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特 力B:2021年第一季度报告全文(英文版)2021-04-29  

                                            深圳市特力(集团)股份有限公司 2021 年第一季度报告




Shenzhen Tellus Holding Co., Ltd.

    First Quarterly Report 2021




                1
                                                 深圳市特力(集团)股份有限公司 2021 年第一季度报告



                          Section I. Important Notes

Board of Directors and the Supervisory Committee of Shenzhen Tellus Holding

Co., Ltd. (hereinafter referred to as the Company) and its directors, supervisors

and senior executives should guarantee the reality, accuracy and completion of

the quarterly report, there are no any fictitious statements, misleading

statements or important omissions carried in this report, and shall take legal

responsibilities, individual and/or joint.

All Directors are attended the Board Meeting for Quarterly Report deliberation.

Fu Chunlong, Person in charge of the Company, Lou Hong, person in charge of

accounting works, and Liao Zebin, person in charge of accounting organ

(accounting officer) hereby confirm that the Financial Report of this Quarterly

Report is authentic, accurate and complete.




                                             2
                                                                                    深圳市特力(集团)股份有限公司 2021 年第一季度报告




                                           Section II. Company Profile

I. Main accounting data and financial indexes

Whether it has retroactive adjustment or re-statement on previous accounting data
□ Yes  No

                                                                                                                    Changes of this period
                                                       Current Period               Same period of last year       over same period of last
                                                                                                                               year

 Operating income (RMB)                                     144,033,886.08                     85,520,408.64                           68.42%

 Net profit attributable to shareholders of
                                                              21,691,438.24                     5,209,071.29                          316.42%
 the listed company (RMB)

 Net profit attributable to shareholders of
 the listed company after deducting                           20,476,430.15                     2,618,160.47                          682.09%
 non-recurring gains and losses (RMB)

 Net cash flow arising from operating
                                                              -4,764,233.42                     6,507,973.24                          -173.21%
 activities (RMB)

 Basic earnings per share (RMB/Share)                                 0.0503                           0.0121                         315.70%

 Diluted earnings per share (RMB/Share)                               0.0503                           0.0121                         315.70%

 Weighted average ROE                                                 1.64%                            0.41%                             1.23%

                                                                                                                          Changes of this
                                                      At the end of the
                                                                                     At the end of last year        period-end over same
                                                      reporting period
                                                                                                                    period-end of last year

 Total assets (RMB)                                       1,736,552,808.59                  1,708,442,301.15                             1.65%

 Net assets attributable to shareholder of
                                                          1,332,216,113.71                  1,310,524,675.47                             1.66%
 listed company (RMB)

Items of non-recurring gains and losses
 Applicable □ Not applicable
                                                                                                                                         In RMB

                                                                                        Amount from year-begin to
                                       Item                                                                                       Note
                                                                                                 period-end

 Governmental subsidy reckoned into current gains/losses (not including the
 subsidy enjoyed in quota or ration according to national standards, which                                     8,568.06
 are closely relevant to enterprise’s business)

 Losses/gains from changes of fair values occurred in holding trading
 financial assets, derivative financial assets, trading financial liabilities and                       1,792,553.85        Financial income
 derivative financial liabilities, and investment income obtaining from the


                                                                      3
                                                                                  深圳市特力(集团)股份有限公司 2021 年第一季度报告


 disposal of trading financial assets, derivative financial assets, trading
 financial liability, derivative financial liability and other debt investment,
 excluded effective hedging business relevant with normal operations of the
 Company

 Other non-operating income and expenditure except for the aforementioned
                                                                                                           32,805.85
 items

 Less: Impact on income tax                                                                               446,605.49

      Impact on minority shareholders’ equity (post-tax)                                                 172,314.18

 Total                                                                                                1,215,008.09             --

Concerning the extraordinary profit (gain)/loss defined by Q&A Announcement No.1 on Information Disclosure for Companies
Offering Their Securities to the Public --- Extraordinary Profit/loss, and the items defined as recurring profit (gain)/loss according to
the lists of extraordinary profit (gain)/loss in Q&A Announcement No.1 on Information Disclosure for Companies Offering Their
Securities to the Public --- Extraordinary Profit/loss, explain reasons
□ Applicable  Not applicable
In reporting period, the Company has no particular about items defined as recurring profit (gain)/loss according to the lists of
extraordinary profit (gain)/loss in Q&A Announcement No.1 on Information Disclosure for Companies Offering Their Securities to
the Public --- Extraordinary Profit/loss


II. Total number of shareholders at the end of this report period and top ten shareholders

1. Number of common shareholders and preference shareholders with voting rights recovered and top ten
common shareholders

                                                                                                                                    In shares

                                                                   Total preference shareholders
 Total number of common shareholders at                            with voting rights recovered at
                                                         47,794                                                                          0
 the end of report period                                          end of reporting period (if
                                                                   applicable)

                                                           Top ten shareholders

                                                                                        Amount of                 Number of share
                                 Nature of       Proportion of       Amount of
    Shareholder’s name                                                                  restricted                pledged/frozen
                                shareholder       shares held        shares held
                                                                                        shares held         State of share    Amount

 SHENZHEN SDG CO.,            State-owned
                                                        49.09%       211,591,621                      0                                  0
 LTD.                         legal person

 Shenzhen Zhiyuan
                              Domestic
 Fuhai Jewelry Industry
                              non-state                 14.77%        63,655,372                      0                                  0
 Investment Enterprises
                              legal person
 (limited partnership)

 GUOTAI JUNAN                 Foreign legal
                                                         0.40%            1,736,091                   0                                  0
 SECURITIES(HONGK             person



                                                                      4
                                                                        深圳市特力(集团)股份有限公司 2021 年第一季度报告


ONG) LIMITED

Hong Kong Securities
                           Foreign legal
Clearing Company                                  0.27%           1,158,077                0                                  0
                           person
Limited

Shanghai Yingshui
Investment Management
Co., Ltd. - Yingshui       Other                  0.13%            566,487                 0                                  0
Dongfeng No.3-Private
Equity Investment Fund

                           Domestic
Lin Rongtao                                       0.12%            538,780                 0                                  0
                           nature person

                           Domestic
Xiao Qiaoyue                                      0.12%            522,960                 0                                  0
                           nature person

Cinda Securities Co.,      State-owned
                                                  0.12%            510,000                 0                                  0
Ltd.                       legal person

