–季度收入2.972億美元–
– 凈利潤900萬美元–
–重申之前更新的2018財年業績導向指標,營收在10至12億美金之間,凈利潤在7,000萬到8,000萬美金之間–
中(zhong)(zhong)(zhong)國哈爾(er)濱2018年11月(yue)9日電 /美通(tong)社/ -- 中(zhong)(zhong)(zhong)國鑫達(da)塑(su)料(liao)有限公(gong)司(si)(si)(納斯達(da)克股票代碼:CXDC,”中(zhong)(zhong)(zhong)國鑫達(da)”或”公(gong)司(si)(si)”),一家在中(zhong)(zhong)(zhong)國主(zhu)要從事汽車專用(yong)高(gao)分子復合材(cai)料(liao)研(yan)發、生產(chan)及銷售的領先特種(zhong)化工企(qi)業,今天(tian)宣布其截止2018年9月(yue)30日第三(san)季度(du)的財務結果。
2018年第三季度財務亮點
“公司第三(san)季度結果(guo)與出乎預期的中國(guo)汽(qi)(qi)車(che)行(xing)業(ye)大幅下滑、28年來首次同比下降(jiang)相符合。此外進口汽(qi)(qi)車(che)關稅平均下調(diao)46%將對(dui)中國(guo)汽(qi)(qi)車(che)行(xing)業(ye)產生(sheng)深(shen)遠的影響。雖然我(wo)(wo)們(men)贊(zan)同政策(ce)導向的供給側改革(ge)是大勢所趨(qu),對(dui)中國(guo)汽(qi)(qi)車(che)產業(ye)長期發(fa)展(zhan)帶來益處,但是中國(guo)產業(ye)鏈在調(diao)整和(he)適應這一政策(ce)變(bian)化過程中、短期內將對(dui)整個國(guo)內汽(qi)(qi)車(che)市場產生(sheng)沖擊。在海(hai)外業(ye)務開(kai)發(fa)方(fang)面(mian),我(wo)(wo)們(men)非常高興(xing)鑫達(da)中東(dong)迪拜基地試(shi)(shi)生(sheng)產成功,同時對(dui)我(wo)(wo)們(men)海(hai)外市場擴張保持(chi)樂觀,公司已(yi)經(jing)成功為(wei)多(duo)家(jia)不(bu)同國(guo)家(jia)和(he)地區的客戶開(kai)發(fa)試(shi)(shi)料(liao)成功,已(yi)經(jing)取得(de)良好的試(shi)(shi)料(liao)結果(guo)并獲得(de)客戶正面(mian)的反饋.” 董(dong)事(shi)會主席(xi)兼首席(xi)執(zhi)行(xing)官韓杰(jie)說到(dao)。
2018年第三季度財務結果
2018年第三季度總收入為2.972億美元,相比2017年同期的總收入3.114億美元,下(xia)降(jiang)(jiang)了1420萬美元,或4.6%。同比下(xia)降(jiang)(jiang)的原因主(zhu)要是產品銷(xiao)(xiao)量下(xia)降(jiang)(jiang)2.7%,人(ren)民(min)幣兌美元貶值2.0% , 部(bu)分被(bei)產品的人(ren)民(min)幣銷(xiao)(xiao)售平(ping)均價格(ge)上漲0.1%所抵銷(xiao)(xiao)。
據中(zhong)國(guo)汽(qi)(qi)車制造商(shang)協會統計,2018年1-9月(yue)中(zhong)國(guo)汽(qi)(qi)車生產(chan)與銷(xiao)(xiao)(xiao)(xiao)(xiao)量(liang)(liang)(liang)同(tong)(tong)比小幅(fu)增(zeng)長,分(fen)別為0.9%及1.5%, 今年9月(yue)份汽(qi)(qi)車產(chan)銷(xiao)(xiao)(xiao)(xiao)(xiao)同(tong)(tong)比下降(jiang)(jiang)11.71% 和11.5%。2018年三季度中(zhong)國(guo)汽(qi)(qi)車銷(xiao)(xiao)(xiao)(xiao)(xiao)量(liang)(liang)(liang)于2018年7,8和9月(yue)同(tong)(tong)比分(fen)別下滑4.0%,3.8%和11.6%。自2018年夏天以(yi)來宏觀經濟狀況運行(xing)下行(xing),雖然公司華(hua)南銷(xiao)(xiao)(xiao)(xiao)(xiao)量(liang)(liang)(liang)增(zeng)加了(le)(le)208.9%, 華(hua)中(zhong)銷(xiao)(xiao)(xiao)(xiao)(xiao)量(liang)(liang)(liang)增(zeng)加了(le)(le)54.8%, 但其他(ta)區(qu)域銷(xiao)(xiao)(xiao)(xiao)(xiao)量(liang)(liang)(liang)均呈下降(jiang)(jiang),其中(zhong)西南銷(xiao)(xiao)(xiao)(xiao)(xiao)量(liang)(liang)(liang)下降(jiang)(jiang)了(le)(le)7.2%,華(hua)北銷(xiao)(xiao)(xiao)(xiao)(xiao)量(liang)(liang)(liang)下降(jiang)(jiang)了(le)(le)11.0%,東北銷(xiao)(xiao)(xiao)(xiao)(xiao)量(liang)(liang)(liang)下降(jiang)(jiang)了(le)(le)13.6%, 華(hua)東銷(xiao)(xiao)(xiao)(xiao)(xiao)量(liang)(liang)(liang)下降(jiang)(jiang)了(le)(le)0.2%。
人民幣(bi)售價上(shang)漲主(zhu)要是因為(wei)公司(si)銷售更(geng)多高端(duan)產品如(ru)改性PA66和PA6。
2018年第三季度海(hai)外收入為2,104美(mei)元,2017年同期(qi)(qi)為1410萬美(mei)元。除(chu)了現有(you)的(de)海(hai)外客(ke)戶外,公司(si)一直盡力在(zai)海(hai)外拓(tuo)展新客(ke)戶。由于該海(hai)外客(ke)戶的(de)應(ying)收賬款回收逾期(qi)(qi),公司(si)已暫(zan)停(ting)對此客(ke)戶的(de)海(hai)外銷售。
