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4 1 2 SHANGHAI LINGYUN INDUSTRIES DEVELOPMENT CO., LTD. 1 sd01@elingyun.com 2 sd02@elingyun.com B

5 ,022, ,575, ,028, ,347, , ,336, ,161, ,334, , ,530, ,856, , ,334, , , , , ,547, % 2002 ( ) % (%)

6 % (%) % % / ,000, ,363, ,363, ,906, ,876, ,782, ,453, ,938, ,391, ,521, ,761, ,283, ,244, ,575, ,820,

7 (+,-) 1 165,000, ,000, ,000, ,000, ,000, ,000, ,000, ,000, ,000, ,000, ,000, ,000, B (B )

8 % 1 84,670, ,180, ,670, ,050, ,430, ,600, B 7 1,200, B 8 WANXIANG INTERNATIONAL INVESTMENT 840, B CORPORATION 9 706, B , B % 1 1,600, B 2 1,200, B 3 WANXIANG INTERNATIONAL INVESTMENT CORPORATION 840, B 4 706, B 5 571, B 6 454, B 7 VEC BVI LTD 400, B 8 371, B 9 350, B 10 HK/IT SA , B % - 8 -

9 35.4% 65.92% 60% 75.4% 24.26% 5% 19.53%

10

11 / % 32.44% 46.10%

12 ,722, %

13 ,722, % ,722, % ,722, % ,722, % ,672, ,050, % ,585,680 99,379,323 5,578,546 2,789,273 91,011, ,722, % 7 162,722, % ,052, % 1 157,052, % 2 72,382, % 3 157,052, %

14 ,850, ,640 4,050, % ,375, % % %

15 2004. % % 208,100, ,374, ,933, ,972, ,875 % ,060 % % 2,887,704, ,297,616, ,820, ,244, ,969,548, ,535,265, ,100, ,100,

16 % 314,033, ,656, ,347, ,932, ,575, ,585, %

17 / / / %

18 % ,575, ,876,263 2,938,131 91,283, < > ,140, ,000,

19 5,190, ,910, ,000, ,000, ,000, ,000, ,000, ,000, ,000, ,000, ,000, ,000, ,000, ,516, ,875, ,631, ,115, ,100, ,000, % ,631, % 50%

20 [2003]

21 ,958, ,505, ,058, ,605, ,951, ,811, ,000, ,763, , , ,185, ,007, ,007, , , ,330, ,330, , , , ,319, ,146, ,814, ,987, ,526, ,679, ,845, ,693, , , , , ,400, ,400,

22 / %

23 - 23 -

24 %

25 13,140, ,000, ,190, ,910, ,000, ,000, ,000, ,000, ,000, ,000, ,000, ,000, ,000, ,000, ,000, ,516, ,875, ,631, ,115, ,100, ,000, % 5%

26 [2000]1054 B [2000] % 42% ,116, / % %

27

28 00 331,046, ,903, ,878, ,552, ,636, ,214, , ,768, ,303, ,768, ,303, ,515, ,575, ,733, ,467, ,273, ,528, ,773,750 88,932, , ,617,825, ,340, , , , , ,267,303, ,819,777, ,018, ,438, ,766, ,621, ,928, ,558, ,766, ,621, ,928, ,558, : 22,995, ,585, ,225, ,587, ,867, ,418, ,362, ,681, ,220, ,166, ,863, ,905, ,646, ,300, ,300, ,300, ,300, ,866, ,563, ,605, ,346, ,024, ,167, ,891, ,730, ,605, ,346, ,414, ,023, ,529, ,072, ,072, ,743, ,487, ,023, ,529, ,887,704, ,297,616, ,476,576, ,467,872,

29 838,619, ,070,900, ,649, ,000, ,217, ,341, ,348, ,244, ,553, ,513, ,513, , , , , , ,568, ,568, ,568, ,568, ,487, ,997, , , , , ,356, ,075, ,786, ,063, ,952, ,642, ,952, ,584, ,000, ,000, ,424,448, ,383,165, ,617, ,154, ,100, ,100, ,100, ,100, ,969,548, ,535,265, ,617, ,154, ,335, ,106, ,000, ,000, ,000, ,000, ,363, ,363, ,363, ,363, ,173, ,359, ,940, ,954, ,391, ,453, ,313, ,651, ,283, ,521, ,653, ,399, : 678,820, ,244, ,958, ,718, ,887,704, ,297,616, ,476,576, ,467,872,

30 314,033, ,656, ,844, ,937, ,842, ,786, ,347, ,932, , ,942, ,216, ,181, ,941, ,695, ,127, ,598, ,865, ,150, ,682, ,541, ,870, ,336, ,122, ,140, ,520, ,161, ,434, ,581, ,275, ,334, , ,787, , , , , ,022, ,143, ,240, ,755, ,212, ,370, ,234, ,187, ,575, ,585, ,240, ,755, ,521, ,793, ,399, ,097, ,097, ,379, ,639, ,853, ,876, ,578, ,324, ,975, ,938, ,789, , , ,283, ,011, ,653, ,889, ,490, ,490, ,283, ,521, ,653, ,399,

