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特力B:2022年第三季度报告(英文版)

深圳证券交易所 2022-10-28 查看全文

特力B --%

深圳市特力(集团)股份有限公司2022年第三季度报告

Stock Code: 000025 200025 No.: 2022-049

Short Form of Stock: Tellus A Tellus B

Shenzhen Tellus Holding Co. Ltd.The Third Quarterly Report for 2022

The Company and whole members of the BOD guarantee that the information disclosed is true accurate and

complete and there are no any fictitious records misleading statements or important omissions.Important content reminder:

1. Board of Directors Supervisory Committee all directors supervisors and senior executives of Shenzhen Tellus

Holding Co. Ltd. (hereinafter referred to as the Company) hereby confirm that there are no any fictitious

statements misleading statements or important omissions carried in this report and shall take all responsibilities

individual and/or joint for the reality accuracy and completion of the whole contents.

2. Principal of the Company Person in Charge of Accounting Works and Person in Charge of Accounting Organ

(Accounting Officer) hereby confirm that the Financial Report of the Third Quarterly Report is authentic accurate

and complete.

3. Whether the Third Quarterly Report has been audited or not

□Yes √No

1深圳市特力(集团)股份有限公司2022年第三季度报告

I. Main financial data

(i) Main accounting data and financial indexes

Whether it has retroactive adjustment or re-statement on previous accounting data or not

□Yes √No

Increase/decrease from

Increase/decrease in

year-begin to period-

the period compared Year-begin to period-

Current period end compared with the

with the same period end

same period of the

of the previous year

previous year

Operating income

422203386.69208.86%672218538.9274.06%

(Yuan)

Net profit attributable to

shareholders of the listed 18637364.28 -26.75% 62117600.47 -11.24%

company (Yuan)

Net profit attributable to

shareholders of the listed

company after deducting 13393195.88 -43.00% 44416352.24 -31.76%

non-recurring gains and

losses (Yuan)

Net cash flow arising

from operating activities — — -83466878.37 -186.03%

(Yuan)

Basic earnings per share

0.0432-26.75%0.1441-11.27%

(Yuan /Share)

Diluted earnings per

0.0432-26.75%0.1441-11.27%

share (Yuan /Share)

Weighted average ROE 1.26% -0.69% 4.25% -0.95%

Increase/decrease at the period-end compared

End of current period End of previous year

with the end of the previous year

Total assets (Yuan) 2051711565.68 1859645205.43 10.33%

Net assets attributable to

shareholder of listed 1484260328.17 1432924273.45 3.58%

company (Yuan)

(ii) Items and amounts of non-recurring profit (gains)/losses

√ Applicable □ Not applicable

Unit: Yuan

Amount from year-begin to

Item Amount for the period Note

period-end

Government subsidy recorded

in current gains/losses (except

4075492.29 5651482.59 Government grants

those closely related to the

Company’s normal operation

2深圳市特力(集团)股份有限公司2022年第三季度报告

and those continuously

enjoyed on a fixed or

quantitative basis with certain

standards in accordance with

national policy regulations)

Losses/gains from changes of

fair values occurred in

holding trading financial

assets and trading financial

liabilities and investment

income obtaining from the

2869468.90 9027148.87 Financing income

disposal of trading financial

assets and trading financial

liability excluded effective

hedging business relevant

with normal operations of the

Company

Other non-operating income The breach of contract

and expenses other than the damages of rentals paid due 125917.35 421487.11

to the early assignment of

above

lease

Equity transfer of the stock-

Gain/loss of equity transfer 8785410.47

participated enterprise

Less: impact on income tax 1400136.08 5524928.54

Impact on minority

shareholders’ equity (post- 426574.06 659352.27

tax)

Total 5244168.40 17701248.23 --

Other gain/loss items that qualified the definition of non-recurring profit (gains)/losses:

□ Applicable √ Not applicable

The Company does not have other gain/loss items that qualified the definition of non-recurring profit (gains)/lossesExplanation on those non-recurring gain/loss listed in the “Q&A Announcement No.1 on Information Disclosure for CompaniesOffering Their Securities to the Public --- Extraordinary Profit/loss” defined as recurring gain/loss

□ Applicable √ Not applicableThe Company does not have the non-recurring gain/loss listed in the “Q&A Announcement No.1 on Information Disclosure forCompanies Offering Their Securities to the Public --- Extraordinary Profit/loss” defined as recurring gain/loss

(iii) Particulars about changes in items of main accounting data and financial index and explanations of

reasons

√ Applicable □Not applicable

Unit: Yuan

Balance sheet

Item Year-begin Changes

Ending balance Changes amount Changes reason

balance ratio

Monetary capital 370335836.46 240582057.16 129753779.30 53.93% Redemption of the financing products

3深圳市特力(集团)股份有限公司2022年第三季度报告

Trading financial

264276906.86 412712843.84 -148435936.98 -35.97% Redemption of the financing products

assets

Accounts The rent-free period of the lease contract

receivable is subject to the recognition of account

47369696.85 18094059.92 29275636.93 161.80% receivable over the entire leasing term in

line with the accounting standards

Accounts prepaid The prepayments from subsidiaries for

41151716.7716532227.8524619488.92148.92%

the purchase of raw materials

Other accounts The interest receivable from financial

15215833.355072970.7710142862.58199.94%

receivable management

Inventory 103189276.56 25434925.04 77754351.52 305.70% The reserve inventory of subsidiaries

Sales of the equity in stock-participated

Assets held for sale - 530520.33 -530520.33 -100.00%

enterprise

The input credits of reserve inventory

Other current assets 14034531.40 8596585.57 5437945.83 63.26%

from subsidiaries

Construction in Construction of the Tellus Jinzuan

330282034.52210197546.72120084487.8057.13%

progress Trading Building

Advances received The advance payments for goods and

13122489.191827827.2811294661.91617.93%

rentals

Contract liabilities Offsetting the contractual liability and

12408448.50 21059311.18 -8650862.68 -41.08% transfer of the advance receipts of

vehicles to revenue

The tax expenses declined for rent

reduction in the year while at same

Taxes payable 22769212.36 48522100.45 -25752888.09 -53.07% period of previous year the tax expenses

increase due to the equity transfer of

stock-participated enterprise

Offsetting the contractual liability and

Other current transfer of the advance receipts of

223118.422367994.70-2144876.28-90.58%

liabilities vehicles to revenue the other current

liabilities transfer to tax expenses

The loans of Tellus Jinzuan Trading

Long-term loans 139936957.30 86875874.39 53061082.91 61.08%

Building

Profit statement

Item Cumulative this Same period of Changes

Changes amount Changes reason

year last year ratio

Operating income New subsidiary established and new

672218538.92 386190230.03 286028308.89 74.06% purchase and sales business of golds in

the year

Operating cost 578961353.95 266472232.22 312489121.73 117.27% Growth with the increasing business

Taxes and Accrual of the property tax from Tellus

6030441.674284074.331746367.3440.76%

surcharges Jewelry Building

Other income 5651482.59 859210.28 4792272.31 557.75% The subsidy from government funds

Income from equity disposal from stock-

Investment income 28020813.69 19365778.37 8655035.32 44.69%

participated enterprise

Non-operating The breach of contract damages at same

237.7210145.86-9908.14-97.66%

expenses period of previous year

Cash flow

statement

Item Cumulative this Same period of Changes

Changes amount Changes reason

year last year ratio

Net cash flows

The advance money for procurement

from operating -83466878.37 97023552.00 -180490430.37

from subsidiary and reserve inventory

activities

Net cash flows

Redemption of the bank financial

from investing 60813602.40 -61964096.45 122777698.85

products

activities

Net cash flow from

150194728.83 -8469505.85 158664234.68 The investment from minority

financing activities

4深圳市特力(集团)股份有限公司2022年第三季度报告

II. Shareholders Information

(i) Total number of common shareholders and preference shareholders with voting rights recovered and

top ten common shareholders

Unit: Share

Total common shareholders at the end of Total preference shareholders with voting rights