CCB-GF CSI All Index
Auto index-based
                           Other                  0.12%            508,928                 0                                  0
Originated Securities
Investment Fund

                           Domestic
Xu Chunhong                                        0.11%           493,660                 0                                  0
                           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.                                                           211,591,621                      211,591,621
                                                                                               shares

Shenzhen Zhiyuan Fuhai Jewelry Industry
                                                                                               RMB ordinary
Investment Enterprises (limited                                                   63,655,372                       63,655,372
                                                                                               shares
partnership)

                                                                                               Domestically
GUOTAI JUNAN
                                                                                   1,736,091   listed foreign       1,736,091
SECURITIES(HONGKONG) LIMITED
                                                                                               shares

Hong Kong Securities Clearing Company                                                          RMB ordinary
                                                                                   1,158,077                        1,158,077
Limited                                                                                        shares

Shanghai Yingshui Investment
Management Co., Ltd. - Yingshui                                                                RMB ordinary
                                                                                     566,487                             566,487
Dongfeng No.3-Private Equity                                                                   shares
Investment Fund

Lin Rongtao                                                                          538,780   RMB ordinary              538,780



                                                              5
                                                                          深圳市特力(集团)股份有限公司 2021 年第一季度报告


                                                                                                   shares

                                                                                                   RMB ordinary
 Xiao Qiaoyue                                                                          522,960                              522,960
                                                                                                   shares

                                                                                                   RMB ordinary
 Cinda Securities Co., Ltd.                                                            510,000                              510,000
                                                                                                   shares

 CCB-GF CSI All Index Auto index-based                                                             RMB ordinary
                                                                                       508,928                              508,928
 Originated Securities Investment Fund                                                             shares

                                                                                                   RMB ordinary
 Xu Chunhong                                                                           493,660                              493,660
                                                                                                   shares

                                             Among the top ten shareholders, there exists no associated relationship between the
                                             state-owned legal person’s shareholders Shenzhen SDG Co., Ltd and other
 Explanation on associated relationship      shareholders, and they do not belong to the person acting in concert regulated by the
 among the aforesaid shareholders            Management Measure of Information Disclosure on Change of Shareholding for
                                             Listed Companies. For the other shareholders of circulation share, the Company is
                                             unknown whether they belong to the person acting in concert.

                                             Shareholder Shanghai Yingshui Investment Management Co., Ltd. - Yingshui
                                             Dongfeng No.3-Private Equity Investment Fund holds 566,487 shares of the
                                             company's stock through a credit transaction guarantee securities account, and 0
                                             shares of the stock through an ordinary securities account, for a total of 566,487.
                                             shares. Shareholder Lin Rongtao holds 470,360shares of the Company through a
 Explanation       on   top   ten   common
                                             credit transaction guaranteed securities account, and 68,420 shares through an
 shareholders involving margin business
                                             ordinary securities account, 538,780 shares held in total. Shareholder Xiao Qiaoyue
 (if applicable)
                                             holds 393,560 shares of the Company through a credit transaction guaranteed
                                             securities account, and 129,400 shares through an ordinary securities account,
                                             522,960 shares held in total. Shareholder Xu Chunhong holds 393,660 shares of the
                                             Company through a credit transaction guaranteed securities account, and 100,000
                                             shares through an ordinary securities account, 493,660 shares held in total.

Whether top ten common shareholders or top ten common shareholders with un-restrict shares held have a buy-back agreement
dealing in reporting period
□ Yes  No
The top ten common shareholders or top ten common shareholders with un-restrict shares held of the Company have no buy-back
agreement dealing in reporting period.


2. Total shareholders with preferred stock held and shares held by top ten shareholders with preferred
stock held

□ Applicable  Not applicable




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                                                                      深圳市特力(集团)股份有限公司 2021 年第一季度报告




                                      Section III. Significant Events

I. Particulars about material changes in items of main accounting statement and financial
index and explanations of reasons

 Applicable □ Not applicable
                                                                                                                               In RMB

Balance sheet
      Asset        Closing balance    Opening balance    Changes amount Changes ratio                  Reasons of changes

Monetary funds       178,870,559.72     237,625,698.93      -58,755,139.21        -24.73% Mainly because the purchase amount
                                                                                            of wealth management products in the
                                                                                            current period is greater than the
                                                                                            redemption amount, which reduces the
                                                                                            monetary funds

Accounts              50,857,817.77      19,828,510.36       31,029,307.41       156.49% Mainly due to the new receivables
receivable                                                                                  from the purchase and sales of gold
                                                                                            products during the reporting period

Inventory             13,595,277.42      22,079,679.93       -8,484,402.51        -38.43% Mainly        due    to   the decrease        in
                                                                                            inventory     of    gold      products     and
                                                                                            vehicles

Long-term            127,043,061.09     123,640,955.57        3,402,105.52         2.75%
equity
investment

Investment real      563,290,390.89     568,246,616.13       -4,956,225.24         -0.87%
estate

Fixed assets         117,982,735.87     119,136,917.91       -1,154,182.04         -0.97%

Construction in      118,857,146.27     101,740,485.48       17,116,660.79        16.82% Mainly         due    to   the     increase    in
progress                                                                                    investment in the Tellus Golden
                                                                                            Diamond Trading Building project

Long term loan        25,496,104.15      11,171,759.33       14,324,344.82       128.22% Mainly due to the increase in fixed
                                                                                            assets loans for the Tellus Jinzuan
                                                                                            Trading Building

Contract               7,367,945.26      18,988,628.13      -11,620,682.87        -61.20% Mainly the carryover income from
liabilities                                                                                 car sales received in advance

Profit statement
                    Amount at this At same period of
         Item                                            Change amount       Changes ratio              Reasons of changes
                         year            last year



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                                                                            深圳市特力(集团)股份有限公司 2021 年第一季度报告


Operating income         144,033,886.08       85,520,408.64      58,513,477.44            68.42% Mainly due to the reduction in
                                                                                                    income of tenants in response to the
                                                                                                    call of the SASAC to reduce rents for
                                                                                                    two months

Operating cost           107,366,225.41       73,945,723.56      33,420,501.85            45.20% Mainly due to the increase in the
                                                                                                    purchase and sale cost of new gold
                                                                                                    products and the cost of automobile
                                                                                                    sales this year

Taxes            and       1,299,863.16          681,715.08           618,148.08          90.68% Mainly due to the increase in
surcharges                                                                                          business volume year-on-year and
                                                                                                    taxes increased

Sales expense              6,023,184.84        3,158,037.63        2,865,147.21           90.73% Mainly due to the operating costs of
                                                                                                    the    newly        Shenzhen     Jewelry
                                                                                                    Company and Baoku Company in
                                                                                                    this period

Financial                   -235,107.98         -715,490.30           480,382.32         -67.14%Mainly because the interest expenses
expenses                                                                                            on performance bonds of Hancheng
                                                                                                    Energy Company increased.

