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众和股份:股权收购项目所涉及的四川国理锂质料有限公司股东所有权益评估报书

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众和股份:股权收购项目所涉及的四川国理锂质料有限公司股东所有权益评估报书 告示日期 2016-05-20 福建众和股份有限公司股权收购项目所涉及的
四川国理锂质料有限公司股东所有权益评估报书




       编 号 :( 2016) 榕 联 评 字 第 1085 号




福建连系中和资产评估地皮房地产估价有限公司
                中国福州

            二○一六年五月十五日
福建众和股份有限公司股权收购项目所涉及的四川国理锂质料有限公司股东所有权益评估陈诉书




                                     目      录
   注册资产评估师声明
   摘     要
   评估陈诉书正文
   一、绪言
   二、委托方、被评估单位和评估陈诉使用者
   三、评估器材和评估领域
   四、评估基准日
   五、评估目的
   六、评估代价(格)范例和界说
   七、评估假设
   八、评估依据
   九、评估要领
   十、评估措施实行历程
   十一、评估结论
   十二、出格事项声名
   十三、评估陈诉使用限制声名
   十四、评估陈诉日
   十五、评估机构、法定代表人、注册资产评估师签章
   十六、附件




福建连系中和资产评估地皮房地产估价有限公司    1 电话:87820347   传真:87814517
福建众和股份有限公司股权收购项目所涉及的四川国理锂质料有限公司股东所有权益评估陈诉书

                              注册资产评估师声明

    1、我们在执行本资产评估业务中,遵循相关法令礼貌和资产评估准则,固守独立、
客观和合理的原则;按照我们在执业历程中网络的资料,评估陈诉告诉的内容是客观
的,并对评估结论公道性包袱相应的法令责任。
    2、评估器材涉及的资产、负债清单由委托方、被评估单位(或产权持有单位)申
报并经其签章确认;所提供资料的真实性、正当性、完整性,适当使用评估陈诉是委
托方和相关当事方的责任。
    3、我们与评估陈诉中的评估器材没有现存或预期的好处干系;与相关当事方没有
现存或预期的好处干系,对相关当事方不存在成见。
    4、我们已对评估陈诉中的评估器材及其所涉及资产举办现场观测,我们已对评估
器材及其所涉及资产的法令权属状况给以须要的存眷,对评估器材及其所涉及资产的
法令权属资料举办了磨练,并对已经发明的问题举办了如实披露,且已提交委托方及
相关当事方完善产权以满足出具评估陈诉的要求。
    5、我们出具的评估陈诉中的说明、判断和结论受评估陈诉中假设和限定前提的限
制,评估陈诉者该当充实思量评估中载明的假设、限制前提、非凡事项声名及对其评
估结论的影响。
    6、出具的评估陈诉及其所披露的评估结论仅限于评估陈诉载明的评估目的,仅在
评估结论使用有效限期内使用,因使用欠妥造成的效果与评估机构及具名注册资产评
估师无关。




福建连系中和资产评估地皮房地产估价有限公司   2 电话:87820347    传真:87814517
福建众和股份有限公司股权收购项目所涉及的四川国理锂质料有限公司股东所有权益评估陈诉书

             福建众和股份有限公司股权收购项目所涉及的
         四川国理锂质料有限公司股东所有权益评估陈诉书
                          编 号 : ( 2016) 榕 联 评 字 第 1085号
                                        摘        要
              重要提醒:本内容摘自资产评估陈诉书,欲相识本评估项
              目的所有情形,该当真阅读资产评估陈诉书全文。
     一、委托方:福建众和股份有限公司。
     被评估单位:四川国理锂质料有限公司。
     二、评估目的:福建众和股份有限公司拟刊行股份购买四川国理锂质料有限公司
股东所持有的四川国理锂质料有限公司 98.76%股权,本次评估是为上述经济行为所涉
及的四川国理锂质料有限公司股东所有权益提供市场代价参考依据。
     三、评估器材和领域:本次资产评估的器材为四川国理锂质料有限公司股东所有
权益,本次资产评估的评估领域为四川国理锂质料有限公司在评估基准日经审计后的
资产负债表所列的所有资产、负债,详细以四川国理锂质料有限公司以评估基准日经
审计后的资产负债表和财务数据为基本填报的评估申报表为准。在评估基准日,企颐魅账
面总资产为 49,719.15 万元,总负债为 5,606.09 万元,净资产为 44,113.06 万元。
     四、评估基准日:2015 年 12 月 31 日。
     五、评估代价范例:此次评估采取市场代价作为选定的评估代价范例。
     六、首要评估要领:资产基本法、收益法。
     七、评估事变时刻:2016 年 03 月 20 日—2016 年 05 月 15 日。
     八、评估结论:
     1、资产基本法评估功效
     在评估基准日 2015 年 12 月 31 日一连策划的条件下,四川国理锂质料有限公司
涉及本次经济行为领域内的账面总资产为 49,719.15 万元,总负债为 5,606.09 万元,
净资产为 44,113.06 万元;评估后总资产为 122,879.88 万元,总负债为 5,561.09 万
元,净资产为 117,318.79 万元;净资产评估增值 73,205.73 万元,增值率 165.95%。
详细情形详见下表:
                                                                             单位:万元人民币
                                      账面代价         评估代价     增减值         增值率%
        项            目
                                          A               B          C=B-A        D=C/A×100%
 1            活动资产                43,885.40        43,898.74     13.34           0.03%
 2           非活动资产                5,833.75        78,981.14   73,147.39       1253.87%

福建连系中和资产评估地皮房地产估价有限公司        3 电话:87820347          传真:87814517
福建众和股份有限公司股权收购项目所涉及的四川国理锂质料有限公司股东所有权益评估陈诉书