2018年(nian)第三季度毛(mao)利潤為(wei)(wei)4720萬美金,去(qu)年(nian)同(tong)期(qi)為(wei)(wei)4730萬美元(yuan)。 2018年(nian)第三季度毛(mao)利率為(wei)(wei)15.9%,2017年(nian)同(tong)期(qi)為(wei)(wei)15.2%,毛(mao)利率上(shang)升(sheng)的主要原因是(shi)公司(si)高端產品銷(xiao)售占比上(shang)升(sheng),今年(nian)第三季度為(wei)(wei)77.4%,去(qu)年(nian)同(tong)期(qi)為(wei)(wei)74.9%。
2018年(nian)第三季度的管理費(fei)用(yong)為(wei)810萬美(mei)元(yuan)(yuan),相比2017年(nian)同期為(wei)1040萬美(mei)元(yuan)(yuan),下(xia)降(jiang)230萬美(mei)元(yuan)(yuan),或22.1%,管理費(fei)用(yong)下(xia)降(jiang)主要(yao)由于公司優化管理結(jie)構、提高(gao)管理效率的措(cuo)施,(i)工資(zi)和社(she)會(hui)統(tong)籌費(fei)用(yong)下(xia)降(jiang)210萬美(mei)元(yuan)(yuan), (ii)其(qi)他管理費(fei)用(yong)下(xia)降(jiang)60萬美(mei)元(yuan)(yuan), (iii)辦公室(shi)房租下(xia)降(jiang)10萬美(mei)元(yuan)(yuan),(iv)部分被股份支付費(fei)用(yong)增長50萬美(mei)元(yuan)(yuan)所(suo)抵消。
2018年(nian)第(di)三季度(du)的研發(fa)費用(yong)(yong)為2330萬(wan)美元,較2017年(nian)同(tong)期的980萬(wan)美元,上(shang)漲了1350萬(wan)美元,增幅為137.8%。 研發(fa)費用(yong)(yong)大幅增加(jia)主(zhu)要(yao)(yao)是(shi)由于(i)加(jia)大研發(fa)活動以滿足潛在、特別是(shi)海外(wai)客戶(hu)對產品(pin)的新(xin)(xin)和更(geng)高(gao)規格要(yao)(yao)求;(ii) 除公司(si)(si)持續在汽(qi)車,船舶(bo),飛機,高(gao)速鐵路,3D打印材(cai)料,可(ke)生物降解塑料和醫(yi)療(liao)設(she)(she)備應用(yong)(yong)以外(wai),第(di)三季度(du)新(xin)(xin)增加(jia)針對新(xin)(xin)電(dian)子(zi)電(dian)器,新(xin)(xin)能源應用(yong)(yong),電(dian)力設(she)(she)備,航空設(she)(she)備和海洋工程應用(yong)(yong)的研發(fa)工作(zuo)。截(jie)至(zhi)2018年(nian)9月30日,公司(si)(si)正在進行的研發(fa)項(xiang)目數(shu)量為211個。
2018年第三(san)季度的(de)經營收(shou)入為(wei)1300萬美元(yuan),相比2017年同期為(wei)2620萬美元(yuan),下降了1320萬美元(yuan),或50.4%。這一下降主要是由于銷(xiao)售費用及(ji)研發費用上漲(zhang), 部分被下降的(de)管理費用所抵(di)消。
2018年(nian)(nian)第(di)(di)三季(ji)度(du)的(de)(de)凈利息支出為(wei)1,310萬美元(yuan)(yuan)(yuan)(yuan)(yuan),較2017年(nian)(nian)同期(qi)(qi)(qi)的(de)(de)900萬美元(yuan)(yuan)(yuan)(yuan)(yuan)增(zeng)加了(le)410萬美元(yuan)(yuan)(yuan)(yuan)(yuan)或45.6%,主要是由于(yu)(i)2018年(nian)(nian)第(di)(di)三季(ji)度(du)利息費用上升,長短(duan)期(qi)(qi)(qi)平(ping)均(jun)貸款(kuan)由去(qu)年(nian)(nian)同期(qi)(qi)(qi)的(de)(de)8.083億(yi)美元(yuan)(yuan)(yuan)(yuan)(yuan),增(zeng)加到(dao)(dao)今(jin)(jin)年(nian)(nian)三季(ji)度(du)的(de)(de)9.362億(yi)美元(yuan)(yuan)(yuan)(yuan)(yuan), 而2018年(nian)(nian)第(di)(di)三季(ji)度(du)的(de)(de)平(ping)均(jun)貸款(kuan)利率(lv)下降(jiang)至(zhi)4.01%,2017年(nian)(nian)同期(qi)(qi)(qi)為(wei)4.57%,部分被(ii)第(di)(di)三季(ji)度(du)利息收入(ru)下降(jiang)所抵消。 今(jin)(jin)年(nian)(nian)第(di)(di)三季(ji)度(du)平(ping)均(jun)存(cun)款(kuan)余額(e)由去(qu)年(nian)(nian)同期(qi)(qi)(qi)的(de)(de)5.031億(yi)美元(yuan)(yuan)(yuan)(yuan)(yuan),下降(jiang)到(dao)(dao)今(jin)(jin)年(nian)(nian)三季(ji)度(du)的(de)(de)2.408億(yi)美元(yuan)(yuan)(yuan)(yuan)(yuan), 存(cun)款(kuan)利率(lv)由去(qu)年(nian)(nian)同期(qi)(qi)(qi)的(de)(de)1.5% 下降(jiang)為(wei)今(jin)(jin)年(nian)(nian)第(di)(di)三季(ji)度(du)的(de)(de)1.0%。