31 262,540, ,251, ,600, ,334, ,136, ,047, ,639, ,484, ,011, ,298, ,639, ,084, ,665, ,296, ,167, ,134, ,352, ,767, ,233, ,039, , , , ,,480, ,332, ,676, ,099,541, ,951, ,484, ,153, ,530, ,652, ,155, ,069, , ,090, ,022, ,009, ,069, , ,069, ,356, ,245, ,102, ,090, ,408, ,476, , ,915, ,620, ,000, ,000, , ,323, ,103, ,000, ,710, ,966, ,858, ,897, ,379, ,496, ,500, ,047,100, ,207,800, ,270,900, ,000, , ,223,457, ,220,300, ,270,900, ,000, ,900,250, ,000, ,324,250, ,000, ,485, ,442, ,510, ,999, , , ,984,746, ,482, ,364,761, ,999, ,710, ,817, ,861, ,000, , , , , ,856, ,274, ,673, ,278,

32 1 12,575, ,585, ,240, ,755, ,234, ,187, ,240, ,364, , ,615, ,098, , , , ,965, ,777, , , , , , , , , , , ,557, ,213, ,557, ,213, ,161, ,434, ,581, ,275, ,118, ,397, ,616, ,259, ,532, ,165, ,070, ,201, ,696, ,381, ,722, ,530, ,652, ,155, ,069, ,046, ,903, ,878, ,552, ,903, ,629, ,552, ,273, ,856, ,274, ,673, ,278,

33 1,717, ,072, , , ,686, , ,072, ,319, ,427, , , ,367, , , , , ,300, ,300, ,300, ,300,

34 3,445, , ,862, ,862, ,717, , , , ,332,969 1,862, ,862,456 1,470, , , , , , , ,820, ,820, ,820, ,820, ,820, ,820, ,300, ,300, ,300, ,300,

35 B B % [2003] %

36 (i) 1 (ii) 2 0.5% (1) A B C 20% 20% 20%

37 20% 20% 20% 50% ( 50%) 50% (2) (3), 11 (1) (2),, 12 2,000 3% %

38 (1) (2) A B C A 3 B

39 , (1) ; (2) 10%, 50% ; (3) 5% ; (4), ; (5) 19 (1) [1996]2 (2) A. B. C. 1 17% 2 3% 5% 3 15% 2.97% 33% [2000]1054 B % 5 3% 1 ( ) 500,000, ,000,000 73% ,000,000 99,244,277 90% ,000, ,781, % ,

40 120,000,000 72,000,000 60% ; 40,000,000 32,000, % ,000, , % ,000,000 13,500,000 90% 1,000, , % ( ) 500, , % ` ,000,000 1,100, % 3 120,000,000 54% (1) % 73% (2) % 90% (3) % (4) % 2 78,500,000 37,754, % ,000,000 4,860,121 10% ,000,000 3,000,000 30% 500, , % ,800,000 7,920, %

41 1,600, , % ,000, , % ,000, , % ,000, , % ,635, ,371, , , , , , , ,033, [1996]2 ( ) 1 a , , , , ,191, ,462, ,733, ,249, ,966, ,581, ,773, ,429, , , , , , , ,046, ,903, (b) a

42 3,865, , ,636, ,214, ,214, ,865, , ,636, ,214, ,214, b / 300, , ,465, ,865, , , ,236, ,641, ,768, a ,835, ,823, ,319, , ,515, ,575, b (%) 45,445, % 1,277, ,389, % 41, ,835, % 1,319, (%) 100% 38,823, , % 38,823, , c ,787, % d 38.67% e 5% 5%

43 5 a ,101, ,937, ,367, ,470, ,733, ,410, b ,505, % 236,360, % 79,826, % 45,070, % 6,866, % 4,237, % 3,902, % 269, % 213,101, % 285,937, % c ,385, (b) 32.56% (c) d 25.47% e 41, a , % 83,782, % 47,200, % 5,150, % 47,773, % 88,932, % b c 46.28% d

44 a ,510,295, ,340, ,435, , ,617,825, ,340, ,617,825, ,340, b ( ) 6, , , , , , , , , , , , (a) ,771, ,771, ,474, ,474, ,995, ,995, ,146, ,146, ,766, ,766, ,621, ,621, b 50% 250, ,337, ,087, ,337, ,337, % 550, , , , , % 500, , , , , % 800, , , , , % 1,100, , , , , % 450, , % 800, , , , ,450, ,079, , ,902, ,902, % 37,754, ,193, ,193, ,193, % 7,920, ,882, , ,882, ,882, % 400, , , , % 3,000, ,707, , ,604, ,604, ,074, ,183, , ,080, ,080,