 3      个中:可供出售金融资产
 4          持有至到期投资
 5            耐久应收款
 6           耐久股权投资          4,363.68      76,828.75   72,465.07       1660.64%
 7           投资性房地产              -            -
 8             牢靠资产            1,180.23      1,526.69     346.46          29.36%
 9             在建工程              64.69        64.69         -                -
10             工程物资
11           牢靠资产整理
12          出产性生物资产
13             油气资产
14             无形资产             151.96        496.59      344.63          226.79%
15             开发支出                             -
16               商誉
17           耐久待摊用度                           -
18          递延所得税资产           67.78        64.41        -3.37          -4.97%
19          其他非活动资产           5.40           -           -
20            资产总计             49,719.15    122,879.88   73,160.73        147.15%
21            活动负债             5,546.09      5,546.09       -              0.00%
22           非活动负债              60.00        15.00       -45.00          -75.00%
23            负债合计             5,606.09      5,561.09     -45.00          -0.80%
24      净资产(全部者权益)       44,113.06    117,318.79   73,205.73        165.95%

     2、收益法评估功效
     在评估基准日 2015 年 12 月 31 日一连策划的条件下,四川国理锂质料有限公司
涉及本次经济行为领域内的账面总资产为 49,719.15 万元,总负债为 5,606.09 万元,
净资产为 44,113.06 万元;评估后净资产(即股东所有权益代价)为 116,113.44 万元,
增值额 72,000.38 万元,增值率为     163.22%。
     3、最终评估功效简直定
     本次采取资产基本法评估后净资产为 117,318.79 万元,收益法评估后股东所有权
益代价为 116,113.44 万元,二者差异不大。差异原因首要收益法是从整体角度考量,
要害指标是将来收益及折现率,对将来收益指标举办预测时综合思量了国表里宏观经
济情形、行业情形、成长筹划、策划手段等多种身分;而资产基本法是驻足于资产重
置的角度,通过评估各单项资产代价并思量有关负债情形来评估企业代价。收益法评
估假设的限制前提更多,主观判断性较强,易受估价职员的爱好和偏重影响,对将来
行业和企业的策划的揣度有必然的不确定性。 思量到本次评估目的是股权收购,由于
企业将来的收益相对有必然的不确定性,策划受市场、政策等身分影响较大,故在本

福建连系中和资产评估地皮房地产估价有限公司     4 电话:87820347       传真:87814517
福建众和股份有限公司股权收购项目所涉及的四川国理锂质料有限公司股东所有权益评估陈诉书


次评估中,选用资产基本法(本钱法)评估功效作为本次评估的评估结论。
    故本次评估选用资产基本法评估功效作为评估基准日四川国理锂质料有限公司股
东所有权益市场代价的最终评估结论,即四川国理锂质料有限公司在评估基准日股东
所有权益代价为 117,318.79 万元。
    4、最终评估功效的声名
    按照公司章程和相关出资情形,四川国理锂质料有限公司全资子公司四川恒鼎锂
业科技有限公司持有四川德鑫矿业资源有限公司 100%股权。按照阿坝州人民当局关于
印发水电、矿产、旅游资源打点实行意见的关照(阿府发〔2013〕8 号)和阿坝州人
民当局关于印发《阿坝藏族羌族自治州资源打点步伐》的关照(阿府发〔2013〕7 号)
的规定:“凡在本州行政地区内开采矿产资源,实施资源开发补偿收益作价入股,州、
县人民当局可以资源开发补偿收益作价入股,收购库存帽,详细比例为:金矿 30%;罕有金属矿 25%;
玄色金属矿 20%;年产值在 1000 万元(含 1000 万元)以上的非金属矿 15%,年产值在
100 万元以上至 1000 万元(不含 1000 万元)的非金属矿 10%”。按照上述文件规定,
四川国理锂质料有限公司全资子公司四川恒鼎锂业科技有限公司现实持有四川德鑫矿
业资源有限公司股权比例为 75%,其余 25%股权持有工钱阿坝州人民当局。本次评估,
耐久股权投资-四川德鑫矿业资源有限公司评估代价按 75%计较。
    九、在使用本评估结论时,提请相关当事方存眷以下事项:
    (一)引用陈诉的情形
    按照本次经济行为的要求,纳入评估领域的矿业权账面代价 3,704.33 万元,评估
基准日保有资源储量为 4036.17 万吨,该部分由北京中天华伟矿业技能咨询有限公司
举办评估并出具了中天华伟矿评报[2016]1013 号《四川德鑫矿业资源有限公司四川省
金川县李家沟锂辉石矿采矿权评估陈诉书》。经核实该采矿权评估陈诉所载明的评估
领域、评估目的、评估基准日与本资产评估陈诉一致且切合本次经济行为及本资产评
估陈诉的要求,我们对该部分汇总并引用了该本评估陈诉,注册资产评估师的责任是认
真阅读并正确引用该或采矿权估价陈诉。
    (二)权属资料不全面可能存在瑕疵的气象
    1、按照公司章程和相关出资情形,四川国理锂质料有限公司全资子公司四川恒鼎
锂业科技有限公司持有四川德鑫矿业资源有限公司 100%股权。按照阿坝州人民当局关
于印发水电、矿产、旅游资源打点实行意见的关照(阿府发〔2013〕8 号)和阿坝州
人民当局关于印发《阿坝藏族羌族自治州资源打点步伐》的关照(阿府发〔2013〕7

福建连系中和资产评估地皮房地产估价有限公司   5 电话:87820347    传真:87814517
福建众和股份有限公司股权收购项目所涉及的四川国理锂质料有限公司股东所有权益评估陈诉书