2018年(nian)第(di)三(san)(san)季(ji)度的(de)所(suo)得(de)稅(shui)(shui)(shui)(shui)收益(yi)為(wei)(wei)(wei)350萬(wan)美(mei)(mei)元,實(shi)際所(suo)得(de)稅(shui)(shui)(shui)(shui)為(wei)(wei)(wei)負數65.1%,相比(bi)(bi)2017年(nian)同(tong)期的(de)所(suo)得(de)稅(shui)(shui)(shui)(shui)費用為(wei)(wei)(wei)310萬(wan)美(mei)(mei)元,實(shi)際所(suo)得(de)稅(shui)(shui)(shui)(shui)率(lv)(lv)為(wei)(wei)(wei)17.8%。2018第(di)三(san)(san)季(ji)度有效稅(shui)(shui)(shui)(shui)率(lv)(lv)大(da)幅下降的(de)主要原(yuan)因是(i)中國(guo)稅(shui)(shui)(shui)(shui)務總(zong)局頒布(bu)的(de)研發費用享受所(suo)得(de)稅(shui)(shui)(shui)(shui)加(jia)計(ji)扣除(chu)新政策,即境內(nei)企業自(zi)2018年(nian)1月1日起至2020年(nian)12月31日止,扣除(chu)比(bi)(bi)例由(you)50%上(shang)升至75%;ii) 今年(nian)第(di)三(san)(san)季(ji)度海(hai)外公(gong)司包括迪拜及香港子公(gong)司經營虧(kui)損增加(jia)。2018年(nian)第(di)三(san)(san)季(ji)度的(de)所(suo)得(de)稅(shui)(shui)(shui)(shui)稅(shui)(shui)(shui)(shui)率(lv)(lv)不同(tong)于中國(guo)的(de)法定所(suo)得(de)稅(shui)(shui)(shui)(shui)率(lv)(lv)25%,主要因為(wei)(wei)(wei)四川鑫達享受15%優惠(hui)所(suo)得(de)稅(shui)(shui)(shui)(shui)稅(shui)(shui)(shui)(shui)率(lv)(lv)及國(guo)內(nei)研發活動享受所(suo)得(de)稅(shui)(shui)(shui)(shui)75%加(jia)計(ji)扣除(chu)的(de)稅(shui)(shui)(shui)(shui)收政策。
2018年第三(san)季度(du)的(de)(de)凈利潤為900萬(wan)美(mei)元,2017年同期為1410萬(wan)美(mei)元,下降了(le)510萬(wan)美(mei)元,即(ji)36.2%。基(ji)(ji)本和攤薄每(mei)股收益(yi)均為0.13美(mei)元,相比之下2017年第三(san)季度(du)基(ji)(ji)本和稀釋每(mei)股收益(yi)均為0.21美(mei)元。截至2018年9月30日(ri)的(de)(de)三(san)個(ge)月,用于(yu)計算基(ji)(ji)本及(ji)攤薄每(mei)股收益(yi)的(de)(de)平(ping)均股份數量(liang)均為5,090萬(wan)股,2017同期均為4,964萬(wan)股。
2018年(nian)的第三季度調(diao)(diao)整(zheng)息稅折(zhe)舊(jiu)與攤(tan)銷前利(li)潤為3,000萬美元(yuan),相比2017年(nian)同期的3,900萬美元(yuan),下降了900萬美元(yuan),即23.1%。關于調(diao)(diao)整(zheng)息稅折(zhe)舊(jiu)與攤(tan)銷前利(li)潤、非公認會(hui)(hui)計(ji)準則(ze)衡(heng)量和最(zui)新公認會(hui)(hui)計(ji)準則(ze)等價物調(diao)(diao)節的詳細情況,請(qing)參(can)見本新聞(wen)稿最(zui)后的財(cai)務報表。
財務狀況
截(jie)至2018年(nian)9月30日(ri)(ri),本(ben)公司現(xian)金(jin)及(ji)現(xian)金(jin)等價物、限(xian)制性現(xian)金(jin)及(ji)商(shang)業(ye)銀(yin)行(xing)定期存(cun)款(kuan)3.947億美(mei)(mei)元(yuan)(yuan)(yuan),較2017年(nian)12月31日(ri)(ri)的6.081億美(mei)(mei)元(yuan)(yuan)(yuan)下降了2.134億美(mei)(mei)元(yuan)(yuan)(yuan)即35.1%。運營資金(jin)(流(liu)動(dong)資產減去流(liu)動(dong)負(fu)債(zhai))為負(fu)數1.858億美(mei)(mei)元(yuan)(yuan)(yuan),流(liu)動(dong)比率(lv)(lv)(流(liu)動(dong)資產除(chu)以流(liu)動(dong)負(fu)債(zhai))為0.9,2017年(nian)12月31日(ri)(ri)流(liu)動(dong)比率(lv)(lv)為1.0。截(jie)至2018年(nian)9月01日(ri)(ri)的股東權(quan)益為7.332億美(mei)(mei)元(yuan)(yuan)(yuan),較2017年(nian)12月31日(ri)(ri)的7.128億美(mei)(mei)元(yuan)(yuan)(yuan)提高了了2,040萬美(mei)(mei)元(yuan)(yuan)(yuan),即2.9%。
