CHINAHUARONGENERGYCOMPANYLIMITED 中国华荣能源股份有限公司 (IncorporatedintheCaymanIslandswithlimitedliability) (于开曼群岛注册成立的有限公司) StockCode股份代号:01101 2022 INTERIMREPORT 中期报告 CONTENTS 目录 MANAGEMENTDISCUSSIONANDANALYSIS 管理层讨论与分析2 CORPORATEGOVERNANCEANDOTHERINFORMATION 企业管治及其他资料17 DISCLOSUREOFINTERESTS 权益披露19 CONDENSEDCONSOLIDATEDINTERIMFINANCIALINFORMATION 简明综合中期财务资料 INTERIMCONDENSEDCONSOLIDATEDSTATEMENTOFFINANCIALPOSITION 中期简明综合财务状况表25 INTERIMCONDENSEDCONSOLIDATEDSTATEMENTOFCOMPREHENSIVEINCOME 中期简明综合全面收益表27 INTERIMCONDENSEDCONSOLIDATEDSTATEMENTOFCHANGESINEQUITY 中期简明综合权益变动表30 INTERIMCONDENSEDCONSOLIDATEDCASHFLOWSTATEMENT 中期简明综合现金流量表32 NOTESTOTHECONDENSEDCONSOLIDATEDINTERIMFINANCIALINFORMATION 简明综合中期财务资料附注33 INFORMATIONFORSHAREHOLDERS 股东信息78 CORPORATEINFORMATION 公司资料79 MANAGEMENTDISCUSSIONANDANALYSIS 管理层讨论与分析 CHINAHUARONGENERGYCOMPANYLIMITED 2中国华荣能源股份有限公司 MANAGEMENT DISCUSSIONANDANALYSIS 管理层讨论与分析 BUSINESSREVIEW Forthesixmonthsended30June2022(the“Period”),theCompanyanditssubsidiaries(together,the“Group”)recordedarevenueofRMB50.9million,comparedtotherevenueofRMB135.4millionforthesixmonthsended30June2021(the“ComparativePeriod”).TheGroupgeneratedagrossprofitofRMB25.2million(fortheComparativePeriod:RMB22.9million)fromtheoilexplorationbusiness,aswellastheoilstoragebusinessandtradingbusiness. LossattributabletotheequityholdersoftheCompanywasRMB381.0millionforthePeriod,whilelossattributabletotheequityholdersoftheCompanywasRMB82.8millionfortheComparativePeriod.TheincreaseoflossattributabletoequityholdersoftheCompanywasmainlydrivenbythecurrencyexchangefluctuation.TheGrouprecordedanetforeignexchangelossofRMB189.8millionduringthePeriod,whichwasmainlycausedbythesignificantappreciationofborrowingsdenominatedinUSDandHongKongdollar.ThisiscomparedwithaforeignexchangegainoftheGroupofRMB27.2millionfortheComparativePeriod. Inaddition,forthePeriodtheimputedinterestexpenseforinterest-freeloanamountedtoRMB10.4million(fortheComparativePeriod:imputedinterestincomeRMB64.9million),andtheinterestexpenseswereapproximatelyRMB102.4million(fortheComparativePeriod:RMB92.6million). DisposalandRelevantGuarantees On9October2018,theCompanyenteredintoaconditionalsaleandpurchaseagreement(the“Agreement”),todisposeofthecoreassetsandliabilitiesofshipbuilding,offshoreengineering,engineeringmachineryandmarineenginebuildingsegments(the“ShipbuildingandEngineeringBusinesses”,togetherwiththeholdingcompanyoftheShipbuildingandEngineeringBusinessesreferredtoasthe“DisposalGroup”)withanindependentthirdparty,UniqueOrientLimited(the“Purchaser”)(the“Disposal”).TheDisposalconstitutedaverysubstantialdisposalfortheCompanyundertheRulesGoverningtheListingofSecuritiesonTheStockExchangeofHongKongLimited(the“ListingRules”).AnextraordinarygeneralmeetingoftheCompanywasheldon13December2018inwhichtheDisposalwasapprovedbytheshareholders. 业务回顾 截至二零二二年六月三十日止六个月(“本期间”),本公司及其附属公司(统称“本集团”)录得收益人民币50.9百万元,而截至二零二一年六月三十日止六个月(“可比期间”)录得收益人民币135.4百万元。本集团 自石油勘探业务以及油储业务及贸易业务产生毛利润人民币25.2百万元(于可比期间:人民币22.9百万元)。 本公司权益持有人于本期间应占亏损为人民币381.0百万元,而本公司权益持有人于可比期间应占亏损为人民币82.8百万元。本公司权益持有人应占亏损增加主要由于汇兑波动所致。本集团于本期间录得外汇亏损净额人民币189.8百万元,主要由以美元及港元计值的借款出现大幅贬值所致。相较之下,本集团于可比期间则录得外汇收益人民币27.2百万元。 此外,于本期间,免息贷款的估算利息开支为人民币10.4百万元(于可比期间:估算利息收入人民币64.9百万元),而利息开支为约人民币102.4百万元(于可比期间:人民币92.6百万元)。 出售事项及相关担保 于二零一八年十月九日,本公司已与独立第三方东唯有限公司(“买方”)订立有条件买卖协议(“协议”),以出售造船、海洋工程、工程机械及动力工程板块(“造船及工程业务”,连同造船及工程业务控股公司统称为“出售集团”)的核心资产及负债(“出售事项”)。根据香港联合交易所有限公司 证券上市规则(“上市规则”),出售事项构 成本公司非常重大的出售事项。本公司于二零一八年十二月十三日举行股东特别大会,其中出售事项已获股东批准。 TheCompanysignedthesecondsupplementalagreement(the“SecondSupplementalAgreement”)on3March2019regardingtheDisposal,pursuanttowhich(1)thetransferofsaleshareofAbleDiligentLimited,theholdingcompanyofDisposalGroup,tothePurchasershalltakeplaceonorbefore31March2020;(2)thePurchaseragreedtoprocurethereleaseordischargeoftherelevantguaranteesprovidedbytheCompanyinrespectofborrowingsowedbytheDisposalGroup(the“RelevantGuarantees”);and(3)thePurchaseragreedtoexecuteasharechargeoverthesaleshareinfavouroftheCompany. TheDisposalwascompletedon10March2019(the“DisposalDay”)whenthesaleshareofAbleDiligentLimited(the“SaleShare”)wastransferredtothePurchaser.AlltheassetsandliabilitiesassociatedtotheDisposal,exceptthefinancialguaranteecontractasmentionedhereafter,werederecognizedontheDisposalDay.TheCompanysignedthethird,fourth,fifthandsixthsupplementalagreementson29August2019,30October2019,25March2021and25March2022,respectively.Accordingtothelatestsupplementalagreements,thePurchaserwillprocurethedischargeorreleasetheRelevantGuaranteesandcompletetherelevantregistrationbefore31December2023. TheGroupandthePurchaserhavebeenworkingcloselytoprocurethereleaseordischargeofallremainingRelevantGuaranteesinfullanditwasagreedthatalldebtsowingbytheDisposalGroupwillbeassignedtothePurchaserwhentheRelevantGuaranteeshavebeenreleasedordischargedinfullandtherelevantregistrationhavebeencompleted. FromtheDisposalDaytill30June2022,financialguaranteesofapproximatelyRMB2,210,636,000hadbeendischarged,representing37.17%ofthetotalfinancialguaranteesasattheDisposalDay. 本公司于二零一九年