号)的规定:“凡在本州行政地区内开采矿产资源,实施资源开发补偿收益作价入股,
州、县人民当局可以资源开发补偿收益作价入股,详细比例为:金矿 30%;罕有金属
矿 25%;玄色金属矿 20%;年产值在 1000 万元(含 1000 万元)以上的非金属矿 15%,
年产值在 100 万元以上至 1000 万元(不含 1000 万元)的非金属矿 10%”。按照上述
文件规定,四川国理锂质料有限公司全资子公司四川恒鼎锂业科技有限公司现实持有
四川德鑫矿业资源有限公司股权比例为 75%,其余 25%股权持有工钱阿坝州人民当局。
     2、四川国理锂质料有限公司申报评估的衡宇修建物部分未治理衡宇产权证,对上
述事项,企业已经出具声明,权属四川国理锂质料有限公司全部,不存在产权纠纷。评估
是以产权权属明晰不存在纠纷的条件举办的。
     3、四川国理锂质料有限公司子公司阿坝中晟锂业有限公司申报评估的衡宇修建
物部分未治理衡宇产权证,对上述事项,企业已经出具声明,权属阿坝中晟锂业有限公
司全部,不存在产权纠纷。评估是以产权权属明晰不存在纠纷的条件举办的。
    4、四川国理锂质料有限公司子公司四川德鑫矿业资源有限公司申报评估的衡宇建
筑物所有未治理衡宇产权证,对上述事项,企业已经出具声明,权属四川德鑫矿业资源
有限公司全部,不存在产权纠纷。评估是以产权权属明晰不存在纠纷的条件举办的。
    (三) 评估措施受到限制的气象
    1、本次评估中,注册资产评估师未对各类装备在评估基准日的技能参数和机能做
技能检测,注册资产评估师在假定被评估单位提供的有关技能资料和运行记录是真实
有效的条件下,通过现场观测做出判断。
    2、本次评估中,注册资产评估师未对各类建(构)筑物的隐蔽工程及内部结构(非肉
眼所能调查的部分)做技能检测,衡宇、构筑物评估结论是在假定被评估单位提供的有
关工程资料是真实有效的条件下,在未借助任何检测仪器的前提下,通过实地勘测做出
判断。
    3、纳入评估领域的井巷工程、地下构筑物、地下装备,因评估职员现场勘查时已
封井,评估职员无法对井巷工程、地下构筑物、地下装备等下井勘测。为此被评估单位
出具了相关声名,证明该部分资产确实为被评估单位全部,并理睬若该部分资产产权出
现问题愿包袱相应法令责任。评估职员首要通过查对购置条约、发票、购置时评估报
告等对该部分资产举办现场核实。
 (四)未决事项、法令纠纷等不确定身分
    本陈诉未发明其余未决事项、法令纠纷等不确定身分。

福建连系中和资产评估地皮房地产估价有限公司   6 电话:87820347    传真:87814517
福建众和股份有限公司股权收购项目所涉及的四川国理锂质料有限公司股东所有权益评估陈诉书


       (五)其余需声名的事项
    1、对被评估单位存在的大概影响资产评估值的瑕疵事项及期后事项,在企业委托
时未作非凡声名而评估职员按照专业履历一般不能获悉的情形下,本评估机构及评估
职员不包袱相关责任。
    2、委托方和被评估单位提供的有关经济行为批文、营业执照、管帐凭据、条约等
有关资料,委托方及被评估单位对其提供资料的真实性、完整性认真。
    3、虽然本项目评估历程中评估职员未发明被评估资产存在包管和抵押事件,可是,
本评估陈诉的使用者该当不依赖于本评估陈诉而对资产他项权力状态做出独立的判
断。
    4、除非出格声名,本评估陈诉中的评估值以被评估单位对有关资产拥有完整正当
的权力为基本,未思量由于被评估单位大概尚未付出某些用度所形成的相关债务,我
们假设上述资产与该等负债无关。
    5、本项目的执业注册资产评估师知晓股东部分权益代价并纷歧定便是股东所有权
益代价与股权比例的乘积。由于无法获取行业及相关股权的买卖业务情形资料,缺乏对控
股权和少数股权等身分发生的溢价或折价的说明依据,故本次评估中未思量控股权和
少数股权等身分发生的溢折价影响。也未思量非上市公司股权活动性对评估功效的影
响。




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福建众和股份有限公司股权收购项目所涉及的四川国理锂质料有限公司股东所有权益评估陈诉书

               福建众和股份有限公司股权收购项目所涉及的
            四川国理锂质料有限公司股东所有权益评估陈诉书

                             (2016)榕联评字第 1085 号
    一、绪言
     福建众和股份有限公司:
     福建连系中和资产评估地皮房地产估价有限公司接管贵单位的委托,按照有关法
律、礼貌和资产评估准则,采取资产基本法、收益法,根据须要的评估措施,对贵单
位拟刊行股份购买四川国理锂质料有限公司股东所持有的四川国理锂质料有限公司
98.76%股权这一经济行为所涉及的四川国理锂质料有限公司股东所有权益在 2015 年
12 月 31 日的市场代价举办了评估。现将资产评估情形陈诉如下。
    二、委托方、被评估单位和评估陈诉使用者
     (一)委托方:福建众和股份有限公司。
     1、公司名称:福建众和股份有限公司;
     2、住所: 福建省莆田市秀屿区西许家产区 5-8 号;
     3、注册成本:陆亿叁仟伍佰贰拾伍万捌仟壹佰伍拾陆圆整;
     4、实劳绩本:陆亿叁仟伍佰贰拾伍万捌仟壹佰伍拾陆圆整;
     5、法定代表人:许建成;
     6、公司范例:股份有限公司(上市);
     7、策划领域:打扮面料及其余纺织品的开发、出产、销售;对外贸易;木成品、
建材、五金、机器电子装备、化工原料(不含危险化学品及易制毒化学品)、金属质料、
工艺美术品(不含金银金饰)、日用品的销售;污水处理赏罚(以上策划领域涉及许可策划
项目的,应在取得有关部门的许可后方可策划);
     8、注册号:350000100020855。
     (二)被评估单位:四川国理锂质料有限公司。
     1、公司根基情形
     1)企业名称:四川国理锂质料有限公司;
     2)住所:汶川县漩口镇;
     3)法定代表人:高欣;
     4)实劳绩本:壹亿壹仟壹佰捌拾伍万元人民币;
     5)公司范例:其余有限责任公司;

