财务报表各项目中英文对照.doc

上传人:hw****26 文档编号:3936064 上传时间:2019-08-26 格式:DOC 页数:9 大小:19.23KB
下载 相关 举报
财务报表各项目中英文对照.doc_第1页
第1页 / 共9页
财务报表各项目中英文对照.doc_第2页
第2页 / 共9页
财务报表各项目中英文对照.doc_第3页
第3页 / 共9页
财务报表各项目中英文对照.doc_第4页
第4页 / 共9页
财务报表各项目中英文对照.doc_第5页
第5页 / 共9页
点击查看更多>>
资源描述

1、财务报表各项目中英文对照一、损益表 INCOME STATEMENTAggregate income statement 合并损益表Operating Results 经营业绩FINANCIAL HIGHLIGHTS 财务摘要Gross revenues 总收入/毛收入Net revenues 销售收入/净收入Sales 销售额Turnover 营业额Cost of revenues 销售成本Gross profit 毛利润Gross margin 毛利率Other income and gain 其他收入及利得EBITDA 息、税、折旧、摊销前利润(EBITDA )EBITDA margin

2、 EBITDA 率EBITA 息、税、摊销前利润EBIT 息税前利润/营业利润Operating income(loss) 营业利润/(亏损)Operating profit 营业利润Operating margin 营业利润率EBIT margin EBIT 率(营业利润率)Profit before disposal of investments 出售投资前利润Operating expenses: 营业费用:Research and development costs (Rs Equity 股东权益、所有者权益Total liabilities and shareholders equi

3、ty 负债和股东权益合计Capital and reserves attributable to the Companys equity holders 本公司权益持有人应占资本及储备Issued capital 已发行股本Share capital 股本Reserves 储备Cash reserves 现金储备Inerim dividend 中期股息Proposed dividend 拟派股息Proposed special dividend 拟派末期股息Proposed special dividend 拟派特别股息Proposed final special dividend 拟派末期特

4、别股息Convertible bonds 可换股债券Shareholders fund 股东资金四、现金流量表 STATEMENTS OF CASH FLOWSCash flow from operating activities 经营活动产生的现金流Net cash provided by / (used in) operating activities 经营活动产生的现金流量净额Net income /loss 净利润或损失Adjustments to reconcile net loss to net cash provided by/(used in) operating activi

5、ties: 净利润之现金调整项:Depreciation and amortization 折旧及摊销Addition of bad debt expense 坏账增加数/(冲回数)Provision for obsolete inventories 存货准备Share-based compensation 股票薪酬Deferred income taxes 递延所得税Exchange loss 汇兑损失Loss of disposal of property,plant and equipment 处置固定资产损失Changes in operating assets and liabili

6、ties: 经营资产及负债的变化Trade accounts receivable 应收账款Inventories 存货Prepayments and other receivables 预付款及其他应收款Accounts and bills payable 应付账款及应付票据Accrued expenses and other payables 预提费用及其他应付款Net cash provided by / (used in) operating activities 经营活动产生/(使用)的现金Free cash flow 自由现金流Cash flow from investing ac

7、tivities 投资活动产生的现金流Net cash used in investing activities 投资活动产生的现金流量净额Purchases of property, plant and equipment 购买固定资产Payment of lease prepayment 支付预付租金Purchases of intangible assets 购买无形资产Proceeds from disposal of property, plant and equipment 处置固定资产所得Government grants received 政府补助Equity in the i

8、ncome of investees 采权益法认列之投资收益Cash flow from financing activities 筹资活动产生的现金流Net cash provided by financing activities 筹资活动产生的现金流量净额Proceeds from borrowings 借款所得Repayment of borrowings 还款Decrease / (increase) in pledged deposits 银行保证金(增加)/ 减少Proceeds from issuance of capital stock 股本发行所得Net cash prov

9、ided by financing activities 筹资活动产生的现金Effect of exchange rate changes on cash and cash equivalents 现金及现金等价物的汇率变更的影响Net decrease in cash and cash equivalents 现金及现金等价物的净(减少)/ 增加Cash and cash equivalents at the beginning of period 期初现金及现金等价物Cash and cash equivalents at the end of period 期末现金及现金等价物Investments (incl. financial assets) 金融资产投资Investments in acquisitions 并购投资Net cash flow 现金流量净额

展开阅读全文
相关资源
相关搜索

当前位置:首页 > 实用文档资料库 > 策划方案

Copyright © 2018-2021 Wenke99.com All rights reserved

工信部备案号浙ICP备20026746号-2  

公安局备案号:浙公网安备33038302330469号

本站为C2C交文档易平台,即用户上传的文档直接卖给下载用户,本站只是网络服务中间平台,所有原创文档下载所得归上传人所有,若您发现上传作品侵犯了您的权利,请立刻联系网站客服并提供证据,平台将在3个工作日内予以改正。