INTERIMREPORT 中期报告 2022 CONTENTS 目录 FinancialHighlights 财务概览2 CorporateInformation 公司资料6 ManagementDiscussionandAnalysis 管理层讨论及分析10 CorporateGovernanceandOtherInformation 企业管治及其他资料27 CondensedConsolidatedStatementofProfitorLossandOtherComprehensiveIncome 简明综合损益及其他全面收益表33 CondensedConsolidatedStatementofFinancialPosition 简明综合财务状况表34 CondensedConsolidatedStatementofChangesinEquity 简明综合权益变动表36 CondensedConsolidatedStatementofCashFlows 简明综合现金流量表37 NotestotheCondensedConsolidatedFinancialStatements 简明综合财务报表附注38 FinancialHighlights 财务概览 Sixmonthsended30June 截至六月三十日止六个月 2022 2021 二零二一年 RMB’000 人民币千元 (Unaudited) (未经审核) 二零二二年 RMB’000 人民币千元 (Unaudited) (未经审核) Profitabilitydata盈利能力数据Revenue收益 67,651 64,492 Grossprofit毛利 23,259 18,117 Profit(loss)andtotalcomprehensiveincome(expense)fortheperiod attributabletoownersoftheCompany 本公司拥有人应占期内溢利(亏损)及全面收益(开支)总额 407 (7,908) Profits(losses)pershare每股溢利(亏损) –Basic(RMBcent)-基本(人民币分) 0.01 (0.39) –Diluted(RMBcent)-摊薄(人民币分) 0.01 (0.39) Sixmonthsended30June 截至六月三十日止六个月 2022 二零二二年 (Unaudited) (未经审核) 2021 二零二一年 (Unaudited) (未经审核) Profitabilityratios盈利能力比率Grossprofitmargin毛利率 34.4% 28.1% Netprofit(loss)margin(Note1)净利(亏损)率(附注1) 0.6% (12.3%) Effectivetaxrate实际税率 N/A不适用 N/A不适用 Returnonequity(Note2)权益回报率(附注2) 0.1% (1.9%) Returnonassets(Note3)资产回报率(附注3) 0.1% (1.4%) Operatingratios(asapercentageofrevenue)营运比率(占收益百分比)Staffcosts员工成本 12.3% 10.9% 2 CHINATONTINEWINESGROUPLIMITED INTERIMREPORT2022 FinancialHighlights 财务概览 Notes: 1.Netprofit(loss)marginisequaltotheprofit(loss)andtotalcomprehensiveincome(expense)fortheperiodattributabletoownersoftheCompanydividedbyrevenue. 2.Returnonequityisequaltotheprofit(loss)andtotalcomprehensiveincome(expense)fortheperiodattributabletoownersoftheCompanydividedbytheaveragebalanceoftheequityattributabletoownersoftheCompanyasatthebeginningofeachperiodandasattheendofeachperiod. 3.Returnonassetsisequaltotheprofit(loss)andtotalcomprehensiveincome(expense)fortheperiodattributabletoownersoftheCompanydividedbytheaveragebalanceoftotalassetsasatthebeginningofeachperiodandasattheendofeachperiod. 附注: 1.净利(亏损)率等于本公司拥有人应占期内溢利 (亏损)及全面收益(开支)总额除以收益。 2.权益回报率等于本公司拥有人应占期内溢利(亏损)及全面收益(开支)总额除以各期间初及各期间末本公司拥有人应占权益的平均结余。 3.资产回报率等于本公司拥有人应占期内溢利(亏损)及全面收益(开支)总额除以各期间初及各期间末资产总额的平均结余。 At30June2022 于二零二二年六月三十日RMB’000 人民币千元 (Unaudited) (未经审核) Assets,liabilitiesandequitydata资产、负债及权益数据Non-currentassets非流动资产Currentassets流动资产Currentliabilities流动负债Non-currentliabilities非流动负债Shareholders’equity股东权益Non-controllinginterests非控股权益 236,569411,08547,523199510,64289,290 216,924428,91566,310786493,52085,223 At31December 2021 于二零二一年十二月三十一日 RMB’000 人民币千元 (Audited) (经审核) 3 中国通天酒业集团有限公司 二零二二年中期报告 FinancialHighlights 财务概览 At30June2022 于二零二二年六月三十日RMB’000 人民币千元 (Unaudited) (未经审核) Otherkeyfinancialratiosandinformation其他主要财务比率及资料Currentratios(Note4)流动比率(附注4) 8.7 6.5 Quickratios(Note5)速动比率(附注5) 4.5 3.3 Gearingratio(Note6)资产负债比率(附注6) – – Netassetvaluepershare(RMB)(Note7)每股资产净值(人民币元)(附注7) 0.21 0.22 Inventoryturnoverdays(days)(Note8)存货周转日数(日)(附注8) 1,021 553 Tradereceivablesturnoverdays(days)(Note9) 贸易应收账款周转日数(日)(附注9) 299 162 Tradepayablesturnoverdays(days)(Note10) 贸易应付账款周转日数(日)(附注10) 64 36 At31December 2021 于二零二一年十二月三十一日 RMB’000 人民币千元 (Audited) (经审核) Notes: 4.Currentratioequalscurrentassetsdividedbycurrentliabilitiesasattheendofeachperiod/year. 5.Quickratioequalscurrentassetsminusinventory,dividedbycurrentliabilitiesasattheendofeachperiod/year. 6.Gearingratioequalsthedebtsincurredintheordinarycourseofbusinessdividedbytotalassetsasattheendofeachperiod/year. 7.Thecalculationofnetassetvaluepershareisbasedonthenetassetsdividedbyweightedaveragenumberofsharesfortheperiod/year. 附注: 4.流动比率等于各期间╱年度终的流动资产除以流动负债。 5.速动比率等于各期间╱年度终的流动资产减存货再除以流动负债。 6.资产负债比率等于各期间╱年度终于日常业务过程中招致的债项除以总资产。 7.每股资产净值是以资产净值除以期间╱年度内的加权平均股数计算。 4 CHINATONTINEWINESGROUPLIMITED INTERIMREPORT2022 FinancialHighlights 财务概览 8.Inventoryturnoverdaysarecomputedbydividingtheaverageofthebeginningandclosinginventorybalancesintherespectivefinancialperiodbycostofsales(excludingconsumptiontaxandothertaxes)andmultipliedby181days(forthesixmonthsended30June2022)and365days(fortheyearended31December2021). 9.Tradereceivablesturnoverdaysarecomputedbydividingtheaverageofthebeginningandclosingtradereceivablesbalanceintherespectivefinancialperiodbyrevenueandmultipliedby181days(forthesixmonthsended30June2022)and365days(fortheyearended31December2021). 10.Tradepayablesturnoverdaysarecomputedbydividingtheaverageofthebeginningandclosingtradepayablesbalanceintherespectivefinancialperiodbycostofsales(excludingconsumptiontaxandothertaxes)andmultipliedby181days(forthesixmonthsended30June2022)and365days(fortheyearended31December2021). 11.ThefinancialdataoftheCompanyfortheyearended31December2021andinformationastoitsconsolidatedfinancialpositionasat31December2021areextractedfromtheCompany’sannualreportdated22March2022. 8.存货周转日数乃按有关财政期间期初及期终存货结余平均数除以销售成本(不包括消费税及其他税项)再乘以181日(就截至二零二二年六月三十日止六个月而言)及365日(就截至二零二一年十二月三十一日止年度而言)计算。 9.贸易应收账款周转日数乃按有关财政期间期初及期终贸易应收账款结余平均数除以收益再乘以1