45 10% 4,860, ,860, ,860, ,860, % 500, , , , % 128,428, ,428, ,428, ,788, ,360, ,788, ,788, ,313, ,623, ,018, ,771, ,771, c 4,631, , , ,670, ,435, ,370, ,343, ,687, ,748, , ,794, ,576, , , , ,487, ,813, ,492, ,995, % % ,001, ,722, ,501, ,225, , , ,038, ,800, ,800, ,279, , ,479, ,521, ,980, ,082, ,585, , , ,657, ,362, ,059, , , ,186, , , ,096, ,057, ,264, ,418, ,300, ,300, ,300, ,300, ,124, , ,818, ,866, ,664, ,054, ,844, ,563,

46 11 35KV 6,240, ,240, KV 73, , , ,853, ,946, ,800, , , ,167, ,657, ,800, ,024, ,035, ,307, , ,778, ,023, ,971, ,106, ,459, ,647, ,007, ,414, ,965, ,778, ,671, ,072, ,660, ,000, ,859, ,900, ,100, ,000, ,619, ,070,900, ,000, ,870, ,217, ,217,

47 16 a ,691, % 4,348, % 2,650, % 58,341, % 4,348, % b % c 5%( 5%) ,244, ,553, a 85.33% b ,568, ,568, ,568, ,568, ,776, %/33% 8,360, ,976, %/3% 5,239, , % 339, , , ,487, ,997, % ,356, ,075, a 7,500, ,294, b % , ,642, ,000, ,000, ,952, ,642,

48 ,000, ,000, ,000, ,000, ,100, ,100, ,000, ,000, ,100, ,100, ,000, ,000, ,000, ,000, ,000, ,000, ,000, ,000, ,000, ,000, ,000, ,000, ,000, ,000, ,387, ,387, ,423, ,423, B 140,552, ,552, ,363, ,363,

49 26 a 28,906, ,876, ,782, ,453, ,938, ,391, ,814, ,359, ,173, b 10 5,876, ,938, ,575, ,585, ,521, ,793, ,097, ,379, ,876, ,578, ,938, ,789, ,283, ,011, ,490, ,283, ,521, / (a) 208,100, ,670, ,900, ,985, ,596, ,236, ,033, ,656, ,600, % b 161,277, ,724, ,178, ,213, ,604, ,139, ,844, ,937, ,900,000 44,178, ,584, ,987, , , , , ,842, ,786,

50 30 16, , , , ,600, , ,216, ,500, , ,688, , , ,138, ,195, ,942, ,508, ,098, ,487, ,497, , , , , ,150, ,682, , , ,813, ,813, , , ,452, ,452, , ,424, ,161, , , ,657, ,657, ,860, ,860, ,231, ,231, ,436, ,436, ,231, ,202, ,434, ,334, ,334, [2004]5-50 -

51 34 277, , , , , , ,649, ,487, ,136, ,300, ,491, ,683, ,475, a ,428, ,553, ,154, ,025, ,273, ,528, b ,970, % 399,230, % 204,913, % 2,035, % 3,395, % 1,018, % 1,148, % 269, % 315,428, % 402,553, % c 5 5% d ,409, ,230, ,110, ,526, ,867, ,279, ,279,

52 17,950, ,110, ,526, ,587, , , ,220, , , , , , ,681, ,300, ,300, ,300, ,300, ,650, , ,657, ,605, ,930, , ,874, ,346, a ,933, ,933, ,560, ,560, ,995, ,995, ,997, ,997, ,928, ,928, ,558, ,558, b 88.75% 106,781, ,803, ,221, ,371, ,371, % 105,631, ,661, ,373, ,258, ,258, % 89,053, ,533, ,013, ,631, ,631, % 368,408, ,418, ,837, ,875, ,875, % 13,500, ,382, , ,138, ,138, ,374, ,799, ,387, ,274, ,274, % 3,000, ,707, , ,604, ,604, % 37,754, ,193, ,193, ,193, ,754, ,901, , ,798, ,798, % 4,860, ,860, ,860, ,860, ,860, ,860, ,860, ,860, ,989, ,560, ,992, ,933, ,933, c 4,631, , ,670, ,435, ,687, ,748, ,370, ,794, ,576, , , ,487, ,492, ,995,

53 ( )-(9) 4 9, , ,813, ,813, ,385, ,385, ,385, ,803, ,581, ,000, ,000, ,000, ,000,000, 120,000,000 ; 15,000, ,000,

54 100,000, ,000, ,000, ,000, ,000, ,000, ,000, ,000, ,000,000 54,503,892 65,496, ,000,000 15,000,000 15,000, ,000, ,000,000 % % 84,670, ,670, ,000, ,000, ,000, ,000, ,000, ,500, ,500, ,702, ,297,665 72,000, ,500, ,000,000 13,500, % /