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     6)注册号:513221000000995;
     7)策划领域:出产锂系列质料、策划锂铷铯产物;其余有色金属、化工产物、
建材、冶金;收支口业务。(依法需经核准的项目,经有关部门核准后,方可开展出产
策划勾当);
     8)营业限期:自 2007 年 01 月 08 日至 2027 年 01 月 07 日。
    2、公司简介及汗青沿革
    四川国理锂质料有限公司创立于 2007 年 1 月 8 日,由陈思伟、冯骏、杨春晖、杨
重光四位天然人出资组建的有限责任公司,注册成本 150 万元,个中陈思伟、冯骏各
出资 45 万元,股权比例 30%;杨春晖、杨重光各出资 30 万元,股权比例 20%。并经四
川神州管帐师事宜于 2006 年 12 月 29 日出具的川神州验字[2006]第 12-53 号验资报
告审验。
    2008 年 3 月,按照该公司股东会决策及修改后的公司章程,新增注册成本 150 万
元,由原股东按原注册成本 1:1 的比例以货币投入,并经阿坝岷江管帐师事宜全部限
责任有限于 2008 年 4 月 16 日出具的阿岷会[2008]验字 91 号验资陈诉审验。
    2010 年 12 月,按照该公司股东会决策、股权转让协议及修改后的公司章程,同
意股东冯骏将所持有该公司的 30%股权转让给张京云,注册成本稳定。
    2010 年 12 月,按照该公司股东会决策及修改后的公司章程,新增注册成本 3800
万元,增资后的注册成本为 4100 万元,本次增资由原股东陈思伟出资 1663.57 万元,
原股东张京云出资 1206.01 万元,原股东杨春晖出资 268.00 万元,原股东杨重光出资
63.00 万元,引进新股东黄健斌出资 237.80 万元,新股东陆国琴出资 172.20 万元,
新股东李梁出资 164.00 万元,新股东兰英出资 25.42 万元,上述原、新股东均按该公
司注册成本 1:1 的价值举办增资,各股东按增资后的比例持有该公司股权,并经中瑞
岳华管帐师事宜所于 2010 年 12 月 27 日出具的中瑞岳华川验字[2010]第 018 号验资报
告审验。
    2011 年 1 月,按照该公司股东会决策、股权转让协议及修改后的公司章程,同意
张京云将所持有该公司注册成本 138.5 万元的股权协商作价 997.20 万元、陈思伟将所
持有该公司注册成本 13.5 万元的股权协商作价 97.20 万元转让给成都亚商富易投资有
限公司,陈思伟将所持有该公司注册成本 125 万元的股权协商作价 900 万元转让给成
都易高生长创业投资有限公司,注册成本稳定。
    2011 年 2 月,按照该公司股东会决策、股权转让协议及修改后的公司章程,新增

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注册成本 835 万元,增资后的注册成本为 4935 万元,本次增资由成都亚商富易投资有
限公司出资 266 万元、杭州融高股权投资有限公司出资 277.5 万元、上海辰祥投资中
心(有限合资)出资 291.5 万元,并经中瑞岳华管帐师事宜所于 2011 年 2 月 24 日出
具的中瑞岳华川验字[2011]第 003 号验资陈诉审验。
       2013 年 11 月 21 日,按照公司股东会决策、股权转让协议及修改后的公司章程,
股东陈思伟将其所持有的股权 300.16 万元别离转让给成都亚商富易投资有限公司
75.24 万元、成都易高生长创业投资有限公司 22.50 万元、杭州融高股权投资有限公
司 49.95 万元、上海辰祥投资中心(有限合资)52.47 万元、林忠群 100.00 万元;张
京云将其所持有的股权 300.16 万元别离转让给成都亚商富易投资有限公司 75.24 万
元、成都易高生长创业投资有限公司 22.50 万元、杭州融高股权投资有限公司 49.95
万元、上海辰祥投资中心(有限合资)52.47 万元、林忠群 100.00 万元;陆国琴将其
所持有的股权 172.20 万元转让给张京云;杨春晖将其所持有的股权 205.00 万元转让
给张京云。
       2014 年 3 月,按照该公司股东会决策及修改后的公司章程,新增注册成本 6250
万元,本次增资由原股东成都亚商富易投资有限公司、杭州融高股权投资有限公司、
四川雅化实业团体股份有限公司、西藏乾元投资打点合资企业(平凡合资)、达孜华峰
投资打点中心(平凡合资)、 四川恒鼎实业有限公司认缴。
       2014 年 7 月 28 日,按照公司股东会决策、股权转让协议及修改后的公司章程,
股东陈思伟将其所持有的股权 800.00 万元别离转让给林忠群 640.00 万元、张京云
160.00 万元;西藏乾元投资打点合资企业(平凡合资)将其所持有的股权 750.00 万
元别离转让给李洪 450.00 万元、田树鳌 300.00 万元;达孜华峰投资打点中心(平凡
合资) 将其所持有的股权 416.66 万元转让给西藏融德投资打点有限公司;杨重光将
其所持有的股权 123.00 万元转让给林忠群。
       制止评估基准日,四川国锂实劳绩本为 11185 万元人民币,股东名称、出资额和
出资比例见下表:
  序号             股东姓名(名称)      出资额(万元)         出资比例(%)

   1      四川雅化实业团体股份有限公司       4,166.67                37.25

   2      张京云                             1,394.55                12.47

   3      林忠群                               963                   8.61

   4      杭州融高股权投资有限公司            932.96                 8.34

   5      成都亚商富易投资有限公司            790.7                  7.07


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         6       陈思伟                                                 514.91                            4.6

         7       李洪                                                     450                            4.02

         8       西藏融德投资打点有限公司                               416.66                           3.73

         9       上海辰祥投资中心(有限合资)                           396.44                           3.54

         10      田树鳌                                                   300                            2.68

         11      黄健斌                                                 237.8                            2.13

         12      成都易高生长创业投资有限公司                             170                            1.52

         13      李梁                                                     164                            1.47

         14      四川恒鼎实业有限公司                                   138.89                           1.24

         15      杨春晖                                                   123                             1.1

         16      兰英                                                   25.42                            0.23