與2017年(nian)財年(nian)比,2018年(nian)第三季度,庫(ku)存(cun)增(zeng)(zeng)加(jia)(jia)(jia)了(le)34.4%,原(yuan)因(yin)(yin)是增(zeng)(zeng)加(jia)(jia)(jia)原(yuan)材(cai)料(liao)(liao)(liao)采(cai)(cai)購和執行為(wei)即將到來的訂單而(er)備(bei)貨(huo)的庫(ku)存(cun)策(ce)略。預(yu)(yu)付費用(yong)及其他流動資產(chan)較去年(nian)同(tong)期(qi)增(zeng)(zeng)加(jia)(jia)(jia)了(le)15.8%,上升了(le)2280萬(wan)美元(yuan), 主(zhu)要因(yin)(yin)為(wei)原(yuan)材(cai)料(liao)(liao)(liao)預(yu)(yu)付款(kuan)(kuan)(kuan)(kuan)增(zeng)(zeng)加(jia)(jia)(jia)。設(she)備(bei)預(yu)(yu)付款(kuan)(kuan)(kuan)(kuan)增(zeng)(zeng)加(jia)(jia)(jia)了(le)178.1%,即3.394億(yi)美元(yuan),主(zhu)要是因(yin)(yin)為(wei)(i)黑(hei)龍江鑫達預(yu)(yu)付了(le)30萬(wan)噸(dun)生(sheng)物復合材(cai)料(liao)(liao)(liao)和10萬(wan)噸(dun)工程塑料(liao)(liao)(liao)工業項(xiang)目(mu)設(she)備(bei)升級改造的設(she)備(bei)采(cai)(cai)購款(kuan)(kuan)(kuan)(kuan)項(xiang),(ii)四川鑫達預(yu)(yu)付了(le)30萬(wan)噸(dun)生(sheng)物復合材(cai)料(liao)(liao)(liao)項(xiang)目(mu)的設(she)備(bei)采(cai)(cai)購款(kuan)(kuan)(kuan)(kuan)項(xiang)。由于償還貸(dai)款(kuan)(kuan)(kuan)(kuan),長(chang)短期(qi)借款(kuan)(kuan)(kuan)(kuan)下降了(le)7.9%。我們將可控債務水(shui)平定義為(wei)長(chang)短期(qi)借款(kuan)(kuan)(kuan)(kuan)與應付票(piao)據的總(zong)和除以總(zong)資產(chan)。
最新進展
2018年10月31日, 黑(hei)(hei)龍(long)江(jiang)鑫(xin)達(da)企(qi)業集團有(you)限(xian)公(gong)司(“鑫(xin)達(da)集團”)與(yu)中國建(jian)設(she)銀(yin)行(xing)(xing)旗下的建(jian)信(xin)金(jin)融資(zi)(zi)產(chan)投(tou)資(zi)(zi)有(you)限(xian)公(gong)司(“建(jian)信(xin)投(tou)資(zi)(zi)”)及中國建(jian)設(she)銀(yin)行(xing)(xing)股份(fen)有(you)限(xian)公(gong)司黑(hei)(hei)龍(long)江(jiang)省(sheng)(sheng)分(fen)行(xing)(xing)(“建(jian)行(xing)(xing)黑(hei)(hei)龍(long)江(jiang)省(sheng)(sheng)分(fen)行(xing)(xing)”)簽署(shu)降杠桿(gan)暨市場(chang)化投(tou)資(zi)(zi)框架協(xie)(xie)議(yi)(“協(xie)(xie)議(yi)”),該協(xie)(xie)議(yi)受(shou)限(xian)于(yu)各方簽署(shu)的最終協(xie)(xie)議(yi),建(jian)信(xin)投(tou)資(zi)(zi)與(yu)建(jian)行(xing)(xing)黑(hei)(hei)龍(long)江(jiang)省(sheng)(sheng)分(fen)行(xing)(xing)擬以股權(quan)、債權(quan)等(deng)(deng)多種方式(shi)向(xiang)鑫(xin)達(da)集團及或其關聯方提供(gong)預計為人民(min)幣20億(yi)元(約(yue)2.89億(yi)美金(jin))的資(zi)(zi)金(jin),主要用(yong)于(yu)歸還(huan)銀(yin)行(xing)(xing)貸款等(deng)(deng)有(you)息負債,促(cu)進企(qi)業轉型(xing)發展,提高企(qi)業管(guan)理水平。最終投(tou)資(zi)(zi)交(jiao)割(ge)(ge)將取決于(yu)并在建(jian)信(xin)投(tou)資(zi)(zi)與(yu)建(jian)行(xing)(xing)黑(hei)(hei)龍(long)江(jiang)省(sheng)(sheng)分(fen)行(xing)(xing)完(wan)成其滿(man)意的盡職調查結果、商業安排(pai)、法(fa)律可(ke)行(xing)(xing)性等(deng)(deng)慣例條(tiao)件的完(wan)成和滿(man)足。公(gong)司將全力(li)配合建(jian)信(xin)投(tou)資(zi)(zi)與(yu)建(jian)行(xing)(xing)黑(hei)(hei)龍(long)江(jiang)省(sheng)(sheng)分(fen)行(xing)(xing)的工作(zuo),但(dan)對投(tou)資(zi)(zi)交(jiao)割(ge)(ge)日期不(bu)做(zuo)預期,也不(bu)承(cheng)諾簽署(shu)最終協(xie)(xie)議(yi)。
業務展望和導向