55 ,294, , ,500, , , ,796, ,966, ,

56 % /, % % 12.39% % 2.43% % 1.87% % 0.30%

57

58 ( ) 2 42 P

59 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) , ,870 (261,022) (95,938) 105,190 55,932 17,001 29,935 (18,181) (3,942) (36,675) (26,210) 5 (21,843) - 45,492 55,715 6 (16,021) (25,601) /( ) 16(c) 19,190 14, ,661 44,782 8(a) (21,212) (7,370) 27,449 37,412 (14,234) (13,188) 13,215 24,

60 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ), ,877 10, , , ,990 12, , , ,995 22, (4,791) (5,430) ,412 56, ,360 5, , , ,617, ,341 26(e) 95, , , ,928 38, ,636 1, , ,019 10, ,885 2,267,303 1,791,678 2,882,914 2,264,

61 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) ( ) , , , , , , ,336 96, , ,100 58,341 21,566 6,244 42, ,809 74,495 26(e) 169, ,986 3,569 3,569 34,488 13, ,620 1,094,900 1,424,449 1,355,066 2,882,914 2,264,087 [ ]

62 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 21 22(a) 22(b) 22(b) , ,976 23,328 11,663 76, , , ,224 24,224 24, ,578 - (5,578) ,789 (2,789) (3,490) (3,490) (3,490) , ,976 28,906 14,452 88, , , ,215 13,215 13, ,877 - (5,877) ,938 (2,938) , ,976 34,783 17,390 92, , ,

63 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) ,661 44, (19,190) (14,668) 4, ,966 2,777 2,813 2,641 (639) (639) /( ), 1,175 (1,728) 22,508 30,098 (6,487) (4,497) - (10,861) (13) (563) ,486 48,343 - (18,871) (730,290) (207,649) ( )/ (96,579) 115,063 /( ) 37,681 (63,728) /( ) 2,956 (16,231) 36,775 21,636 (36,309) (38,120) /( ) 218,361 (42,855) /( ) 85,392 (166,933) 15,573 2,981 (410,954) (366,364) (38,972) (39,553) (16,294) (2,452) ( ) (466,220) (408,369)

64 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) ( ) ( ) (466,220) (408,369) 1,128 1, ,069-44, , ,589 3,719 2,193 (3,765) (1,210) (1,040) (2,290) (60,657) (82,602) (44,000) (500) (7,013) (40,000) - (4,966) ( )/ (66,555) 34, , ,000 - (14,731) /( ) 93,438 (56,104) 24(b) (3,000) - 24(a) 136,198 12, , ,665 (149,419) (7,830) 159, ,715 10, ,

65 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 1. ( ) ( ) ( ) ( B ) B (a)

66 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 2. ( ) (b) (c) (d) /( )

67 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 2. ( ) (e) (f)

68 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 2. ( ) (g)

69 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 2. ( ) (h) (i) (j)

70 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 2. ( ) (k) ( ) (l)

71 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 2. ( ) (m) 2(r)(i) ( ) ( ) ( ) (n) (o)

72 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 2. ( ) (p) (q)

73 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 2. ( ) (r) i. ii. iii. iv. v. vi

74 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 2. ( ) (s) (t) (u)

75 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 2. ( ) (v) ( ) (w) 25% 29.5% 19% 22.5% 19 (x)

76 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 2. ( ) (y) ( ) / ( )

77 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 2. ( ) (z) ( ) (aa)

78 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 2. ( ) (bb) (cc) 3. ( )

79 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 3. ( ) ,560 71, ,652 79, , ,870 35,699 31,548 26,377 20,071 (234) (168) 17,176 11,831 79,018 63,282 /( ) (33,526) (7,567), (16,021) (25,601) /( ) 19,190 14,668 (21,212) (7,370) 27,449 37,412 1,815,693 1,031, , ,829 14,693 17, , ,182 2,400,851 1,681, , ,627 2,882,914 2,264,087 1,272, , , , ,018 60,863 83,292 1,540,727 1,181, , ,433 1,969,549 1,507,166 61,043 94, , ,368 1, ,239 3,743 /( ) 1,056 (441) (333) (424) (997)

80 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) ,718 71,813-29, ,652 79, , , ,900,000 48,057, ,508 30,098 (6,487) (4,497) 16,021 25,

81 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 7. ( ) ,648 7, , , ,966 2,777 2,813 2,641 2,203 1, /( ) 1,175 (1,728) ( a) (16,334) - - (10,861) - (7,600) - (7,500) (639) (639) (13) (563) a :

82 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 8. (a) ,212 10,894 - (3,524) 21,212 7,370 33% B ( ) ( ) % (b) 17% (c) 5% (d) - 7% - 3%

83 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) ,215,000 ( ,224,000 ) 349,000,000 ( ,000,000 ) ,433 5,709 1,513 12, ,040 ( 12) 250, ,800 - (200) - (200) ,233 6,290 1, , , ,362 3, ,186 - (130) - (130) ,096 2,265 1,057 6, ,137 4, , ,396 4, ,