                           合计                                        11,185.00                          100

             3、主营产物或处事
             公司是首要出产锂系列产物,拥有多条锂盐系列产物出产线:5000 吨/年单水
      氢氧化锂出产线,1000 吨/年电池级碳酸锂出产线,2000 吨/年磷酸二氢锂出产线,回收库存箱包收购,回收库存手袋
      1000 吨/年锰酸锂出产线等。
              4、公司连年财务状况及策划业绩如下:
                                                连年资产负债表(归并)如下:
                                                                                                        单位:人民币万元
         项目             2015 年 12 月 31 日    2014 年 12 月 31 日      2013 年 12 月 31 日   2012 年 12 月 31 日   2011 年 12 月 31 日
      活动资产:
        货币资金                  1,357.52               1,198.27                  45,514.84              595.59                718.79
      买卖业务性金融资产                  0.00                   0.00                       0.00                0.00                  0.00
        应收单据                  1,369.70                 300.00                     208.00              287.65                170.81
        应收账款                  1,108.59               1,867.45                   3,208.80            1,420.28              1,732.14
        预付金钱                    738.28                 664.89                   5,195.65            1,150.31              2,667.24
        应收利钱                      0.00                   0.00                       0.00                0.00                  0.00
        应收股利                      0.00                   0.00                       0.00                0.00                  0.00
        其他应收款                  476.10                 623.14                     550.76               47.31                568.17
          存货                    3,984.81               7,870.92                   5,283.53            3,671.93              3,280.42
一年内到期的非活动资产                0.00                   0.00                       0.00                0.00                  0.00
      其他活动资产                  323.16               1,836.05                       0.00                0.00                  0.00
        活动资产合计              9,358.16              14,360.72                  59,961.58            7,173.07              9,137.57
    非活动资产:
    可供出售金融资产
      持有至到期投资
        耐久应收款
      耐久股权投资
      投资性房地产
        牢靠资产                  8,385.90                9,417.73                 9,048.67             7,843.03              5,183.70


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         在建工程                   6,048.27               4,934.42              1,130.23             1,228.81              1,175.00
         工程物资                      64.12                  64.12                  0.00                 0.00                  0.00
       牢靠资产整理                     0.00                   0.00                  0.00                 0.00                  0.00
       出产性生物资产                   0.00                   0.00                  0.00                 0.00                  0.00
         油气资产                       0.00                   0.00                  0.00                 0.00                  0.00
         无形资产                  25,925.38              25,962.76              1,212.29             1,190.81              1,229.28
         开发支出                       0.00                   0.00                  0.00                 0.00                  0.00
           商誉                         0.00                   0.00                  0.00                 0.00                  0.00
       耐久待摊用度                   722.02                 748.27                  0.00                 0.00                  0.00
       递延所得税资产                 376.35                 372.06                123.00                35.06                 17.29
       其他非活动资产                 551.36                 296.64                  0.00               584.99                225.00
       非活动资产合计              42,073.40              41,796.01             11,514.19            10,882.70              7,830.27
       资产总计                    51,431.56              56,156.73             71,475.77            18,055.77             16,967.84
          项目               2015 年 12 月 31 日   2014 年 12 月 31 日   2013 年 12 月 31 日   2012 年 12 月 31 日   2011 年 12 月 31 日
        活动负债:
            短期借钱                3,040.00               4,950.00              2,700.00              1,000.00              1,000.00
        买卖业务性金融负债                  0.00                   0.00                  0.00                  0.00                  0.00
            应付单据                    0.00                   0.00                  0.00                100.00                200.00
            应付账款                2,552.37               3,892.87              5,932.34              4,161.43              3,709.02
            预收金钱                  541.22                 181.53                190.32                 60.89                773.87
          应付职工薪酬                438.78                 633.93                675.05                577.01                510.99
            应交税费                  372.42                  52.22                 98.09                308.22                -78.26
            应付利钱                    5.86                   4.19                  4.67                  0.00                  0.00
            应付股利                    0.00                   0.00                  0.00                  0.00                  0.00
            其他应付款              1,940.26               3,464.60             51,270.01              1,007.91                862.71
  一年内到期的非活动负债                0.00                   0.00                  8.75                  0.00                  0.00
          其他活动负债                  0.00                   0.00                  0.00                  0.00                  0.00
          活动负债合计              8,890.92              13,179.35             60,879.23              7,215.47              6,978.34
      非活动负债:
            耐久借钱
            应付债券
            耐久应付款
            专项应付款                  0.00                   0.00                161.00                101.00                101.00
            估量负债                    0.00                   0.00                  0.00                  0.00                  0.00
          递延收益                    360.00                 363.50                  0.00                  0.00                  0.00
        递延所得税负债                  0.00                   0.00                  0.00                  0.00                  0.00
        其他非活动负债                  0.00                   0.00                 52.50                  0.00                  0.00
        非活动负债合计                360.00                 363.50                213.50                101.00                101.00
              负债合计              9,250.92              13,542.85             61,092.73              7,316.47              7,079.34
全部者权益(或股东权益):
    实劳绩本(或股本)             11,185.00              11,185.00              4,935.00             4,935.00              4,935.00
            成本公积               34,376.59              34,376.59              5,374.54             5,374.54              5,374.54
          减:库存股                    0.00                   0.00                  0.00                 0.00                  0.00
            专项储蓄                  368.45                 360.75                237.36               124.92                 10.02
            盈余公积                    5.34                   5.34                  5.34                 5.34                  5.34
        一般风险筹备                    0.00                   0.00                  0.00                 0.00                  0.00
          未分配利润               -3,754.74              -3,313.79               -169.21               299.50               -436.40
归属于母公司全部者权益             42,180.64              42,613.89             10,383.04            10,739.30              9,888.50
      全部者权益合计               42,180.64              42,613.89             10,383.04            10,739.30              9,888.50
  负债和全部者权益总计             51,431.56              56,156.73             71,475.77            18,055.77             16,967.84


       福建连系中和资产评估地皮房地产估价有限公司                        12 电话:87820347              传真:87814517
   福建众和股份有限公司股权收购项目所涉及的四川国理锂质料有限公司股东所有权益评估陈诉书