695830

report period recovered at end of reporting period (if applicable)

Top ten shareholders

Information of shares

Proportion Amount of

Nature of Amount of shares pledged tagged or frozen

Shareholder’s name of shares restricted shares

shareholder held State of

held held Amount

share

SHENZHEN SDG CO. State-owned

48.42%20873982100

LTD. legal person

Shenzhen Zhiyuan Fuhai

Domestic

Jewelry Industry Investment

non-state 10.62% 45759832 0 0

Enterprises (limited

legal person

partnership)

Domestic

Li Xiaoming nature 0.67% 2891700 0 0

person

GUOTAI

JUNAN Foreign

0.40%174149100

SECURITIES(HONGKON legal person

G) LIMITED

Industrial and Commercial

Bank of China -China

Southern CSI Index Real Other 0.23% 977375 0 0

Estate Traded Open-ended

Index Fund

Shanghai V-invest

Management Co. Ltd. - V-

Other 0.19% 819800 0 0

Ruiguang No.6 Private

Equity Investment Fund

State-owned

Guosen Securities Co. Ltd. 0.17% 749775 0 0

legal person

Domestic

Wang Jianxin nature 0.13% 553300 0 0

person

Domestic

Song Wei nature 0.13% 547100 0 0

person

Wang Yihong Domestic 0.11% 483600 0 0

5深圳市特力(集团)股份有限公司2022年第三季度报告

nature

person

Top ten shareholders with unrestricted shares held

Type of shares

Shareholder’s name Amount of unrestricted shares held

Type Amount

RMB ordinary

SHENZHEN SDG CO. LTD. 208739821 208739821

shares

Shenzhen Zhiyuan Fuhai Jewelry Industry RMB ordinary

4575983245759832

Investment Enterprises (limited partnership) shares

RMB ordinary

Li Xiaoming 2891700 2891700

shares

GUOTAI Domestically

JUNAN SECURITIES(HONGKONG) 1741491 listed foreign 1741491

LIMITED shares

Industrial and Commercial Bank of China -

RMB ordinary

China Southern CSI Index Real Estate 977375 977375

shares

Traded Open-ended Index Fund

Shanghai V-invest Management Co. Ltd. -

RMB ordinary

V-Ruiguang No.6 Private Equity 819800 819800

shares

Investment Fund

RMB ordinary

Guosen Securities Co. Ltd. 749775 749775

shares

RMB ordinary

Wang Jianxin 553300 553300

shares

RMB ordinary

Song Wei 547100 547100

shares

RMB ordinary

Wang Yihong 483600 483600

shares

Among the top ten shareholders there exists no associated

relationship between the state-owned legal person’s shareholders

SDG Ltd and other shareholders and they do not belong to the

Explanation on associated relationship among the

persons acting in concert regulated by the Administrative Measures

aforesaid shareholders

for the Acquisition of Listed Companies. For the other shareholders

of circulation share the Company is unknown whether they belong to

the persons acting in concert.

1. Shares held by controlling shareholder- SHENZHEN SDG CO.

LTD. at end of the reporting period was 2851800 shares lower than

end of June 2022(not more than 1% of the total shares of the

Company) for the financing business. There were no transfer of

Explanation on top ten shareholders involving margin

ownership of the lent shares when transfer of the securities lending

business (if applicable)

business is implemented.