中(zhong)(zhong)(zhong)(zhong)國(guo)汽車市場今年(nian)第三季(ji)度(du)遭受了前所(suo)未有(you)的(de)(de)(de)(de)低(di)迷,產銷(xiao)量同(tong)比也(ye)首次(ci)大幅下(xia)滑。中(zhong)(zhong)(zhong)(zhong)國(guo)汽車工(gong)業(ye)(ye)(ye)協會(hui)公(gong)布統(tong)計(ji)數據(ju)也(ye)遠低(di)于早(zao)期(qi)(qi)的(de)(de)(de)(de)預(yu)期(qi)(qi),2018年(nian)三季(ji)度(du)中(zhong)(zhong)(zhong)(zhong)國(guo)汽車銷(xiao)量于2018年(nian)7,8和(he)(he)9月同(tong)比分別下(xia)滑4.0%,3.8%和(he)(he)11.6%。諸多(duo)中(zhong)(zhong)(zhong)(zhong)國(guo)汽車行業(ye)(ye)(ye)產業(ye)(ye)(ye)鏈企業(ye)(ye)(ye)也(ye)經歷了市場大環境低(di)迷的(de)(de)(de)(de)影(ying)響,鑫達也(ye)不例外。基于以上原因和(he)(he)中(zhong)(zhong)(zhong)(zhong)國(guo)宏觀(guan)經濟環境的(de)(de)(de)(de)變化,公(gong)司重申其之(zhi)前披(pi)露過更(geng)新的(de)(de)(de)(de)2018財(cai)年(nian)的(de)(de)(de)(de)業(ye)(ye)(ye)績導向指標,目前預(yu)計(ji)營收在(zai)10至12億美金之(zhi)間,凈利(li)潤7,000萬到8000千萬美金之(zhi)間。這(zhe)一預(yu)測基于美元和(he)(he)人民幣平均匯率在(zai)6.9和(he)(he)公(gong)司預(yu)計(ji)要(yao)發生的(de)(de)(de)(de)長期(qi)(qi)和(he)(he)短期(qi)(qi)債(zhai)務利(li)息費用,反映了公(gong)司當(dang)前和(he)(he)非最終的(de)(de)(de)(de)觀(guan)點,可能會(hui)改變。
鑫(xin)達(da)中東迪(di)拜(bai)(bai)基地試生(sheng)產(chan)成(cheng)功(gong),并將(jiang)于11月11日舉行投(tou)產(chan)儀式。預計2019年迪(di)拜(bai)(bai)基地年產(chan)能將(jiang)達(da)1.125萬噸。截(jie)止目(mu)前,迪(di)拜(bai)(bai)鑫(xin)達(da)已經開發試料成(cheng)功(gong)多家海外客(ke)戶(hu),分布于西班牙、意大利、阿聯酋(qiu)、馬來西亞、印度等地。主要產(chan)品(pin)包括(kuo)長鏈尼龍合金(jin)以及(ji)高端工程塑料等。
電話會議
中(zhong)(zhong)國鑫達將在2018年(nian)11月(yue)9日星(xing)期(qi)五美(mei)國東部(bu)時(shi)間上午9:00舉行電話(hua)會議,討論2018年(nian)第三(san)季度的財務結果(guo)。欲(yu)參加電話(hua)會議,美(mei)國聽眾(zhong)可以撥打(da)+1- 845-675- 0437,中(zhong)(zhong)國大陸聽眾(zhong)撥打(da)+86-4006- 208-038 , 香港聽眾(zhong)撥打(da)+852- 3018-6771,之(zhi)后輸入密碼9078388。
電話會議的錄(lu)音可以在(zai)2018年11月16日之前(qian)重新播放,美國聽眾請撥打+1-855-452-5696 ,之后輸入密碼9078388。
網上直播以及電話會議重播可以在公司的投資者關系網頁上收聽到,網址為://chinaxd.net/。
關于中國鑫達塑料有限公司
中國鑫達塑料有限公司,一家通過它全資擁有的子公司(簡稱“公司”)主要從事汽車專用高分子復合材料的研發、生產和銷售的領先特種化工企業,其產品被廣泛應用于奧迪、奔馳、寶馬、別克、雪佛蘭、大眾、捷達、馬自達、沃爾沃、福特、雪鐵龍、金杯、帕薩特、捷達等31種汽車品牌的外飾件、內飾件及功能件。公司全資擁有的研發中心致力于高分子復合材料的研發并得益于與中國著名高校的知名科學家的合作。截至2018年9月30日,476項產品已通過一家或多家中國汽車生產商認證并使用。欲獲取更多信息,請訪問公司英文主頁//chinaxd.net/及公司中文主頁//www.xdholding.com。
安全港聲明
該聲明包含了《1995年私人證券訴訟改革法案》中的安全港條款里的前瞻性聲明。除了該聲明中的歷史事實陳述之外,所有的聲明都為前瞻性聲明,包括但不限于,公司在國際市場上增長的潛力;公司多元化產品格局舉措的有效性及盈利性;公司向高端產品轉移的產品組合的的有效性、盈利性和適銷性;公司迪拜廠區的前景及其向中東、歐洲和亞洲其他地區的相應拓展;公司在中國四川的廠區的前景及其未來向中國西南市場的相應拓展;公司在中國哈爾濱廠區的前景及未來向中國東北市場的相應拓展;公司對于2018財年的營收預測。這些前瞻性聲明可以被“將”“期待”“預測”“預估”“預報”“計劃”“相信”“預測”或類似的詞語識別出來。這些前瞻性聲明包含已知風險、未知風險以及不確定因素, 并根據對該公司及行業目前的預期、假定、估計以及預測做出。一些因素可能導致公司的最終結果與前瞻性聲明中描述產生重大不同。可能的風險和不確定性包括,但不限于,國際經濟市場的不確定性可能進一步減少汽車市場從而限制市場對于公司產品的需求;汽車銷售和生產的變動會對公司的流動性和經營狀況產生重大不利影響;公司的財務狀況可能被迪拜廠區的前景及其向中東、歐洲和亞洲其他區域的拓展情況所影響;政府優惠政策的取消,中國汽車行業的監管的收緊以及在某些大型城市對于購車限制的加強,都會限制市場對于公司產品的需求;中國汽車行業的發展放緩;公司的經銷商、消費者和供應商的集中;以及其他的與美國證券交易委員會并且在//www.sec.gov網(wang)頁上有(you)效的(de)(de)(de)(de)(de)公司(si)文件的(de)(de)(de)(de)(de)詳細風險。本公司(si)無任何義務承擔更新除了法(fa)律(lv)可(ke)能(neng)需(xu)要的(de)(de)(de)(de)(de)內容之外的(de)(de)(de)(de)(de)未來可(ke)能(neng)發生(sheng)的(de)(de)(de)(de)(de)事情(qing)、情(qing)況或者預(yu)期(qi)的(de)(de)(de)(de)(de)變(bian)更的(de)(de)(de)(de)(de)前(qian)瞻(zhan)性聲明。雖然公司(si)認為該(gai)前(qian)瞻(zhan)性聲明中所表述的(de)(de)(de)(de)(de)預(yu)測是合理的(de)(de)(de)(de)(de),但是他們(men)不能(neng)保證這些預(yu)測是正確的(de)(de)(de)(de)(de),投資者應該(gai)小心實際的(de)(de)(de)(de)(de)結果(guo)可(ke)能(neng)與預(yu)期(qi)的(de)(de)(de)(de)(de)結果(guo)有(you)很大的(de)(de)(de)(de)(de)不同。