Other income                 171,399.92           16,224.48           155,175.44         956.43% Mainly received special subsidies
                                                                                                    from car dealers

Income tax                 5,368,783.82          421,125.67        4,947,658.15         1174.87% Increase         in   operating   profit   of
                                                                                                    affiliated company

Cash flow statement
                       Amount at this     At same period of
       Item                                                   Change amount        Changes ratio            Reasons of changes
                           year               last year

Net cash flow             -4,764,233.42        6,507,973.24      -11,272,206.66        -173.21% Mainly due to the payment for
from    operating                                                                                  purchasing gold products for new
activities                                                                                         business of gold product increased in
                                                                                                   the Period

Net cash flows           -68,363,614.63       43,426,021.90     -111,789,636.53        -257.43% Mainly because the purchase amount
from    investing                                                                                  of wealth management products in the
activities                                                                                         current period is greater than the
                                                                                                   redemption amount, resulting in a
                                                                                                   decrease in cash inflows

Net cash flow             14,132,238.48                          14,132,238.48          100.00% Mainly due to the increase in fixed
from    financing                                                                                  assets loans for the Tellus Jinzuan
activities                                                                                         Trading Building

Net increase in          -58,995,609.57       49,933,995.14     -108,929,604.71        -218.15%
cash and cash
equivalents


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                                                                           深圳市特力(集团)股份有限公司 2021 年第一季度报告


II. Analysis and explanation of significant events and their influence and solutions

□Applicable    Not applicable
Progress of shares buy-back
□Applicable    Not applicable
Implementation progress of the reduction of repurchases shares by centralized bidding
□Applicable    Not applicable


III. Commitments completed in Period and those without completed till end of the Period
from actual controller, shareholders, related parties, purchaser and companies

□ Applicable     Not applicable
The Company has no commitments completed in Period and those without completed till end of the Period from actual controller,
shareholders, related parties, purchaser and companies.


IV. Financial asset investment

1. Securities investment

□ Applicable  Not applicable


2. Derivative investment

□ Applicable  Not applicable


V. Progress of investment projects with raised funds

□ Applicable  Not applicable


VI. Prediction of business performance from January – June 2021

□ Applicable  Not applicable


VII. Major contracts for daily operations

□ Applicable  Not applicable
Significant difference between the progress of a major contract and the contract agreement and affects more than 30% of the contract
amount
□ Applicable  Not applicable


VIII. Trust financing

 Applicable □ Not applicable
                                                                                                              In 10 thousand yuan


                                                                 9
                                                                             深圳市特力(集团)股份有限公司 2021 年第一季度报告


            Type               Capital resources         Amount for entrust           Undue balance             Overdue amount

 Bank financing
                           Own fund                                    37,738.00                36,490.00                   0.00
 products

 Total                                                                 37,738.00                36,490.00                   0.00


Details of the single major amount, or high-risk trust investment with low security, poor fluidity and non-guaranteed
□ Applicable  Not applicable

Entrust financial expected to be unable to recover the principal or impairment might be occurred
□ Applicable  Not applicable


IX. Guarantee outside against the regulation

□Applicable Not applicable
The Company had no guarantee outside against the regulation in the period.


X. Non-operational fund occupation from controlling shareholders and its related party

□ Applicable  Not applicable
The Company had no non-operational fund occupation form controlling shareholders and its related party in the period.


XI. Registration form for receiving research, communication and interview in the report
period

□Applicable Not applicable
The Company had no receiving research, communication or interview in the report period.




                                                                  10
                                                                      深圳市特力(集团)股份有限公司 2021 年第一季度报告




                                         Section IV. Financial Statement

I. Financial statement

1. Consolidate balance sheet

Prepared by Shenzhen Tellus Holding Co., Ltd.
                                                                                                                  In RMB

                       Item                       March 31, 2021                           March 31, 2020

 Current assets:

        Monetary fund                                          178,870,559.72                          237,625,698.93

        Settlement provisions

        Capital lent

        Trading financial assets                               365,950,748.43                          314,013,869.86

        Derivative financial assets

        Note receivable

        Account receivable                                      50,857,817.77                           19,828,510.36

        Receivable financing

        Accounts paid in advance                                   7,634,395.03                             9,847,749.74

        Insurance receivable

        Reinsurance receivables

        Contract reserve of reinsurance
 receivable

        Other account receivable                                31,254,423.66                           29,269,790.83

           Including: Interest receivable

                   Dividend receivable                          24,647,732.42                           24,647,732.42

        Buying back the sale of financial
 assets

        Inventories                                             13,595,277.42                           22,079,679.93

          Contractual assets

        Assets held for sale

        Non-current asset due within one
 year

        Other current assets                                       4,057,552.39                             6,000,566.69

 Total current assets                                          652,220,774.42                          638,665,866.34


                                                          11
                                                深圳市特力(集团)股份有限公司 2021 年第一季度报告


Non-current assets:

     Loans and payments on behalf

     Debt investment

     Other debt investment

     Long-term account receivable

     Long-term equity investment           127,043,061.09                       123,640,955.57

     Investment in other equity
                                            10,176,617.20                         10,176,617.20
instrument

     Other non-current financial
assets

     Investment real estate                563,290,390.89                       568,246,616.13

     Fixed assets                          117,982,735.87                       119,136,917.91

     Construction in progress              118,857,146.27                       101,740,485.48

     Productive biological asset

     Oil and gas asset

         Right-of-use assets

     Intangible assets                      51,269,315.47                         51,627,673.21

     Expense on Research and
Development

     Goodwill

     Long-term expenses to be
                                            30,388,844.46                         30,714,879.22
apportioned

     Deferred income tax asset               8,489,086.55                          8,498,822.10

     Other non-current asset                56,834,836.37                         55,993,467.99

Total non-current asset                1,084,332,034.17                        1,069,776,434.81

Total assets                           1,736,552,808.59                        1,708,442,301.15

Current liabilities:

     Short-term loans

     Loan from central bank

     Capital borrowed

     Trading financial liability

     Derivative financial liability

Note payable

Account payable                             78,451,076.31                         76,583,166.53

     Accounts received in advance            2,466,788.17                          2,403,580.47



                                      12
                                                   深圳市特力(集团)股份有限公司 2021 年第一季度报告


      Contractual liability                     7,367,945.26                         18,988,628.13

     Selling financial asset of
repurchase

     Absorbing deposit and interbank
deposit

Security trading of agency

     Security sales of agency

     Wage payable                              26,363,169.77                         28,365,685.21

     Taxes payable                             23,315,233.63                         21,062,154.32

     Other account payable                    162,061,261.13                       158,663,974.62

          Including: Interest payable              29,640.20

                     Dividend payable              46,295.65                            46,295.65

     Commission charge and
commission payable

     Reinsurance payable

     Liability held for sale

     Non-current liabilities due
within one year

     Other current liabilities                   515,220.25                           2,237,573.19

Total current liabilities                     300,540,694.52                       308,304,762.47

Non-current liabilities:

Insurance contract reserve

     Long-term loans                           25,496,104.15                         11,171,759.33

     Bonds payable

          Including: Preferred stock

                     Perpetual capital
securities

      Lease liability

     Long-term account payable                  3,920,160.36                          3,920,160.36

     Long-term wages payable

     Accrual liability                           268,414.80                            268,414.80

     Deferred income                             131,102.38                            131,102.38

     Deferred income tax liabilities

     Other non-current liabilities

Total non-current liabilities                  29,815,781.69                         15,491,436.87



                                         13
                                                                       深圳市特力(集团)股份有限公司 2021 年第一季度报告


 Total liabilities                                              330,356,476.21                          323,796,199.34

 Owner’s equity:

      Share capital                                             431,058,320.00                          431,058,320.00

      Other equity instrument

         Including: Preferred stock

                      Perpetual capital
 securities

      Capital public reserve                                    431,449,554.51                          431,449,554.51

      Less: Inventory shares

      Other comprehensive income                                      26,422.00                               26,422.00

      Reasonable reserve

      Surplus public reserve                                     23,848,485.62                           23,848,485.62

      Provision of general risk

      Retained profit                                           445,833,331.58                          424,141,893.34

 Total owner’ s equity attributable to
                                                             1,332,216,113.71                         1,310,524,675.47
 parent company

      Minority interests                                         73,980,218.67                           74,121,426.34

 Total owner’ s equity                                      1,406,196,332.38                         1,384,646,101.81

 Total liabilities and owner’ s equity                      1,736,552,808.59                         1,708,442,301.15


Legal representative: Fu Chunlong


Person in charge of accounting works: Lou Hong


Person in charge of accounting organ: Liao Zebin


2. Balance Sheet of Parent Company

                                                                                                                 In RMB

                     Item                          March 31, 2021                           March 31, 2020

 Current assets:

      Monetary funds                                             73,816,647.87                           71,772,303.28

      Trading financial assets                                  152,548,442.68                          118,484,941.09

      Derivative financial assets

      Note receivable

      Account receivable                                            1,055,951.59                             249,428.20

      Receivable financing


                                                           14
                                                     深圳市特力(集团)股份有限公司 2021 年第一季度报告


     Accounts paid in advance

     Other account receivable                    94,020,365.85                       126,970,097.13

          Including: Interest receivable

                     Dividend
                                                   547,184.35                            547,184.35
receivable

     Inventories

     Contractual assets

     Assets held for sale

     Non-current assets maturing
within one year

     Other current assets

Total current assets                            321,441,407.99                       317,476,769.70

Non-current assets:

     Debt investment

     Other debt investment

     Long-term receivables

     Long-term equity investments               881,068,336.39                       876,760,784.88

     Investment in other equity
                                                 10,176,617.20                         10,176,617.20
instrument

     Other non-current financial
assets

     Investment real estate                      31,331,203.54                         31,971,205.42

     Fixed assets                                18,736,749.76                         19,082,604.22

     Construction in progress                   117,368,970.51                       100,252,309.72

     Productive biological assets

     Oil and natural gas assets

     Right-of-use assets

         Intangible assets                       49,806,653.71                         50,135,951.98

     Research and development costs

     Goodwill

     Long-term deferred expenses                  9,281,529.98                          8,786,280.69

     Deferred income tax assets                   3,387,973.20                          3,397,708.75

     Other non-current assets                    29,449,636.37                         27,427,939.18

Total non-current assets                    1,150,607,670.66                        1,127,991,402.04

Total assets                                1,472,049,078.65                        1,445,468,171.74



                                           15
                                                 深圳市特力(集团)股份有限公司 2021 年第一季度报告


Current liabilities

     Short-term borrowings

     Trading financial liability

     Derivative financial liability

     Notes payable

     Account payable                           239,126.06                            267,841.07

     Accounts received in advance                42,470.21                           682,934.41

     Contractual liability

     Wage payable                            14,372,941.50                         15,784,381.93

     Taxes payable                            2,282,253.28                          1,123,476.72

     Other accounts payable                 352,093,822.99                       345,894,297.23

        Including: Interest payable              29,640.20

                Dividend payable

     Liability held for sale

     Non-current liabilities due
within one year

     Other current liabilities

Total current liabilities                   369,030,614.04                       363,752,931.36

Non-current liabilities:

     Long-term loans                         25,496,104.15                         11,171,759.33

     Bonds payable

        Including: preferred stock

                Perpetual capital
securities

     Lease liability

     Long-term account payable

Long term employee compensation
payable

     Accrued liabilities

     Deferred income

     Deferred income tax liabilities

     Other non-current liabilities

Total non-current liabilities                25,496,104.15                         11,171,759.33

Total liabilities                           394,526,718.19                       374,924,690.69

Owners’ equity:


                                       16
                                                          深圳市特力(集团)股份有限公司 2021 年第一季度报告


      Share capital                                  431,058,320.00                        431,058,320.00

      Other equity instrument

        Including: preferred stock

                Perpetual capital
 securities

      Capital public reserve                         428,256,131.23                        428,256,131.23

      Less: Inventory shares

      Other comprehensive income

 Special reserve

      Surplus reserve                                 23,848,485.62                            23,848,485.62

      Retained profit                                194,359,423.61                        187,380,544.20

 Total owner’s equity                            1,077,522,360.46                        1,070,543,481.05

 Total liabilities and owner’s equity            1,472,049,078.65                        1,445,468,171.74