                                      连年资产负债表(母公司)如下:
                                                                                              单位:人民币万元
         项目            2015 年 12 月 31 日   2014 年 12 月 31 日      2013 年 12 月 31 日   2012 年 12 月 31 日   2011 年 12 月 31 日
      活动资产:
        货币资金                1,067.43               1,005.26                45,341.42               372.05                472.21
      买卖业务性金融资产                0.00                   0.00                     0.00                 0.00                  0.00
        应收单据                1,031.56                 110.00                   100.00                10.00                100.00
        应收账款                  709.50               1,399.61                 2,464.34               881.07              1,183.33
        预付金钱                   19.52               2,135.00                 7,840.91             1,070.83                906.30
        应收利钱                    0.00                   0.00                     0.00                 0.00                  0.00
        应收股利                    0.00                   0.00                     0.00                 0.00                  0.00
        其他应收款             39,928.48              34,663.03                   469.35             2,020.61              2,186.27
          存货                    946.99               1,433.11                 1,003.35             1,201.14              1,132.69
一年内到期的非活动资产              0.00                   0.00                     0.00                 0.00                  0.00
      其他活动资产                181.92               1,304.15                     0.00                 0.00                  0.00
        活动资产合计           43,885.40              42,050.17                57,219.37             5,555.70              5,980.80
    非活动资产:
    可供出售金融资产
      持有至到期投资
        耐久应收款
      耐久股权投资              4,363.68               4,363.68                 4,694.68             4,694.68              4,694.68
      投资性房地产                  0.00                   0.00                     0.00                 0.00                  0.00
        牢靠资产                1,180.23               1,254.44                 1,304.53             1,414.67              1,187.80
        在建工程                   64.69                  81.57                    61.99                42.15                  7.37
        工程物资                    0.00                   0.00                     0.00                 0.00                  0.00
      牢靠资产整理                  0.00                   0.00                     0.00                 0.00                  0.00
      出产性生物资产                0.00                   0.00                     0.00                 0.00                  0.00
        油气资产                    0.00                   0.00                     0.00                 0.00                  0.00
        无形资产                  151.96                 163.43                   165.50               116.85                118.93
        开发支出                    0.00                   0.00                     0.00                 0.00                  0.00
          商誉                      0.00                   0.00                     0.00                 0.00                  0.00
      耐久待摊用度                  0.00                   0.00                     0.00                 0.00                  0.00
      递延所得税资产               67.78                 119.52                    67.19                18.76                 16.62
      其他非活动资产                5.40                  22.04                     0.00               112.23                  0.00
      非活动资产合计            5,833.75               6,004.68                 6,293.89             6,399.34              6,025.39
      资产总计                 49,719.14              48,054.85                63,513.26            11,955.04             12,006.19
         项目            2015 年 12 月 31 日   2014 年 12 月 31 日      2013 年 12 月 31 日   2012 年 12 月 31 日   2011 年 12 月 31 日
     活动负债:
         短期借钱               2,000.00                3,000.00                1,600.00                500.00                500.00
     买卖业务性金融负债                 0.00                    0.00                    0.00                  0.00                  0.00
         应付单据                   0.00                    0.00                    0.00                100.00                200.00
         应付账款               2,355.97                  338.50                  763.50                358.73                470.83
         预收金钱                 492.05                  154.14                  143.41                224.68                 71.68
       应付职工薪酬               102.92                  165.17                  118.17                 88.85                180.09
         应交税费                  90.65                    6.60                  -52.03                 35.85                -26.62
         应付利钱                   3.61                    1.63                    2.36                  0.00                  0.00
         应付股利                   0.00                    0.00                    0.00                  0.00                  0.00
         其他应付款               500.88                  559.46               50,637.09                488.90                469.32
一年内到期的非活动负债                0.00                   0.00                     0.00                 0.00                  0.00

   福建连系中和资产评估地皮房地产估价有限公司                        13 电话:87820347            传真:87814517
     福建众和股份有限公司股权收购项目所涉及的四川国理锂质料有限公司股东所有权益评估陈诉书

        其他活动负债                     0.00               0.00               0.00            0.00              0.00
        活动负债合计                 5,546.09           4,225.50          53,212.50        1,797.01          1,865.29
      非活动负债:
          耐久借钱
          应付债券
          耐久应付款
          专项应付款                    60.00                 60.00           60.00            0.00                 0.00
          估量负债
        递延收益
      递延所得税负债
      其他非活动负债
      非活动负债合计                    60.00              60.00              60.00            0.00              0.00
            负债合计                 5,606.09           4,285.50          53,272.50        1,797.01          1,865.29
        全部者权益
    实劳绩本(或股本)              11,185.00          11,185.00           4,935.00        4,935.00          4,935.00
            成本公积                34,124.54          34,124.54           5,374.54        5,374.54          5,374.54
          减:库存股                     0.00               0.00               0.00            0.00              0.00
            专项储蓄                     0.00               0.00               0.00            0.00              0.00
            盈余公积                     5.34               5.34               5.34            5.34              5.34
        一般风险筹备                     0.00               0.00               0.00            0.00              0.00
          未分配利润                -1,201.83          -1,545.53             -74.12         -156.86           -173.99
      全部者权益合计                44,113.06          43,769.35          10,240.76       10,158.02         10,140.90
  负债和全部者权益总计              49,719.14          48,054.85          63,513.26       11,955.04         12,006.19

                                                连年利润表(归并)如下:
                                                                                         单位:人民币万元
       项                   目         2015 年         2014 年度         2013 年度       2012 年度     2011 年度
一、 营业收入                         14,818.99        5,894.25          13,217.73       12,798.40     9,100.43
     减:营业本钱                     13,011.54        5,375.52           9,950.06        9,601.41     7,522.70
          营业税金及附加                70.61             28.58           111.29          104.01         23.98
          销售用度                     441.58            317.93           682.04          674.63        390.02
          打点用度                    1,709.56          2,961.17         2,145.89        1,509.88      1,116.73
          财务用度                     450.22            254.20           221.40          130.63         55.07
          资产减值丧失                 -50.99            221.94           132.69          -54.69        111.50
  加:公允代价改观收益                   0.00              0.00            0.00            0.00           0.00
          投资收益                      66.38              8.13            0.00            0.00           9.87
二、 营业利润                          -747.16         -3,256.96          -25.65          832.54       -109.69
     加:营业外收入                    322.86            101.59           213.30          162.96        247.46
      减:营业外支出                    9.02            468.22            255.04           16.75            37.99
三、利润总额                           -433.31         -3,623.59          -67.39          978.75            99.77
    减:所得税用度                       7.64            -285.94           28.15           242.86            75.70
四、净利润                             -440.95         -3,337.65          -95.54          735.90            24.07
五、归属于母公司全部者净利润           -440.95         -3,337.65          -95.54          735.90            24.07