CHINA XD PLASTICS COMPANY LIMITED AND SUBSIDIARIES |
|||||||
UNAUDITED CONDENSED CONSOLIDATED BALANCE SHEETS |
|||||||
September 30, |
December 31, |
||||||
2018 |
2017 |
||||||
US$ |
US$ |
||||||
ASSETS |
|||||||
Current assets: |
|||||||
Cash and cash equivalents |
51,539,593 |
190,392,211 |
|||||
Restricted cash |
335,915,478 |
129,699,454 |
|||||
Time deposits |
7,268,287 |
288,023,017 |
|||||
Accounts receivable, net of allowance for doubtful accounts |
173,278,607 |
298,868,984 |
|||||
Inventories |
566,810,166 |
421,736,682 |
|||||
Prepaid expenses and other current assets |
167,109,645 |
144,326,151 |
|||||
Total current assets |
1,301,921,776 |
1,473,046,499 |
|||||
Property, plant and equipment, net |
787,330,204 |
835,561,739 |
|||||
Land use rights, net |
29,881,029 |
31,943,652 |
|||||
Long-term prepayments to equipment and construction suppliers |
529,973,047 |
190,627,514 |
|||||
Other non-current assets |
777,392 |
12,924,279 |
|||||
Total assets |
2,649,883,448 |
2,544,103,683 |
|||||
LIABILITIES, REDEEMABLE CONVERTIBLE PREFERRED STOCK AND STOCKHOLDERS' EQUITY |
|||||||
Current liabilities: |
|||||||
Short-term loans, including current portion of long-term bank loans |
692,120,072 |
775,396,929 |
|||||
Bills payable |
626,322,828 |
252,768,510 |
|||||
Accounts payable |
26,535,220 |
227,993,140 |
|||||
Amounts due to related parties |
14,256,429 |
- |
|||||
Income taxes payable |
11,495,721 |
17,710,217 |
|||||
Accrued expenses and other current liabilities |
116,926,581 |
138,605,509 |
|||||
Total current liabilities |
1,487,656,851 |
1,412,474,305 |
|||||
Long-term bank loans, excluding current portion |
127,253,750 |
114,208,319 |
|||||
Deferred income |
100,571,327 |
99,168,276 |
|||||
Other non-current liabilities |
103,629,677 |
107,898,318 |
|||||
Total liabilities |
1,819,111,605 |
1,733,749,218 |
|||||
Redeemable Series D convertible preferred stock (redemption amount of |
97,576,465 |
97,576,465 |
|||||
Stockholders' equity: |
|||||||
Series B preferred stock |
100 |
100 |
|||||
Common stock, US$0.0001 par value, 500,000,000 shares authorized, |
5,047 |
4,975 |
|||||
Treasury stock, 21,000 shares at cost |
(92,694) |
(92,694) |
|||||
Additional paid-in capital |
86,429,980 |
83,159,893 |
|||||
Retained earnings |
704,079,389 |
648,790,469 |
|||||
Accumulated other comprehensive loss |
(57,226,444) |
(19,084,743) |
|||||
Total stockholders' equity |
733,195,378 |
712,778,000 |
|||||
Commitments and contingencies |
- |
- |
|||||
Total liabilities, redeemable convertible preferred stock and equity |
2,649,883,448 |
2,544,103,683 |
CHINA XD PLASTICS COMPANY LIMITED AND SUBSIDIARIES |