3. Consolidated Profit Statement

                                                                                                      In RMB

                    Item                 Current period                          Last period

 I. Total operating income                           144,033,886.08                            85,520,408.64

      Including: Operating income                    144,033,886.08                            85,520,408.64

              Interest income

              Insurance gained

              Commission charge and
 commission income

 II. Total operating cost                            122,542,080.40                            84,581,694.95

      Including: Operating cost                      107,366,225.41                            73,945,723.56

              Interest expense

              Commission charge and
 commission expense

 Cash surrender value

 Net amount of expense of
 compensation

 Net amount of withdrawal of insurance
 contract reserve

 Bonus expense of guarantee slip

              Reinsurance expense



                                                17
                                                        深圳市特力(集团)股份有限公司 2021 年第一季度报告


               Tax and extras                        1,299,863.16                           681,715.08

               Sales expense                         6,023,184.84                          3,158,037.63

               Administrative expense                8,087,914.97                          7,511,708.98

               R&D expense

               Financial expense                      -235,107.98                          -715,490.30

                     Including: Interest
                                                      602,590.91                             35,299.72
expenses

                                Interest
                                                      901,713.50                            797,873.41
income

         Add: other income                            171,399.92                             16,224.48

             Investment income (Loss is
                                                     4,937,780.80                          4,215,152.38
listed with “-”)

             Including: Investment
income on affiliated company and joint               3,402,105.52                          1,322,651.43
venture

                     The termination of
income recognition for financial assets
measured by amortized cost(Loss is
listed with “-”)

             Exchange income (Loss is
listed with “-”)

             Net exposure hedging
income (Loss is listed with “-”)

             Income from change of fair
                                                      256,878.57
value (Loss is listed with “-”)

             Loss of credit impairment
(Loss is listed with “-”)

             Losses of devaluation of
asset (Loss is listed with “-”)

             Income from assets disposal
                                                       28,343.57
(Loss is listed with “-”)

III. Operating profit (Loss is listed with
                                                    26,886,208.54                          5,170,090.55
“-”)

         Add: Non-operating income                     32,955.85                            219,502.64

         Less: Non-operating expense                      150.00                              2,000.73

IV. Total profit (Loss is listed with “-”)        26,919,014.39                          5,387,592.46

         Less: Income tax expense                    5,368,783.82                           421,125.67

V. Net profit (Net loss is listed with              21,550,230.57                          4,966,466.79

                                               18
                                                      深圳市特力(集团)股份有限公司 2021 年第一季度报告


“-”)

   (i) Classify by business continuity

         1.continuous operating net profit
                                                  21,550,230.57                          4,966,466.79
(net loss listed with ‘-”)

         2.termination of net profit (net
loss listed with ‘-”)

   (ii) Classify by ownership

         1.Net profit attributable to
                                                  21,691,438.24                          5,209,071.29
owner’s of parent company

         2.Minority shareholders’ gains
                                                    -141,207.67                          -242,604.50
and losses

VI. Net after-tax of other
comprehensive income

   Net after-tax of other comprehensive
income attributable to owners of parent
company

         (i) Other comprehensive income
items which will not be reclassified
subsequently to profit of loss

                 1.Changes of the defined
benefit plans that re-measured

                 2.Other comprehensive
income under equity method that
cannot be transfer to gain/loss

                 3.Change of fair value of
investment in other equity instrument

                 4.Fair value change of
enterprise's credit risk

                 5. Other

          (ii) Other comprehensive income
items which will be reclassified
subsequently to profit or loss

                 1.Other comprehensive
income under equity method that can
transfer to gain/loss

                 2.Change of fair value of
other debt investment

                 3.Amount of financial
assets re-classify to other


                                             19
                                                                          深圳市特力(集团)股份有限公司 2021 年第一季度报告


 comprehensive income

               4.Credit impairment
 provision for other debt investment

               5.Cash flow hedging
 reserve

               6.Translation differences
 arising on translation of foreign
 currency financial statements

               7.Other

    Net after-tax of other comprehensive
 income attributable to minority
 shareholders

 VII. Total comprehensive income                                    21,550,230.57                                 4,966,466.79

           Total comprehensive income
 attributable to owners of parent                                   21,691,438.24                                 5,209,071.29
 Company

      Total comprehensive income
                                                                        -141,207.67                               -242,604.50
 attributable to minority shareholders

 VIII. Earnings per share:

       (i) Basic earnings per share                                         0.0503                                     0.0121

      (ii) Diluted earnings per share                                       0.0503                                     0.0121

Enterprise combine under the same control in the Period, the combined party realized net profit of 0 Yuan before combination, and
realized 0 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: Liao Zebin


4. Profit Statement of Parent Company

                                                                                                                        In RMB

                   Item                               Current period                                Last period

 I. Operating income                                                   9,680,111.98                               3,257,928.46

      Less: Operating cost                                             1,973,914.25                               1,535,130.66

             Taxes and surcharge                                        365,100.79                                 301,556.50

             Sales expenses                                                                                        401,762.69

             Administration expenses                                   5,940,942.34                               4,957,051.60


                                                               20
                                                       深圳市特力(集团)股份有限公司 2021 年第一季度报告


              R&D expenses

              Financial expenses                    -343,971.60                           -348,390.50

                     Including: interest
expenses

                            Interest income          348,705.69                            351,551.46

         Add: other income

              Investment income (Loss is
                                                    5,163,310.88                          4,389,774.57
listed with “-”)

              Including: Investment
income on affiliated Company and                    4,307,551.51                          3,074,426.93
joint venture

                     The termination of
income recognition for financial
assets measured by amortized cost
(Loss is listed with “-”)

              Net exposure hedging
income (Loss is listed with “-”)

              Changing income of fair
                                                      63,501.59
value (Loss is listed with “-”)

              Loss of credit impairment
(Loss is listed with “-”)

              Losses of devaluation of
asset (Loss is listed with “-”)

              Income on disposal of
assets (Loss is listed with “-”)

II. Operating profit (Loss is listed
                                                    6,970,938.67                           800,592.08
with “-”)

         Add: Non-operating income                    17,676.29                             -18,810.00

         Less: Non-operating expense

III. Total Profit (Loss is listed with
                                                    6,988,614.96                           781,782.08
“-”)

         Less: Income tax                              9,735.55

IV. Net profit (Net loss is listed with
                                                    6,978,879.41                           781,782.08
“-”)