2. Shareholder Shanghai V-invest Management Co. Ltd. - V-

Ruiguang No.6 Private Equity Investment Fund has 819800 shares

held through a credit trading guaranteed securities account and 0

6深圳市特力(集团)股份有限公司2022年第三季度报告

shares thorough a regular securities account for a total of 819800

shares. Shareholder Wang Jianxin holds 553300 shares of the

company's stock through a credit transaction guarantee securities

account and 0 shares of the company's stock through an ordinary

securities account for a total of 553300 shares; Shareholder Song

Wei holds 547100 shares of the company's stock through a credit

transaction guarantee securities account and 0 shares of the

company's stock through an ordinary securities account for a total of

547100 shares;

(ii) Total shareholders with preferred stock held and shares held by top ten shareholders with preferred

stock held

□ Applicable √ Not applicable

III. Other significant events

√ Applicable □Not applicable

Due to the expiry of business term under the name of controlling subsidiary - Shenzhen SDG Huari Auto

Enterprise Co. Ltd the Company is advancing the follow-up matters of the expiration of business term of SDG

Huari in line with the laws and regulations. The business premises of Shenzhen Huari Toyota Auto Sales Service

Co. Ltd-controlling subsidiary of the Company is the property owned by SDG Huari due to the risks of

liquidation of SDG Huari the Company is in-depth studying the future director of Huari Toyota. In addition SDG

Huari appealed against the first instance judgment in the dispute over the confirmation of shareholderqualification and SDG Huari has filed an appeal in accordance with the law. Found more in the “InformativeNotice on Expiration of the Business Term of Controlling Subsidiary” (Notice No.: 2022-030) “Notice onResponse to the Concern Letter of Shenzhen Stock Exchange” (Notice No.: 2022-032) and “Receipt of the CivilJudgment of the First Instance by the Company and its Controlling Subsidiary” (Notice No.: 2022-035) released

on Securities Times Hong Kong Commercial Daily and Juchao Website (www.cninfo.com.cn) dated June 22

2022 June 29 and July 2 respectively. The Company will through all legal means to protect the interest of

majority investors claim the rights and interest of the Company and will pay close attention to the subsequent

progress of the matters and timely compliance with the information disclosure obligations.IV. Quarterly financial statements

(i) Financial statement

1. Consolidate balance sheet

Prepared by Shenzhen Tellus Holding Co. Ltd.September 30 2022

Unit: Yuan

7深圳市特力(集团)股份有限公司2022年第三季度报告

Item September 30 2022 January 1 2022

Current assets:

Monetary fund 370335836.46 240582057.16

Settlement provisions 0.00 0.00

Capital lent 0.00 0.00

Trading financial assets 264276906.86 412712843.84

Derivative financial assets 0.00 0.00

Note receivable 0.00 0.00

Account receivable 47369696.85 18094059.92

Receivable financing 0.00 0.00

Accounts paid in advance 41151716.77 16532227.85

Insurance receivable 0.00 0.00

Reinsurance receivables 0.00 0.00

Contract reserve of reinsurance

0.000.00

receivable

Other account receivable 15215833.35 5072970.77

Including: Interest receivable 4565277.77 0.00

Dividend receivable 547184.35 547184.35

Buying back the sale of financial

0.000.00

assets

Inventories 103189276.56 25434925.04

Contractual assets 0.00 0.00

Assets held for sale 0.00 530520.33

Non-current asset due within one

0.000.00

year

Other current assets 14034531.40 8596585.57

Total current assets 855573798.25 727556190.48

Non-current assets:

Loans and payments on behalf 0.00 0.00

Debt investment 0.00 0.00

Other debt investment 0.00 0.00

Long-term account receivable 0.00 0.00

Long-term equity investment 79899512.03 88310867.47

Investment in other equity

10176617.2010176617.20

instrument

Other non-current financial assets 0.00 0.00

Investment real estate 521204235.94 551383294.54

Fixed assets 110376409.03 109438198.23

Construction in progress 330282034.52 210197546.72

Productive biological asset 0.00 0.00

Oil and gas asset 0.00 0.00

Right-of-use assets 6101600.58 7336915.83

Intangible assets 49217350.36 49589498.28

Expense on Research and 0.00 0.00

8深圳市特力(集团)股份有限公司2022年第三季度报告

Development

Goodwill 0.00 0.00

Long-term expenses to be

25882985.9428682636.66

apportioned

Deferred income tax asset 8499551.03 8499551.03

Other non-current asset 54497470.80 68473888.99

Total non-current asset 1196137767.43 1132089014.95

Total assets 2051711565.68 1859645205.43

Current liabilities:

Short-term loans 0.00 0.00

Loan from central bank 0.00 0.00

Capital borrowed 0.00 0.00

Trading financial liability 0.00 0.00

Derivative financial liability 0.00 0.00

Note payable 0.00 0.00

Account payable 66865537.70 67407763.03

Accounts received in advance 13122489.19 1827827.28

Contractual liability 12408448.50 21059311.18

Selling financial asset of repurchase 0.00 0.00

Absorbing deposit and interbank

0.000.00

deposit

Security trading of agency 0.00 0.00

Security sales of agency 0.00 0.00

Wage payable 39271983.74 38893597.75

Taxes payable 22769212.36 48522100.45

Other account payable 114190364.99 112617963.65

Including: Interest payable 0.00 0.00

Dividend payable 0.00 0.00

Commission charge and

0.000.00

commission payable

Reinsurance payable 0.00 0.00

Liability held for sale 0.00 0.00

Non-current liabilities due within

2913041.533021452.25

one year

Other current liabilities 223118.42 2367994.70

Total current liabilities 271764196.43 295718010.29

Non-current liabilities:

Insurance contract reserve 0.00 0.00

Long-term loans 139936957.30 86875874.39

Bonds payable 0.00 0.00

Including: Preferred stock 0.00 0.00

Perpetual capital

0.000.00

securities

Lease liability 3502054.04 4474543.09

9深圳市特力(集团)股份有限公司2022年第三季度报告

Long-term account payable 3921897.25 3920160.36

Long-term wages payable 0.00 0.00

Accrual liability 268414.80 268414.80

Deferred income 9219536.40 10235331.21

Deferred income tax liabilities 963045.49 963045.49

Other non-current liabilities 0.00 0.00

Total non-current liabilities 157811905.28 106737369.34

Total liabilities 429576101.71 402455379.63

Owner’s equity:

Share capital 431058320.00 431058320.00

Other equity instrument 0.00 0.00

Including: Preferred stock 0.00 0.00

Perpetual capital

0.000.00

securities

Capital public reserve 431449554.51 431449554.51

Less: Inventory shares 0.00 0.00

Other comprehensive income 26422.00 26422.00

Reasonable reserve 0.00 0.00

Surplus public reserve 26546480.09 26546480.09

Provision of general risk 0.00 0.00

Retained profit 595179551.57 543843496.85

Total owner’ s equity attributable to

1484260328.171432924273.45

parent company

Minority interests 137875135.80 24265552.35

Total owner’ s equity 1622135463.97 1457189825.80

Total liabilities and owner’ s equity 2051711565.68 1859645205.43

Legal representative: Fu Chunlong

Person in charge of accounting works: Lou Hong

Person in charge of accounting organ: Yu Taiping

2. Consolidated Profit Statement (from the year-begin to the period-end)

Unit: Yuan

Item Current period Last period

I. Total operating income 672218538.92 386190230.03

Including: Operating income 672218538.92 386190230.03

Interest income 0.00 0.00

Insurance gained 0.00 0.00

Commission charge and

0.000.00

commission income

II. Total operating cost 630236038.77 317741304.15

10深圳市特力(集团)股份有限公司2022年第三季度报告

Including: Operating cost 578961353.95 266472232.22

Interest expense 0.00 0.00

Commission charge and

0.000.00

commission expense

Cash surrender value 0.00 0.00

Net amount of expense of

0.000.00

compensation

Net amount of withdrawal of

0.000.00

insurance contract reserve

Bonus expense of guarantee

0.000.00

slip

Reinsurance expense 0.00 0.00

Tax and extras 6030441.67 4284074.33

Sales expense 16447934.53 19432888.73

Administrative expense 32162014.80 31430292.75

R&D expense 0.00 0.00

Financial expense -3365706.18 -3878183.88

Including: Interest

423377.961893150.68

expenses

Interest income -4157810.82 -5914863.72

Add: other income 5651482.59 859210.28

Investment income (Loss is

28020813.6919365778.37

listed with “-”)