84 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) , ,468 60,657 93,699 ( 11) (250,800) - 7, ,167 :- 7, ,070-11,097 7, , ,990 12,

85 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) , , ,67 0 (40,590) - (40,59 0) , , , ,318 4,864 6,18 2 (812) - (812 ) 506 1,460 1, ,012 6,324 7, , , , , , ,

86 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) ,677 (6,388) ( 24 ) 2, ,487 (6,388) ,679 (958) 2,813 (639) ,492 (1,597) ,995 (4,791) ,998 (5,430) ( a) ( b) ,685 54,788 ( c) 128, ,412 56,

87 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 16. ( ) % % ( (a)) 2,000 2, % % ( (a)) 1,000 1, % % ( (a)) 1,000 1, % % ( (b)) 10,000 10,000 30% - 30% - 78,500 78, % % % - 45% 19,800 19, % - 36%

88 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 16. ( ) ,600 1, % - 45% 1,000 1, % - 45% 1,000 1, % - 36% 120, % - - ( (c)) (a) (b) (c) 54% 20,074,869 (2003 : 13,436,638 )

89 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) ,860 4,860 5,360 5, , ,754 1,510, ,587 1,617, ,341 :- 17, ,868 38,823 (940) (247) ,928 38, ,636 1,

90 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) , ,000 -B 184, , , , B B B 22. (a) (i) (ii) (iii) (iv) (b) ( ) 10% 50% 25% ( ) 5%

91 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) , , , ,000 1,403,720 1,247,000 ( ) (858,620) (1,094,900) ( ) 545, , ,734,000 ( 320,581,000 )( ,220,000 56,300,000 ) 4.536% 6.903% ( % 7.030%) ,000,

92 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 24. (a) (i) 250,000, ,000, ,000,000 90% 73% 2,759,000 (ii) 54,504, ,000,000 (b) 3,000,000 20% 51,

93 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) RMB 000 RMB , , % % - 120, ,000 90% - 90% - 120,000 54,504 60% - 60% - ; 500, ,000 73% - 90% - 15,000 15,000 90% - 70% - 40,000 40, % - 72%

94 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 26. (a) 39,000, % ; 39,000,000 (b) 143,597,000 92,500,000 51,097,000 (c) 220 / 550,000,000 2,500, (d) ,100,000 (e) / : ,197-17,587-1, , , ,986 7,500 2,000 2,533-1, , ,

95 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 27. (a) (b) (c) 23 (d)

96 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 28. (a) (b) (c) (d) (e)

97 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) , ,820 (a) 639 (4,791) 13, ,029 (a) 2002 ( 15)

98 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 30. (a) (2003 : 6,398,000 ) (b) : ,000-28, ,000 48, , (a) (b) % 38,950, ,000,

99 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) 32. ( ) (c) (d) ,000, ,000, % 56,950,

100 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 )

101 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) () ( ) AUDITORS REPORT TO THE SHAREHOLDERS OF SHANGHAI LINGYUN INDUSTRIES DEVELOPMENT COMPANY LIMITED 5. (FORMERLY KNOWN AS SHANGHAI LINGYUN CURTAIN WALL SCIENCE AND 6. TECHNOLOGY COMPANY LIMITED) (a joint stock limited company established in the People s Republic of China) We have audited the financial statements on pages 2 to 42 which have been prepared in accordance with International Financial Reporting Standards. 7. Respective responsibilities of Directors and Auditors The Company s Directors are responsible for the preparation of financial statements which give a true and fair view. In preparing financial statements which give a true and fair view, it is fundamental that appropriate accounting policies are selected and applied consistently. It is our responsibility to form an independent opinion, based on our audit, on those financial statements and to report our opinion solely to you, as a body and for no other purpose. We do not assume responsibility towards or accept liability to any other person for the contents of this report. Page 3

102 8. Basis of opinion 上海凌雲實業發展股份有限公司 ( 前稱上海凌雲幕墻科技股份有限公司 ) We conducted our audit in accordance with International Standards on Auditing. An audit includes examination, on a test basis, of evidence relevant to the amounts and disclosures in the financial statements. It also includes an assessment of the significant estimates and judgements made by the Directors in the preparation of the financial statements and of whether the accounting policies are appropriate to the Group s circumstances, consistently applied and adequately disclosed. We planned and performed our audit in accordance with International Standards on Auditing so as to obtain all the information and explanations which was considered necessary in order to provide us with sufficient evidence to give reasonable assurance that the financial statements are free from material misstatement whether caused by fraud or other irregularity or error. In forming our opinion we also evaluated the overall adequacy of the presentation of information in the financial statements. We believe that our audit provides a reasonable basis for our opinion. Opinion In our opinion the financial statements give a true and fair view of the state of affairs of the Group as at 31 December 2004 and of its profit and cash flows for the year then ended. HORWATH HONG KONG CPA LIMITED Certified Public Accountants Chan Kam Wing, Clement Practising Certificate number P Central Plaza 18 Harbour Road Wanchai Hong Kong Page 4