(i)continuous operating net profit (net
                                                    6,978,879.41                           781,782.08
loss listed with ‘-”)

         (ii) termination of net profit (net
loss listed with ‘-”)


                                               21
                                                  深圳市特力(集团)股份有限公司 2021 年第一季度报告


V. Net after-tax of other
comprehensive income

       (i) Other comprehensive income
items which will not be reclassified
subsequently to profit of loss

              1.Changes of the defined
benefit plans that re-measured

              2.Other comprehensive
income under equity method that
cannot be transfer to gain/loss

              3.Change of fair value of
investment in other equity instrument

              4.Fair value change of
enterprise's credit risk

              5. Other

        (ii) Other comprehensive
income items which will be
reclassified subsequently to profit or
loss

              1.Other comprehensive
income under equity method that can
transfer to gain/loss

              2.Change of fair value of
other debt investment

              3.Amount of financial
assets re-classify to other
comprehensive income

              4.Credit impairment
provision for other debt investment

              5.Cash flow hedging
reserve

              6.Translation differences
arising on translation of foreign
currency financial statements

              7.Other

VI. Total comprehensive income                 6,978,879.41                           781,782.08

VII. Earnings per share:

        (i) Basic earnings per share

       (ii) Diluted earnings per share


                                          22
                                                            深圳市特力(集团)股份有限公司 2021 年第一季度报告


5. Consolidated Cash Flow Statement

                                                                                                        In RMB

                  Item                    Current period                           Last period

 I. Cash flows arising from operating
 activities:

      Cash received from selling
 commodities and providing labor                       109,848,020.83                            93,983,432.07
 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
 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

      Other cash received concerning
                                                        11,550,283.76                             5,414,499.19
 operating activities

 Subtotal of cash inflow arising from
                                                       121,398,304.59                            99,397,931.26
 operating activities

      Cash paid for purchasing
 commodities and receiving labor                        88,137,934.55                            60,805,302.03
 service

      Net increase of customer loans
 and advances

      Net increase of deposits in

                                                  23
                                                  深圳市特力(集团)股份有限公司 2021 年第一季度报告


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
                                              16,710,093.55                         11,628,268.09
workers

     Taxes paid                                6,853,245.36                          8,147,976.74

     Other cash paid concerning
                                              14,461,264.55                         12,308,411.16
operating activities

Subtotal of cash outflow arising from
                                             126,162,538.01                         92,889,958.02
operating activities

Net cash flows arising from operating
                                              -4,764,233.42                          6,507,973.24
activities

II. Cash flows arising from investing
activities:

     Cash received from recovering
                                             325,600,000.00                       616,750,000.00
investment

     Cash received from investment
                                               1,727,815.78                          3,522,897.50
income

     Net cash received from disposal
of fixed, intangible and other                    52,200.00
long-term assets

     Net cash received from disposal
of subsidiaries and other units

     Other cash received concerning
investing activities

Subtotal of cash inflow from
                                             327,380,015.78                       620,272,897.50
investing activities

     Cash paid for purchasing fixed,
                                              18,363,630.41                         20,096,875.60
intangible and other long-term assets

     Cash paid for investment                377,380,000.00                       556,750,000.00

     Net increase of mortgaged loans

     Net cash received from
subsidiaries and other units obtained



                                        24
                                                   深圳市特力(集团)股份有限公司 2021 年第一季度报告


     Other cash paid concerning
investing activities

Subtotal of cash outflow from
                                              395,743,630.41                       576,846,875.60
investing activities

Net cash flows arising from investing
                                              -68,363,614.63                         43,426,021.90
activities

III. Cash flows arising from financing
activities

     Cash received from absorbing
investment

      Including: Cash received from
absorbing minority shareholders’
investment by subsidiaries

     Cash received from loans                  14,324,344.82

     Other cash received concerning
financing activities

Subtotal of cash inflow from
                                               14,324,344.82
financing activities

     Cash paid for settling debts

     Cash paid for dividend and
                                                 192,106.34
profit distributing or interest paying

     Including: Dividend and profit
of minority shareholder paid by
subsidiaries

     Other cash paid concerning
financing activities

Subtotal of cash outflow from
                                                 192,106.34
financing activities

Net cash flows arising from financing
                                               14,132,238.48
activities

IV. Influence on cash and cash
equivalents due to fluctuation in
exchange rate

V. Net increase of cash and cash
                                              -58,995,609.57                         49,933,995.14
equivalents

     Add: Balance of cash and cash
                                              208,462,656.63                       400,668,257.81
equivalents at the period -begin

VI. Balance of cash and cash
                                              149,467,047.06                       450,602,252.95
equivalents at the period -end


                                         25
                                                                       深圳市特力(集团)股份有限公司 2021 年第一季度报告


Legal representative: Fu Chunlong


Person in charge of accounting works: Lou Hong


Person in charge of accounting organ: Liao Zebin


6. Cash Flow Statement of Parent Company

                                                                                                                    In RMB

                   Item                            Current period                             Last period

 I. Cash flows arising from operating
 activities:

      Cash received from selling
 commodities and providing labor                                     690,817.00                                575,269.00
 services

      Write-back of tax received

      Other cash received concerning
                                                                 49,058,706.53                               14,348,329.71
 operating activities

 Subtotal of cash inflow arising from
                                                                 49,749,523.53                               14,923,598.71
 operating activities

      Cash paid for purchasing
 commodities and receiving labor
 service

      Cash paid to/for staff and
                                                                    7,864,712.51                              4,574,896.73
 workers

      Taxes paid                                                     451,025.56                               1,168,324.25

      Other cash paid concerning
                                                                    3,402,801.52                              2,064,143.81
 operating activities

 Subtotal of cash outflow arising from
                                                                 11,718,539.59                                7,807,364.79
 operating activities

 Net cash flows arising from operating
                                                                 38,030,983.94                                7,116,233.92
 activities

 II. Cash flows arising from investing
 activities:

      Cash received from recovering
                                                                117,900,000.00                              247,000,000.00
 investment

      Cash received from investment
                                                                    1,007,104.93                              1,738,115.07
 income

      Net cash received from disposal
 of fixed, intangible and other


                                                           26
                                                   深圳市特力(集团)股份有限公司 2021 年第一季度报告


long-term assets

     Net cash received from disposal
of subsidiaries and other units

     Other cash received concerning
investing activities

Subtotal of cash inflow from
                                              118,907,104.93                       248,738,115.07
investing activities