Including: Investment income

9772317.3712814277.96

on affiliated company and joint venture

The termination of

income recognition for financial assets

0.000.00

measured by amortized cost (Loss is

listed with “-”)

Exchange income (Loss is

0.000.00

listed with “-”)

Net exposure hedging income

0.000.00

(Loss is listed with “-”)

Income from change of fair

-435936.98-397636.61

value (Loss is listed with “-”)

Loss of credit impairment

-200149.240.00

(Loss is listed with “-”)

Losses of devaluation of asset

0.000.00

(Loss is listed with “-”)

Income from assets disposal

40765.9256242.77

(Loss is listed with “-”)

III. Operating profit (Loss is listed with

75059476.1388332520.69

“-”)

Add: Non-operating income 421724.83 403887.80

11深圳市特力(集团)股份有限公司2022年第三季度报告

Less: Non-operating expense 237.72 10145.86

IV. Total profit (Loss is listed with “-”) 75480963.24 88726262.63

Less: Income tax expense 14253779.32 18374122.71

V. Net profit (Net loss is listed with “-”) 61227183.92 70352139.92

(i) Classify by business continuity

1.continuous operating net profit

61227183.9270352139.92(net loss listed with ‘-”)

2.termination of net profit (net loss

0.000.00listed with ‘-”)

(ii) Classify by ownership

1.Net profit attributable to owner’s

of parent company (net loss listed with ‘- 62117600.47 69985960.31

”)

2.Minority shareholders’ gains and

-890416.55366179.61losses (net loss listed with ‘-”)

VI. Net after-tax of other comprehensive

0.000.00

income

Net after-tax of other comprehensive

income attributable to owners of parent 0.00 0.00

company

(i) Other comprehensive income

items which will not be reclassified 0.00 0.00

subsequently to profit of loss

1.Changes of the defined

0.000.00

benefit plans that re-measured

2.Other comprehensive

income under equity method that cannot 0.00 0.00

be transfer to gain/loss

3.Change of fair value of

0.000.00

investment in other equity instrument

4.Fair value change of

0.000.00

enterprise's credit risk

5. Other 0.00 0.00

(ii) Other comprehensive income

items which will be reclassified 0.00 0.00

subsequently to profit or loss

1.Other comprehensive

income under equity method that can 0.00 0.00

transfer to gain/loss

2.Change of fair value of

0.000.00

other debt investment

3.Amount of financial assets

re-classify to other comprehensive 0.00 0.00

income

12深圳市特力(集团)股份有限公司2022年第三季度报告

4.Credit impairment

0.000.00

provision for other debt investment

5.Cash flow hedging reserve 0.00 0.00

6.Translation differences

arising on translation of foreign currency 0.00 0.00

financial statements

7.Other 0.00 0.00

Net after-tax of other comprehensive

income attributable to minority 0.00 0.00

shareholders

VII. Total comprehensive income 61227183.92 70352139.92

Total comprehensive income

attributable to owners of parent 62117600.47 69985960.31

Company

Total comprehensive income

-890416.55366179.61

attributable to minority shareholders

VIII. Earnings per share:

(i) Basic earnings per share 0.1441 0.1624

(ii) Diluted earnings per share 0.1441 0.1624

Enterprise combine under the same control in the Period the combined party realized net profit of 0.00 Yuan before combination

and realized 0.00 Yuan at last period for combined party

Legal representative: Fu Chunlong

Person in charge of accounting works: Lou Hong

Person in charge of accounting organ: Yu Taiping

3. Consolidated Cash Flow Statement (from the year-begin to the period-end)

Unit: Yuan

Item Current period Last period

I. Cash flows arising from operating

activities:

Cash received from selling

commodities and providing labor 726615907.58 401051942.78

services

Net increase of customer deposit

and interbank deposit

Net increase of loan from central

bank

Net increase of capital borrowed

from other financial institution

Cash received from original

13深圳市特力(集团)股份有限公司2022年第三季度报告

insurance contract fee

Net cash received from reinsurance

business

Net increase of insured savings and

investment

Cash received from interest

commission charge and commission

Net increase of capital borrowed

Net increase of returned business

capital

Net cash received by agents in sale

and purchase of securities

Write-back of tax received 12650051.53

Other cash received concerning

183038564.95194222805.07

operating activities

Subtotal of cash inflow arising from

922304524.06595274747.85

operating activities

Cash paid for purchasing

711053601.48228527783.81

commodities and receiving labor service

Net increase of customer loans and

advances

Net increase of deposits in central

bank and interbank

Cash paid for original insurance

contract compensation

Net increase of capital lent

Cash paid for interest commission

charge and commission

Cash paid for bonus of guarantee

slip

Cash paid to/for staff and workers 50180582.83 46431741.19

Taxes paid 56730872.72 25119426.91

Other cash paid concerning

187806345.40198172243.94

operating activities

Subtotal of cash outflow arising from

1005771402.43498251195.85

operating activities

Net cash flows arising from operating

-83466878.3797023552.00

activities

II. Cash flows arising from investing

activities:

Cash received from recovering

1120334600.001117400000.00

investment

Cash received from investment

28051211.2120478363.92

income

14深圳市特力(集团)股份有限公司2022年第三季度报告

Net cash received from disposal of

fixed intangible and other long-term 361050.00 334000.00

assets

Net cash received from disposal of

subsidiaries and other units

Other cash received concerning

490840.0025183488.04

investing activities

Subtotal of cash inflow from investing

1149237701.211163395851.96

activities

Cash paid for purchasing fixed

119945443.3566734807.91

intangible and other long-term assets

Cash paid for investment 967565277.77 1158280000.00

Net increase of mortgaged loans

Net cash received from subsidiaries

and other units obtained

Other cash paid concerning

913377.69345140.50

investing activities

Subtotal of cash outflow from investing

1088424098.811225359948.41

activities

Net cash flows arising from investing

60813602.40-61964096.45

activities

III. Cash flows arising from financing

activities

Cash received from absorbing

114500000.00

investment

Including: Cash received from

absorbing minority shareholders’

investment by subsidiaries

Cash received from loans 53163927.58 53079163.70

Other cash received concerning

financing activities

Subtotal of cash inflow from financing

167663927.5853079163.70

activities

Cash paid for settling debts 5113470.50

Cash paid for dividend and profit

12355728.2511548669.55

distributing or interest paying

Including: Dividend and profit of

minority shareholder paid by subsidiaries

Other cash paid concerning

50000000.00

financing activities

Subtotal of cash outflow from financing

17469198.7561548669.55

activities

Net cash flows arising from financing

150194728.83-8469505.85

activities

15深圳市特力(集团)股份有限公司2022年第三季度报告

IV. Influence on cash and cash

equivalents due to fluctuation in 280.60 -33020.10

exchange rate

V. Net increase of cash and cash

127541733.4626556929.60

equivalents

Add: Balance of cash and cash

211655585.86208462656.63

equivalents at the period-begin

VI. Balance of cash and cash equivalents

339197319.32235019586.23

at the period-end

(ii) Audit report

Whether the 3rd quarterly report has been audited or not

□Yes √ No

The 3rd quarterly report of the Company has not been audited.Board of Directors of

Shenzhen Tellus Holding Co. Ltd.October 27 2022

16

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