103 SHANGHAI LINGYUN INDUSTRIES DEVELOPMENT COMPANY LIMITED (FORMERLY KNOWN AS SHANGHAI LINGYUN CURTAIN WALL SCIENCE AND TECHNOLOGY COMPANY LIMITED) (a) (b) CONSOLIDATED INCOME STATEMENT FOR THE YEAR ENDED 31 DECEMBER 2004 (Expressed in Renminbi thousands) Notes RMB 000 RMB 000 Revenue, net 4 366, ,870 Cost of sales (261,022) (95,938) Gross profit 105,190 55,932 Other operating income 17,001 29,935 Distribution costs (18,181) (3,942) Administrative expenses (36,675) (26,210) Other operating expenses 5 (21,843) - Profit from operations 45,492 55,715 Finance costs, net 6 (16,021) (25,601) Share of results of unconsolidated subsidiaries and associates 16(c) 19,190 14,668 Profit before taxation 7 48,661 44,782 Taxation 8(a) (21,212) (7,370) Profit after taxation 27,449 37,412 Minority interests (14,234) (13,188) Profit attributable to shareholders 13,215 24,224 Dividend Basic earnings per share 10 RMB0.04 RMB0.07 The notes on pages 8 to 42 form part of these financial statements. Page 5

104 SHANGHAI LINGYUN INDUSTRIES DEVELOPMENT COMPANY LIMITED (FORMERLY KNOWN AS SHANGHAI LINGYUN CURTAIN WALL SCIENCE AND TECHNOLOGY COMPANY LIMITED) CONSOLIDATED BALANCE SHEET AS AT 31 DECEMBER 2004 (Expressed in Renminbi thousands) Notes RMB 000 RMB 000 Assets Non-current assets Property, plant and equipment ,877 10,293 Construction-in-progress 12 7, ,167 Investment properties 13 10,990 12,270 Intangible assets , ,488 Goodwill 15 22,995 22,998 Negative goodwill 15 (4,791) (5,430) Interests in unconsolidated subsidiaries and associates ,412 56,263 Long term investments 17 5,360 5, , ,409 Current assets Properties held for sale or under development18 1,617, ,341 Due from related parties 26(e) 95,640 - Prepayments and other current assets 184, ,642 Trade receivables, net 19 34,928 38,576 Short term investments 20 3,636 1,215 Pledged time deposits , ,019 Cash and bank balances 10, ,885 2,267,303 1,791,678 Total assets 2,882,914 2,264,087 The notes on pages 8 to 42 form part of these financial statements. Page 6

105 SHANGHAI LINGYUN INDUSTRIES DEVELOPMENT COMPANY LIMITED (FORMERLY KNOWN AS SHANGHAI LINGYUN CURTAIN WALL SCIENCE AND TECHNOLOGY COMPANY LIMITED) CONSOLIDATED BALANCE SHEET (CONTINUED) AS AT 31 DECEMBER 2004 (Expressed in Renminbi thousands) Equity and liabilities Notes RMB 000 RMB 000 Capital and reserves Share capital , ,000 Reserves , , , ,814 Minority interests 239,336 96,107 Non-current liabilities Bank borrowings due after one year , ,100 Current liabilities Trade payables 58,341 21,566 Deposits from customers 6,244 42,553 Accruals and other current liabilities 293,809 74,495 Due to related parties 26(e) 169, ,986 Dividends payable 3,569 3,569 Taxes payable 34,488 13,997 Bank borrowings due within one year ,620 1,094,900 1,424,449 1,355,066 Total equity and liabilities 2,882,914 2,264,087 The financial statements were approved and authorised for issue by the board of directors on.... Director Director The notes on pages 8 to 42 form part of these financial statements. Page 7

106 SHANGHAI LINGYUN INDUSTRIES DEVELOPMENT COMPANY LIMITED (FORMERLY KNOWN AS SHANGHAI LINGYUN CURTAIN WALL SCIENCE AND TECHNOLOGY COMPANY LIMITED) CONSOLIDATED STATEMENT OF CHANGES IN EQUITY FOR THE YEAR ENDED 31 DECEMBER 2004 (Expressed in Renminbi thousands) Share capital (note 21) Capital reserve (note 22(a)) Statutory surplus reserve fund Statutory public welfare fund (note 22(b)) (note 22(b)) Retained profits Total reserves Total equity RMB 000 RMB 000 RMB 000 RMB 000 RMB 000 RMB 000 RMB 000 Balance at 31 December , ,976 23,328 11,663 76, , ,080 Net profit for the year ,224 24,224 24,224 Profit appropriations - Statutory surplus reserve fund - - 5,578 - (5,578) Statutory public welfare fund ,789 (2,789) - - Dividends paid (3,490) (3,490) (3,490) Balance at 31 December , ,976 28,906 14,452 88, , ,814 Net profit for the year ,215 13,215 13,215 Profit appropriations - Statutory surplus reserve fund - - 5,877 - (5,877) Statutory public welfare fund ,938 (2,938) - - Balance at 31 December , ,976 34,783 17,390 92, , ,029 The notes on pages 8 to 42 form part of these financial statements. Page 8