     Cash paid for purchasing fixed,
                                               17,025,982.76                         13,494,368.91
intangible and other long-term assets

     Cash paid for investment                 152,000,000.00                       207,000,000.00

     Net cash received from
subsidiaries and other units obtained

     Other cash paid concerning
investing activities

Subtotal of cash outflow from
                                              169,025,982.76                       220,494,368.91
investing activities

Net cash flows arising from investing
                                              -50,118,877.83                         28,243,746.16
activities

III. Cash flows arising from financing
activities

     Cash received from absorbing
investment

     Cash received from loans                  14,324,344.82

     Other cash received concerning
financing activities

Subtotal of cash inflow from
                                               14,324,344.82
financing activities

     Cash paid for settling debts

     Cash paid for dividend and
                                                 192,106.34
profit distributing or interest paying

     Other cash paid concerning
financing activities

Subtotal of cash outflow from
                                                 192,106.34
financing activities

Net cash flows arising from financing
                                               14,132,238.48
activities

IV. Influence on cash and cash
equivalents due to fluctuation in



                                         27
                                                                              深圳市特力(集团)股份有限公司 2021 年第一季度报告


 exchange rate

 V. Net increase of cash and cash
                                                                           2,044,344.59                         35,359,980.08
 equivalents

      Add: Balance of cash and cash
                                                                       42,609,260.98                          173,702,343.04
 equivalents at the period -begin

 VI. Balance of cash and cash
                                                                       44,653,605.57                          209,062,323.12
 equivalents at the period -end


II. Explanation on financial statement adjustment

1. Financial statement adjustment at the beginning of the first year when implementation of new leasing
rules from 2021

 Applicable □Not applicable
Whether to adjust the balance sheet account at the beginning of the year
 Yes □ No
Consolidate balance sheet
                                                                                                                       In RMB

               Item                   December 31, 2020                     January 1, 2021               Adjustment

 Current assets:

      Monetary fund                            237,625,698.93                      237,625,698.93

      Settlement provisions

      Capital lent

      Trading financial
                                               314,013,869.86                      314,013,869.86
 assets

      Derivative financial
 assets

      Note receivable

      Account receivable                        19,828,510.36                       19,828,510.36

      Receivable financing

      Accounts paid in
                                                  9,847,749.74                       9,847,749.74
 advance

      Insurance receivable

      Reinsurance
 receivables

      Contract reserve of
 reinsurance receivable

      Other account                             29,269,790.83                       29,269,790.83



                                                                 28
                                                       深圳市特力(集团)股份有限公司 2021 年第一季度报告


receivable

          Including: Interest
receivable

                  Dividend
                                  24,647,732.42             24,647,732.42
receivable

        Buying back the sale
of financial assets

        Inventories               22,079,679.93             22,079,679.93

         Contractual assets

        Assets held for sale

        Non-current asset due
within one year

        Other current assets       6,000,566.69              6,000,566.69

Total current assets             638,665,866.34            638,665,866.34

Non-current assets:

        Loans and payments
on behalf

        Debt investment

        Other debt investment

        Long-term account
receivable

        Long-term equity
                                 123,640,955.57            123,640,955.57
investment

        Investment in other
                                  10,176,617.20             10,176,617.20
equity instrument

        Other non-current
financial assets

        Investment real estate   568,246,616.13            568,246,616.13

        Fixed assets             119,136,917.91            119,136,917.91

        Construction in
                                 101,740,485.48            101,740,485.48
progress

        Productive biological
asset

        Oil and gas asset

         Right-of-use assets

        Intangible assets         51,627,673.21             51,627,673.21

        Expense on Research


                                                  29
                                                          深圳市特力(集团)股份有限公司 2021 年第一季度报告


and Development

        Goodwill

        Long-term expenses
                                    30,714,879.22              30,714,879.22
to be apportioned

        Deferred income tax
                                     8,498,822.10               8,498,822.10
asset

        Other non-current
                                    55,993,467.99              55,993,467.99
asset

Total non-current asset           1,069,776,434.81           1,069,776,434.81

Total assets                      1,708,442,301.15           1,708,442,301.15

Current liabilities:

        Short-term loans

        Loan from central
bank

        Capital borrowed

        Trading financial
liability

        Derivative financial
liability

Note payable

Account payable                     76,583,166.53              76,583,166.53

        Accounts received in
                                     2,403,580.47               2,403,580.47
advance

         Contractual liability      18,988,628.13              18,988,628.13

        Selling financial asset
of repurchase

        Absorbing deposit and
interbank deposit

Security trading of agency

        Security sales of
agency

        Wage payable                28,365,685.21              28,365,685.21

        Taxes payable               21,062,154.32              21,062,154.32

        Other account payable      158,663,974.62             158,663,974.62

          Including: Interest
payable

                                        46,295.65                  46,295.65


                                                     30
                                                      深圳市特力(集团)股份有限公司 2021 年第一季度报告


Dividend payable

     Commission charge
and commission payable

     Reinsurance payable

     Liability held for sale

     Non-current liabilities
due within one year

     Other current
                                  2,237,573.19              2,237,573.19
liabilities

Total current liabilities       308,304,762.47            308,304,762.47

Non-current liabilities:

Insurance contract reserve

     Long-term loans             11,171,759.33             11,171,759.33

     Bonds payable

        Including:
Preferred stock


Perpetual capital securities

       Lease liability

     Long-term account
                                  3,920,160.36              3,920,160.36
payable

     Long-term wages
payable

     Accrual liability             268,414.80                 268,414.80

     Deferred income               131,102.38                 131,102.38

     Deferred income tax
liabilities

     Other non-current
liabilities

Total non-current liabilities    15,491,436.87             15,491,436.87

Total liabilities               323,796,199.34            323,796,199.34

Owner’s equity:

     Share capital              431,058,320.00            431,058,320.00

     Other equity
instrument

        Including:
Preferred stock


                                                 31
                                                                           深圳市特力(集团)股份有限公司 2021 年第一季度报告




 Perpetual capital securities

        Capital public reserve                 431,449,554.51                   431,449,554.51

        Less: Inventory shares

        Other comprehensive
                                                    26,422.00                         26,422.00
 income

        Reasonable reserve

        Surplus public reserve                  23,848,485.62                     23,848,485.62

        Provision of general
 risk

        Retained profit                        424,141,893.34                   424,141,893.34

