yè)稅金及附加                      21                     54,496.93                        39,632.76 
    銷(xiāo)售費(fèi)用                                                  628,858.05                       699,424.58 
    管理費(fèi)用                                                 2,517,857.73                    2,573,258.55 
    財(cái)務(wù)費(fèi)用                            22                   1,921,383.33                    1,748,958.92 
    資產(chǎn)減值損失 
    加:公允價(jià)值變動(dòng)收益(損失以“-” 
    號(hào)填列) 
    投資收益(損失以“-”號(hào)填列) 
    其中:對(duì)聯(lián)營(yíng)企業(yè)和合營(yíng)企業(yè)的 
    投資收益 
    二、營(yíng)業(yè)利潤(rùn)(虧損以“-”號(hào)填列)                           115,918.13                       119,750.83 
    加:營(yíng)業(yè)外收入                        23                       5,000.00                       10,850.00 
    減:營(yíng)業(yè)外支出
    其中:非流動(dòng)資產(chǎn)處置損失
    三、利潤(rùn)總額(虧損總額以“-”號(hào)填
    列)                                                        120,918.13                       130,600.83 
    減:所得稅費(fèi)用                        24                      18,137.72                       25,535.04 
    四、凈利潤(rùn)(凈虧損以“-”號(hào)填列)                           102,780.41                       105,065.79 
    五、每股收益: 
    (一)基本每股收益                                            0.003                            0.003 
    (二)稀釋每股收益                                            0.003                            0.003 
    六、其他綜合收益
    七、綜合收益總額                                            102,780.41                       105,065.79 
    法定代表人:周松濤                                        財(cái)務(wù)負(fù)責(zé)人:王利霞 
    財(cái)務(wù)信息—財(cái)務(wù)報(bào)表(現(xiàn)金流量表)
    4-3 現(xiàn)金流量表 (未經(jīng)審計(jì))
    編制單位:北京博朗環(huán)境工程技術(shù)股份有限公司            2013 年1-6 月            金額單位:人民幣元
    項(xiàng)目                             附注      2013年1-6 月      2012年1-6 月 
    一、經(jīng)營(yíng)活動(dòng)產(chǎn)生的現(xiàn)金流量: 
    銷(xiāo)售商品、提供勞務(wù)收到的現(xiàn)金                                          14,388,096.03 
    收到的稅費(fèi)返還                                                                   -                  - 
    收到其他與經(jīng)營(yíng)活動(dòng)有關(guān)的現(xiàn)金                               25         58,249,938.15     22,192,211.15 
    經(jīng)營(yíng)活動(dòng)現(xiàn)金流入小計(jì)                                                  72,638,034.18     22,192,211.15 
    購(gòu)買(mǎi)商品、接受勞務(wù)支付的現(xiàn)金                                           7,366,876.03      11,589,834.15 
    支付給職工以及為職工支付的現(xiàn)金                                         1,299,257.71       1,169,176.50 
    支付的各項(xiàng)稅費(fèi)                                                         1,507,306.86       1,602,622.05 
    支付其他與經(jīng)營(yíng)活動(dòng)有關(guān)的現(xiàn)金                               26         47,584,924.35      18,241,723.38 
    經(jīng)營(yíng)活動(dòng)現(xiàn)金流出小計(jì)                                                  57,758,364.95     32,603,356.08 
    經(jīng)營(yíng)活動(dòng)產(chǎn)生的現(xiàn)金流量?jī)纛~                               14,879,669.23     -10,411,144.93 
    二、投資活動(dòng)產(chǎn)生的現(xiàn)金流量: 
    收回投資收到的現(xiàn)金 
    取得投資收益收到的現(xiàn)金 
    處置固定資產(chǎn)、無(wú)形資產(chǎn)和其他長(zhǎng)期資產(chǎn)收回的現(xiàn)金凈額 
    處置子公司及其他營(yíng)業(yè)單位收到的現(xiàn)金凈額 
    收到其他與投資活動(dòng)有關(guān)的現(xiàn)金 
    投資活動(dòng)現(xiàn)金流入小計(jì)                                      -                  - 
    購(gòu)建固定資產(chǎn)、無(wú)形資產(chǎn)和其他長(zhǎng)期資產(chǎn)支付的現(xiàn)金                            13,679.00         14,677.00 
    投資支付的現(xiàn)金 
    取得子公司及其他營(yíng)業(yè)單位支付的現(xiàn)金凈額 
    支付其他與投資活動(dòng)有關(guān)的現(xiàn)金 
    投資活動(dòng)現(xiàn)金流出小計(jì)                                    13,679.00         14,677.00 
    投資活動(dòng)產(chǎn)生的現(xiàn)金流量?jī)纛~                                  - 13,679.00        -14,677.00 
    三、籌資活動(dòng)產(chǎn)生的現(xiàn)金流量: 
    吸收投資收到的現(xiàn)金 
    取得借款收到的現(xiàn)金                                                     6,000,000.00      10,000,000.00 
    收到其他與籌資活動(dòng)有關(guān)的現(xiàn)金 
    籌資活動(dòng)現(xiàn)金流入小計(jì)                                   6,000,000.00      10,000,000.00 
    償還債務(wù)支付的現(xiàn)金                                                     6,000,000.00      10,000,000.00 
    分配股利、利潤(rùn)或償付利息支付的現(xiàn)金                                     1,713,375.00       1,534,067.65 
    支付其他與籌資活動(dòng)有關(guān)的現(xiàn)金                                             128,100.00        200,000.00 
    籌資活動(dòng)現(xiàn)金流出小計(jì)                                   7,841,475.00      11,734,

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