                                            连年利润表(母公司)如下:
                                                                                      单位:人民币万元
     项                目         2015 年         2014 年度           2013 年度        2012 年度      2011 年度
一、 营业收入                    8,628.98         2,317.34            7,016.40         6,204.33       4,850.63
     减:营业本钱                7,666.01         2,154.73            5,545.99         5,637.24       4,143.76

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          营业税金及附加            22.60         0.03                9.17            23.20               3.71
          销售用度                 304.24       188.88              272.14           244.64             211.41
          打点用度                 294.89       393.97              629.55           401.30             303.82
          财务用度                 191.76        50.39              159.06            55.32              29.58
          资产减值丧失             -29.61        49.31               93.73           -35.75              62.05
  加:公允代价改观收益              0.00          0.00                0.00            0.00                0.00
          投资收益                  66.17       -994.30               0.00            0.00                9.87
二、 营业利润                          245.26      -1,514.28              306.75        -121.61               106.17
     加:营业外收入                165.48        49.00              67.50            140.97             243.48
      减:营业外支出                3.37         12.67              88.52             0.12               9.42
三、利润总额                           407.37     -1,477.95             285.74            19.23              340.23
    减:所得税用度                  63.67        -44.06              69.83             2.10               53.17
四、净利润                            343.70      -1,433.89             215.90            17.13              287.06

            上述表中数据已经管帐师事宜所审计并出具了无保存意见的审计陈诉。
            5、公司对外投资情形:
            制止评估基准日,四川国理锂质料有限公司对外投资及持股比例情形如下表:
                                                                                             单位:元人民币
     序号              被投资单位名称           投资日期       持股比例%       投资本钱            帐面代价

       1         阿坝中晟锂业有限公司           2011/01          100         36,000,000.00         946,771.68
       2         汶川新砼建材有限公司           2011/01          100          946,771.68        36,000,000.00
       3       四川恒鼎锂业科技有限公司         2013/11          100         6,990,000.00         6,690,000.00
                            合计                                             43,636,771.68      43,636,771.68

            1)阿坝中晟锂业有限公司
            (1)公司根基情形
            A、企业名称:阿坝中晟锂业有限公司;
            B、注册所在:阿坝州汶川县漩口镇小麻溪村;
            C、法定代表人:胡诗为;
            D、注册成本:叁仟陆佰万元人民币;
            E、企业范例:有限责任公司(天然人投资或控股的法人独资)
            F、营业执照注册号:513200000006926;
            G、策划领域:氢氧化锂、硫酸的出产(安详出产许可证有效期至 2016 年 2 月 3 日);
     货品的收支口业务。碳酸锂、无水硫酸钠、塑料编织袋的出产;锂系列产物、建材(危
     险化学品除外)的销售。(依法需经核准的项目,经相关部门核准后方可开展策划勾当);
            (2)公司简介及汗青沿革
            阿坝中晟锂业有限公司于 2011 年 1 月,由四川国理锂质料有限公司投资组建的有
     限责任公司,注册成本 3600 万元,并经中瑞岳华管帐师事宜所于 2011 年 1 月 12 日出


     福建连系中和资产评估地皮房地产估价有限公司                15 电话:87820347         传真:87814517
 福建众和股份有限公司股权收购项目所涉及的四川国理锂质料有限公司股东所有权益评估陈诉书


 具的中瑞岳华川验字[2011]第 001 号验资陈诉审验。
         制止评估基准日,阿坝中晟锂业有限公司实劳绩本为 3600 万元人民币,股东名称、
 出资额和出资比例见下表:
   序号             股东姓名(名称)                        出资额(万元)                     出资比例(%)

     1       四川国理锂质料有限公司                              3,600.00                         100.00

                     合计                                        3,600.00                         100.00

         (3)出产策划情形
         策划领域:氢氧化锂、硫酸的出产(安详出产许可证有效期至 2016 年 2 月 3 日);
 货品的收支口业务。碳酸锂、无水硫酸钠、塑料编织袋的出产;锂系列产物、建材(危
 险化学品除外)的销售。(依法需经核准的项目,经相关部门核准后方可开展策划活
 动)
         (4)公司连年财务状况及策划业绩如下
                                                  连年资产负债表如下:
                                                                                                  单位:人民币万元
           项目             2015 年 12 月 31 日    2014 年 12 月 31 日   2013 年 12 月 31 日   2012 年 12 月 31 日   2011 年 12 月 31 日
      活动资产:
        货币资金                263.86                 137.30                136.72                203.70                 51.85
      买卖业务性金融资产             0.00                   0.00                  0.00                  0.00                   0.00
        应收单据                338.15                 190.00                108.00                234.12                 70.81
        应收账款               2,438.13                530.04                750.51                653.92                567.75
        预付金钱                626.78                 515.96                566.66               1,069.26              2,166.65
        应收利钱                 0.00                   0.00                  0.00                  0.00                   0.00
        应收股利                 0.00                   0.00                  0.00                  0.00                   0.00
        其他应收款              259.18                 338.25                485.24                11.42                  16.89
          存货                 3,081.88               6,327.96              4,251.43              2,257.55              2,014.53
一年内到期的非活动资产           0.00                   0.00                  0.00                  0.00                   0.00
      其他活动资产               0.00                  391.48                 0.00                  0.00                   0.00
        活动资产合计           7,007.97               8,431.00              6,298.56              4,429.98              4,888.48
    非活动资产:
    可供出售金融资产
      持有至到期投资
        耐久应收款
      耐久股权投资               0.00                   0.00                  0.00                  0.00                  0.00
      投资性房地产               0.00                   0.00                  0.00                  0.00                  0.00
        牢靠资产               4,479.70               5,051.27              5,575.02              4,496.62              3,035.29
        在建工程               2,713.74               2,337.81               873.73                614.14                916.51
        工程物资                 0.00                   0.00                  0.00                  0.00                  0.00
      牢靠资产整理               0.00                   0.00                  0.00                  0.00                  0.00
      出产性生物资产             0.00                   0.00                  0.00                  0.00                  0.00
        油气资产                 0.00                   0.00                  0.00                  0.00                  0.00
        无形资产                927.95                 951.76                975.56                999.37               1,023.18
        开发支出                 0.00                   0.00                  0.00                  0.00                  0.00