107 SHANGHAI LINGYUN INDUSTRIES DEVELOPMENT COMPANY LIMITED (FORMERLY KNOWN AS SHANGHAI LINGYUN CURTAIN WALL SCIENCE AND TECHNOLOGY COMPANY LIMITED) CONSOLIDATED STATEMENT OF CASH FLOWS (c) FOR THE YEAR ENDED 31 DECEMBER 2004 (Expressed in Renminbi thousands) Notes RMB 000 RMB 000 Cash flows from operating activities Profit before tax 48,661 44,782 Adjustment for: Share of results of unconsolidated subsidiaries and associates (19,190) (14,668) Depreciation of property, plant and equipment 4, Loss on disposal of property, plant and equipment Loss on disposal of investment properties Amortisation of intangible assets 1,966 2,777 Amortisation of goodwill 2,813 2,641 Release of negative goodwill as income (639) (639) Provision/(release) for doubtful debts, net 1,175 (1,728) Interest expense 22,508 30,098 Interest income (6,487) (4,497) Gain on disposal of subsidiaries - (10,861) Gain on disposal of investments held for trading (13) (563) Unrealised loss on investments held for trading Operating profit before working capital changes 55,486 48,343 Increase in inventories - (18,871) Increase in properties held for sale or under development (730,290) (207,649) (Increase)/decrease in amounts due from related parties (96,579) 115,063 Decease/(increase) in prepayments and other current assets 37,681 (63,728) Decease/(increase) in trade receivables 2,956 (16,231) Increase in trade payables 36,775 21,636 Decrease in deposits from customers (36,309) (38,120) Increase/(decrease) in accruals and other current liabilities 218,361 (42,855) Increase/(decrease) in amounts due to related parties 85,392 (166,933) Increase in taxes payable 15,573 2,981 Cash used in operations (410,954) (366,364) Interest paid (38,972) (39,553) Income tax paid (16,294) (2,452) Net cash used in operating activities carried forward (466,220) (408,369) The notes on pages 8 to 42 form part of these financial statements. Page 9

108 SHANGHAI LINGYUN INDUSTRIES DEVELOPMENT COMPANY LIMITED (FORMERLY KNOWN AS SHANGHAI LINGYUN CURTAIN WALL SCIENCE AND TECHNOLOGY COMPANY LIMITED) CONSOLIDATED STATEMENT OF CASH FLOWS (CONTINUED) FOR THE YEAR ENDED 31 DECEMBER 2004 (Expressed in Renminbi thousands) Notes RMB 000 RMB 000 Net cash used in operating activities brought forward (466,220) (408,369) Cash flows from investing activities Proceeds from disposal of investments held for trading 1,128 1,653 Proceeds from disposal of property, plant and equipment 4 14 Proceeds from disposal of investment properties 1,069 - Proceeds from disposal of long term investment 44,000 - Proceeds from disposal of a subsidiary - 31,993 Proceeds from disposal of an unconsolidated subsidiary - 130,589 Interest received 3,719 2,193 Cash paid for investments held for trading (3,765) (1,210) Purchase of property, plant and equipment (1,040) (2,290) Expenditures for construction-in-progress (60,657) (82,602) Purchases of long term investment (44,000) (500) Acquisition of additional interest in a subsidiary (7,013) (40,000) Increase in investments in unconsolidated subsidiaries and associates - (4,966) Net cash (used in)/generated from investing activities (66,555) 34,874 Cash flows from financing activities Increase in bank borrowings, net 156, ,000 Dividends paid - (14,731) Decrease/(increase) in time deposits pledged for bank borrowings 93,438 (56,104) Repayment to minority shareholders 24(b) (3,000) - Contribution from minority shareholders 24(a) 136,198 12,500 Net cash generated from financing activities 383, ,665 Net decrease in cash and bank balances (149,419) (7,830) Cash and cash equivalents at beginning of year 159, ,715 Cash and bank balances at the end of year 10, ,885 The notes on pages 8 to 42 form part of these financial statements. Page 10