|||||||||||||
UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME |
|||||||||||||
Three-Month Period Ended |
Nine-Month Period Ended |
||||||||||||
2018 |
2017 |
2018 |
2017 |
||||||||||
US$ |
US$ |
US$ |
US$ |
||||||||||
Revenues |
297,224,740 |
311,418,943 |
925,007,293 |
862,814,803 |
|||||||||
Cost of revenues |
(249,997,804) |
(264,099,790) |
(767,759,035) |
(717,614,278) |
|||||||||
Gross profit |
47,226,936 |
47,319,153 |
157,248,258 |
145,200,525 |
|||||||||
Selling expenses |
(2,741,156) |
(858,739) |
(7,354,876) |
(2,082,889) |
|||||||||
General and administrative expenses |
(8,117,769) |
(10,403,187) |
(28,341,545) |
(26,301,440) |
|||||||||
Research and development expenses |
(23,342,321) |
(9,857,475) |
(33,680,855) |
(25,255,497) |
|||||||||
Total operating expenses |
(34,201,246) |
(21,119,401) |
(69,377,276) |
(53,639,826) |
|||||||||
Operating income |
13,025,690 |
26,199,752 |
87,870,982 |
91,560,699 |
|||||||||
Interest income |
264,838 |
1,894,747 |
3,607,136 |
4,028,299 |
|||||||||
Interest expense |
(13,393,886) |
(10,892,112) |
(37,562,666) |
(32,865,939) |
|||||||||
Foreign currency exchange gains (losses) |
4,387,166 |
(2,372,361) |
6,064,328 |
(4,719,423) |
|||||||||
Losses on foreign currency option contracts |
- |
(584,724) |
(520,981) |
(584,724) |
|||||||||
Government grant |
1,145,703 |
2,955,045 |
4,001,746 |
5,418,498 |
|||||||||
Total non-operating expense, net |
(7,596,179) |
(8,999,405) |
(24,410,437) |
(28,723,289) |
|||||||||
Income before income taxes |
5,429,511 |
17,200,347 |
63,460,545 |
62,837,410 |
|||||||||
Income tax benefit (expense) |
3,535,430 |
(3,063,889) |
(8,171,625) |
(10,735,971) |
|||||||||
Net income |
8,964,941 |
14,136,458 |
55,288,920 |
52,101,439 |
|||||||||
Earnings per common share: |
|||||||||||||
Basic and diluted |
0.13 |
0.21 |
0.83 |
0.79 |
|||||||||
Net Income |
8,964,941 |
14,136,458 |
55,288,920 |
52,101,439 |
|||||||||
Other comprehensive income (losses) |
|||||||||||||
Foreign currency translation adjustment, net of nil income taxes |
(28,497,101) |
15,887,423 |
(38,141,701) |
33,557,087 |
|||||||||
Total Comprehensive income (losses) |
(19,532,160) |
30,023,881 |
17,147,219 |
85,658,526 |
CHINA XD PLASTICS COMPANY LIMITED AND SUBSIDIARIES |
||||||
UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS |
||||||
Nine-Month Period Ended September 30, |
||||||
2018 |
2017 |
|||||
US$ |
US$ |
|||||
Cash flows from operating activities: |
||||||
Net cash provided by operating activities |
115,513,922 |
144,871,143 |
||||
Cash flows from investing activities: |
||||||
Proceeds from maturity of time deposits |
517,686,072 |
249,029,754 |
||||
Purchase of time deposits |
(236,428,396) |
(396,036,693) |
||||
Purchase of land use rights |