 福建连系中和资产评估地皮房地产估价有限公司                         16 电话:87820347              传真:87814517
   福建众和股份有限公司股权收购项目所涉及的四川国理锂质料有限公司股东所有权益评估陈诉书

            商誉                   0.00                  0.00                  0.00                  0.00                 0.00
        耐久待摊用度               0.00                  0.00                  0.00                  0.00                 0.00
        递延所得税资产            308.57                252.54                19.11                  7.23                 0.00
        其他非活动资产            545.96                228.60                 0.00                 232.76                0.00
        非活动资产合计           8,975.91              8,821.98              7,443.42              6,350.11             4,974.98
        资产总计                15,983.89             17,252.97             13,741.98             10,780.09             9,863.46
           项目              2015 年 12 月 31 日   2014 年 12 月 31 日   2013 年 12 月 31 日   2012 年 12 月 31 日   2011 年 12 月 31 日
        活动负债:
            短期借钱            1,040.00              1,950.00              1,100.00               500.00                500.00
        买卖业务性金融负债            0.00                   0.00                  0.00                 0.00                  0.00
            应付单据              0.00                   0.00                  0.00                 0.00                  0.00
            应付账款            2,119.57              3,448.73              4,480.53              2,700.75              2,869.41
            预收金钱             24.08                2,093.99              2,798.25               835.27                775.04
          应付职工薪酬           213.37                377.89                499.56                362.95                272.99
            应交税费             250.70                 25.26                 32.63                203.85                -76.02
            应付利钱              2.25                   2.57                  2.31                 0.00                  0.00
            应付股利              0.00                   0.00                  0.00                 0.00                  0.00
            其他应付款          9,386.34              6,040.15               493.91               2,081.23              2,002.09
 一年内到期的非活动负债           0.00                  0.00                  0.00                  0.00                  0.00
         其他活动负债             0.00                  0.00                  0.00                  0.00                  0.00
         活动负债合计           13,036.31             13,938.58             9,407.20              6,684.05              6,343.51
     非活动负债:
           耐久借钱
           应付债券
           耐久应付款
           专项应付款              0.00                 0.00                  0.00                  0.00                  0.00
           估量负债                0.00                 0.00                  0.00                  0.00                  0.00
         递延收益                 175.00               202.50                61.25                  0.00                  0.00
       递延所得税负债              0.00                 0.00                  0.00                  0.00                  0.00
       其他非活动负债              0.00                 0.00                  0.00                  0.00                  0.00
       非活动负债合计             175.00               202.50                61.25                  0.00                  0.00
             负债合计           13,211.31             14,141.08             9,468.45              6,684.05              6,343.51
全部者权益(或股东权益):
    实劳绩本(或股本)           3,600.00              3,600.00              3,600.00              3,600.00             3,600.00
            成本公积               0.00                   0.00                  0.00                 0.00                 0.00
          减:库存股               0.00                   0.00                  0.00                 0.00                 0.00
            专项储蓄              368.45                360.75                218.04                98.00                 3.29
            盈余公积              46.92                  46.92                 46.92                39.80                 0.00
        一般风险筹备               0.00                   0.00                  0.00                 0.00                 0.00
          未分配利润            -1,242.79              -895.78                408.57                358.24               -83.34
      全部者权益合计             2,772.58              3,111.89              4,273.53              4,096.04             3,519.95
  负债和全部者权益总计          15,983.89             17,252.97             13,741.98             10,780.09             9,863.46

                                                    连年利润表如下:
                                                                                                  单位:人民币万元
   项                目         2015 年               2014 年度            2013 年度             2012 年度              2011 年度
     一、 营业收入             12,062.96              5,514.94             8,333.76              11,307.78              6,629.04
     减:营业本钱              11,061.61              4,865.03             7,097.41               9,725.59              6,001.10
    营业税金及附加                43.85                  13.03                13.24                 21.23                  0.43
      销售用度                   137.34                 129.05               156.37                195.45                 105.11

  福建连系中和资产评估地皮房地产估价有限公司                        17 电话:87820347              传真:87814517
 福建众和股份有限公司股权收购项目所涉及的四川国理锂质料有限公司股东所有权益评估陈诉书

      打点用度              1,091.00        1,481.68        928.00           647.70            544.20
      财务用度               252.54          195.27          45.28            58.44             9.85
    资产减值丧失              -8.75           84.88          37.49             0.72             28.18
加:公允代价改观收益           0.00           0.00           0.00              0.00             0.00
      投资收益                 0.21           2.44           0.00              0.00             0.00
    二、 营业利润                 -514.42     -1,251.55          55.98             658.65          -59.84
   加:营业外收入            117.02          31.07          102.67           20.08              3.16
   减:营业外支出             5.65           292.03         147.84           16.25             26.66
   三、利润总额                  -403.04      -1,512.50          10.80           662.48           -83.34
   减:所得税用度             -56.03         -208.15         -68.49           181.10             0.00
     四、净利润                  -347.02     -1,304.35           79.29            481.38           -83.34

      上述表中管帐师事宜所审计并出具了无保存意见的审计陈诉。
      2)汶川新砼建材有限公司
      (1)公司根基情形
      A、企业名称:汶川新砼建材有限公司;
      B、注册所在: 汶川县漩口镇;
      C、法定代表人:胡诗为;
      D、注册成本:壹佰万元人民币;
      E、公司范例:有限责任公司(天然人投资或控股的法人独资);
      F、营业执照注册号:513221000000456;
      G、策划领域:蒸汽(凭有效的特种装备使用挂号证策划)。出产销售各类修建砖、
 石灰粉、家产废渣粉,销售钢材、水泥、五金交电。(以上策划领域国度限制或克制经
 营的除外,

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