109 SHANGHAI LINGYUN INDUSTRIES DEVELOPMENT COMPANY LIMITED (FORMERLY KNOWN AS SHANGHAI LINGYUN CURTAIN WALL SCIENCE AND TECHNOLOGY COMPANY LIMITED) NOTES TO THE FINANCIAL STATEMENTS (Expressed in Renminbi thousands) 1. Organisation and operations Shanghai Lingyun Industries Development Company Limited (the Company ) (formerly known as Shanghai Lingyun Curtain Wall Science and Technology Company Limited) was established as a joint stock limited company in the People s Republic of China (the PRC ) on 28 December 1998 subsequent to a corporate reorganization in preparation for the listing of its foreign investment ordinary shares (the B Shares ). The B shares have been listed on the Shanghai Stock Exchange since July As at 31 December 2004, the first two largest shareholders of the Company were Tianjin Huanbohai Holding Group Company Limited ( Huanbohai Group ) and Guoji Environmental Science and Technology Company Limited ( Guoji Environmental ). The Company and its subsidiaries are collectively referred to as the Group. The Group is principally engaged in real estate development, tourism development and operations, educational institution operations, services and investment, forestry and plantation, and timber processing. Details of the principal subsidiaries are set out in note 25 of the financial statements. The name of the Company was changed from Shanghai Lingyun Curtain Wall Science and Technology Company Limited to Shanghai Lingyun Industries Development Company Limited on 31 August Principal accounting policies (a) Basis of presentation The financial statements of the Group have been prepared in accordance with International Financial Reporting Standards ( IFRS ). IFRS includes IFRSs, International Accounting Standards ( IASs ) and relevant Interpretations under the International Accounting Standards Board. The Group also prepares financial statements which comply with accounting regulations in the People s Republic of China (the PRC ). A reconciliation of the Group s results and shareholders equity under IFRS and PRC accounting regulations is presented in note 29 to the financial statements. Page 11

110 SHANGHAI LINGYUN INDUSTRIES DEVELOPMENT COMPANY LIMITED (FORMERLY KNOWN AS SHANGHAI LINGYUN CURTAIN WALL SCIENCE AND TECHNOLOGY COMPANY LIMITED) 2. Principal accounting policies (continued) (b) Principles of consolidation The financial statements of the Group incorporate the financial statements of the Company and all operating subsidiaries that are controlled by the Company. Where an entity either began or ceased to be controlled by the Company during the year, the results are included only from the date control commenced or up to the date control ceased. The equity and net income attributable to minority shareholders interests are shown separately in the consolidated balance sheet and consolidated income statement, respectively. All significant intercompany balances and transactions, including intercompany profits and unrealised profits and losses are eliminated on consolidation. Consolidated financial statements are prepared using uniform accounting policies for like transactions and other events in similar circumstances. (c) Subsidiaries A subsidiary is a company in which the Company has control. Control exists when the Company has the power to govern the financial and operating policies of the subsidiary so as to obtain economic benefits from its activities. (d) Associates An associate is a company, not being a subsidiary or a jointly-controlled entity, in which the Group is in a position to exercise significant influence, through participation in the financial and operating policy decisions of the investee. In the consolidated balance sheet, investments in associates are stated at the Group s share of associates net assets together with any premium paid on acquisition in so far as it has not been written off or amortized. The consolidated income statement includes the Group s share of result of its associates for the year. Page 12

111 SHANGHAI LINGYUN INDUSTRIES DEVELOPMENT COMPANY LIMITED (FORMERLY KNOWN AS SHANGHAI LINGYUN CURTAIN WALL SCIENCE AND TECHNOLOGY COMPANY LIMITED) 2. Principal accounting policies (continued) (e) Investments These are investments in various unlisted companies in which the Group neither holds, directly or indirectly, 20% or more of the voting powers, nor exercises significant influence. Investments held for long term purpose are initially recognised at cost, being the fair value of the consideration given and including acquisition charges associated with the investment securities. After initial recognition, such investments are measured at fair value and unrealised gains and losses are reported as a separate component of equity until the investment is sold, collected or otherwise disposed of, or until the investment is determined to be impaired, at which time the cumulative gain or loss previously reported in equity is included in the income statement. For investment actively traded in recognized financial markets, fair value generally determined by reference to stock exchange quoted market prices at the close of business on the balance sheet date. For investment in an equity instrument that does not have a quoted market price in active market and for which other methods of reasonably estimating fair value are clearly inappropriate or unworkable, the instrument would be measured at cost, subject to review of impairment. For an investment that has a fixed maturity, the instrument would be measured at cost using the effective interest rate method, subject to review of impairment annually. (f) Goodwill Goodwill represents the excess of the cost of acquisition over the fair value of the identifiable net assets of a subsidiary at the date of acquisition. Goodwill is recognised as an asset and is amortised using the straight-line method over estimate period that benefits are expected to be received. The carrying amount of goodwill is reviewed annually and written down for impairment when it is considered necessary. Negative goodwill arising on the acquisition of subsidiaries, associates and jointly-controlled entities represents the excess of the Group s share of the fair values of the identifiable assets and liabilities acquired as at the date of acquisition, over the cost of the acquisition. To the extent that negative goodwill relates to expectations of future losses and expenses that are identified in the acquisition plan and that can be measured reliably, but which do not represent identifiable liabilities as at the date of acquisition, that portion of negative goodwill is recognised as income in the consolidated income statement when the future losses and expenses are recognised. Page 13

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