- |
(3,203,611) |
||||
Purchase of and deposits for property, plant and equipment |
(430,839,423) |
(338,711,968) |
||||
Refund of deposit from equipment suppliers |
121,464,390 |
122,322,463 |
||||
Deposits for acquisition of equity |
(3,640,688) |
- |
||||
Refund of deposits for acquisition of equity |
15,577,880 |
- |
||||
Government grant related to the construction of Sichuan plant |
10,324,859 |
7,207,612 |
||||
Net cash used in investing activities |
(5,855,306) |
(359,392,443) |
||||
Cash flows from financing activities: |
||||||
Proceeds from bank borrowings |
719,994,473 |
571,141,361 |
||||
Repayments of bank borrowings |
(757,018,030) |
(450,252,497) |
||||
Investment received in advance from a related party |
75,567,512 |
- |
||||
Refund of investment received in advance from a related party |
(75,567,512) |
- |
||||
Proceeds from interest-free advances from related parties |
14,256,429 |
- |
||||
Net cash (used in) provided by financing activities |
(22,767,128) |
120,888,864 |
||||
Effect of foreign currency exchange rate changes on cash, cash equivalents and restricted cash |
(19,528,082) |
9,377,096 |
||||
Net increase (decrease) in cash, cash equivalents and restricted cash |
67,363,406 |
(84,255,340) |
||||
Cash, cash equivalents and restricted cash at beginning of period |
320,091,665 |
271,575,847 |
||||
Cash, cash equivalents and restricted cash at end of period |
387,455,071 |
187,320,507 |
||||
Supplemental disclosure of cash flow information: |
||||||
Interest paid, net of capitalized interest |
35,067,228 |
28,035,022 |
||||
Income taxes paid |
16,866,842 |
9,098,388 |
||||
Non-cash investing activities: |
||||||
Accrual for purchase of equipment and construction included in accrued expenses and other current liabilities |
5,825,800 |
6,851,777 |
The following table shows a reconciliation of cash, cash equivalents and restricted cash on the condensed consolidated balance sheets to that presented in the above condensed consolidated statements of cash flows.
September 30, |
||||||
2018 |
2017 |
|||||
US$ |
US$ |
|||||
Cash and cash equivalents |
51,539,593 |
46,767,025 |
||||
Restricted cash |
335,915,478 |
140,553,482 |
||||
Total cash, cash equivalents, and restricted cash shown in the statement of cash flows |
387,455,071 |
187,320,507 |
CHINA XD PLASTICS COMPANY LIMITED |
|||
Reconcilation of Net Income to EBITDA |
|||
(Amounts expressed in United States Dollars) |
|||
Three Months Ended |
|||
September 30, |
|||
2,018 |
2,017 |
||
Net income |
$ 8,964,941 |
$ 14,136,458 |
|
Interest expense |
13,393,886 |
10,892,112 |
|
(Benefit) provision for income taxes |
(3,535,430) |
3,063,889 |
|
Depreciation and amortization expense |
11,157,560 |
10,920,798 |
|
EBITDA |
29,980,957 |
39,013,257 |