 Total owner’ s equity
 attributable to parent                      1,310,524,675.47                 1,310,524,675.47
 company

        Minority interests                      74,121,426.34                     74,121,426.34

 Total owner’ s equity                      1,384,646,101.81                 1,384,646,101.81

 Total liabilities and owner’
                                             1,708,442,301.15                 1,708,442,301.15
 s equity

Statement of adjustment
On 7 December 2018, the Ministry of Finance printed and issued the Accounting Standards for Business Enterprise No. 21 - Leasing
(Cai Kuai [2018] No.35) (hereinafter referred to as New Leasing Standard), the enterprises that listed both domestically and
internationally, as well as the enterprises listed aboard and adopting the IFRS or ASBEs for the preparation of financial statements,
are required to carry out the Standards from 1 January 2019; other enterprises implementing ASBEs will be effective from 1 January
2021.
The Company will make an accounting statement disclosures as required by the New Leasing Standard from 1 January 2021 without
retrospective adjusting the comparable data at the beginning of 2020 and without adjusting the information in comparable period.


Balance Sheet of Parent Company
                                                                                                                            In RMB

              Item                   December 31, 2020                   January 1, 2021                    Adjustment

 Current assets:

        Monetary funds                          71,772,303.28                     71,772,303.28

        Trading financial
                                               118,484,941.09                   118,484,941.09
 assets

        Derivative financial
 assets

        Note receivable

        Account receivable                         249,428.20                        249,428.20


                                                                 32
                                                      深圳市特力(集团)股份有限公司 2021 年第一季度报告


     Receivable financing

     Accounts paid in
advance

     Other account
                                126,970,097.13            126,970,097.13
receivable

          Including: Interest
receivable


                                   547,184.35                 547,184.35
Dividend receivable

     Inventories

     Contractual assets

     Assets held for sale

     Non-current assets
maturing within one year

     Other current assets

Total current assets            317,476,769.70            317,476,769.70

Non-current assets:

     Debt investment

     Other debt investment

     Long-term receivables

     Long-term equity
                                876,760,784.88            876,760,784.88
investments

     Investment in other
                                 10,176,617.20             10,176,617.20
equity instrument

     Other non-current
financial assets

     Investment real estate      31,971,205.42             31,971,205.42

     Fixed assets                19,082,604.22             19,082,604.22

     Construction in
                                100,252,309.72            100,252,309.72
progress

     Productive biological
assets

     Oil and natural gas
assets

     Right-of-use assets

         Intangible assets       50,135,951.98             50,135,951.98

     Research and


                                                 33
                                                       深圳市特力(集团)股份有限公司 2021 年第一季度报告


development costs

     Goodwill

     Long-term deferred
                                  8,786,280.69               8,786,280.69
expenses

     Deferred income tax
                                  3,397,708.75               3,397,708.75
assets

     Other non-current
                                 27,427,939.18              27,427,939.18
assets

Total non-current assets       1,127,991,402.04           1,127,991,402.04

Total assets                   1,445,468,171.74           1,445,468,171.74

Current liabilities

     Short-term
borrowings

     Trading financial
liability

     Derivative financial
liability

     Notes payable

     Account payable                267,841.07                 267,841.07

     Accounts received in
                                    682,934.41                 682,934.41
advance

     Contractual liability

     Wage payable                15,784,381.93              15,784,381.93

     Taxes payable                1,123,476.72               1,123,476.72

     Other accounts
                                345,894,297.23             345,894,297.23
payable

         Including: Interest
payable

                Dividend
payable

     Liability held for sale

     Non-current liabilities
due within one year

     Other current
liabilities

Total current liabilities       363,752,931.36             363,752,931.36

Non-current liabilities:


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                                                        深圳市特力(集团)股份有限公司 2021 年第一季度报告


     Long-term loans              11,171,759.33              11,171,759.33

     Bonds payable

         Including: preferred
stock

                  Perpetual
capital securities

     Lease liability

     Long-term account
payable

Long term employee
compensation payable

     Accrued liabilities

     Deferred income

     Deferred income tax
liabilities

     Other non-current
liabilities

Total non-current liabilities     11,171,759.33              11,171,759.33

Total liabilities                374,924,690.69             374,924,690.69

Owners’ equity:

     Share capital               431,058,320.00             431,058,320.00

     Other equity
instrument

         Including: preferred
stock

                  Perpetual
capital securities

     Capital public reserve      428,256,131.23             428,256,131.23

     Less: Inventory shares

     Other comprehensive
income

Special reserve

     Surplus reserve              23,848,485.62              23,848,485.62

     Retained profit             187,380,544.20             187,380,544.20

Total owner’s equity           1,070,543,481.05           1,070,543,481.05

Total liabilities and
                                1,445,468,171.74           1,445,468,171.74
owner’s equity


                                                   35
                                                                           深圳市特力(集团)股份有限公司 2021 年第一季度报告


Statement of adjustment
On 7 December 2018, the Ministry of Finance printed and issued the Accounting Standards for Business Enterprise No. 21 - Leasing
(Cai Kuai [2018] No.35) (hereinafter referred to as New Leasing Standard), the enterprises that listed both domestically and
internationally, as well as the enterprises listed aboard and adopting the IFRS or ASBEs for the preparation of financial statements,
are required to carry out the Standards from 1 January 2019; other enterprises implementing ASBEs will be effective from 1 January
2021.
The Company will make an accounting statement disclosures as required by the New Leasing Standard from 1 January 2021 without
retrospective adjusting the comparable data at the beginning of 2020 and without adjusting the information in comparable period.


2. Retrospective adjustment of the comparative data for initial new leasing rules from 2021

 Applicable □Not applicable
Statement of adjustment
On 7 December 2018, the Ministry of Finance printed and issued the Accounting Standards for Business Enterprise No. 21 - Leasing
(Cai Kuai [2018] No.35) (hereinafter referred to as New Leasing Standard), the enterprises that listed both domestically and
internationally, as well as the enterprises listed aboard and adopting the IFRS or ASBEs for the preparation of financial statements,
are required to carry out the Standards from 1 January 2019; other enterprises implementing ASBEs will be effective from 1 January
2021.
The Company will make an accounting statement disclosures as required by the New Leasing Standard from 1 January 2021 without
retrospective adjusting the comparable data at the beginning of 2020 and without adjusting the information in comparable period.


III. Audit report

Whether the 1st quarterly report has been audited or not
□Yes  No
1Q report of the Company is unaudited.




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