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    南玻B:2019年第一季度報(bào)告全文(英文版)
    發(fā)布時(shí)間:2019-04-26 08:00:00
    CSGHOLDINGCO.,LTD.
    
    THEFIRSTQUARTERREPORT2019
              ChairmanoftheBoard:
    
                    CHENLIN
    
                    April2019
    
    
                    SectionI  ImportantNotice
    
    BoardofDirectorsandtheSupervisoryCommitteeofCSGHoldingCo.,Ltd.(hereinafterreferredtoastheCompany)anditsdirectors,supervisorsandseniorexecutivesherebyconfirmthattherearenoanyfictitiousstatements,misleadingstatements,orimportantomissionscarriedinthisreport,andshalltakeallresponsibilities,individualand/orjoint,forthefacticity,accuracyandcompletenessofthewholecontents.
    AlldirectorswerepresentatthemeetingoftheBoardfordeliberatingtheFirstQuarterReportoftheCompanyinperson.
    Ms.ChenLin,ChairmanoftheBoard,Mr.WangJian,responsiblepersoninchargeoftheaccountingandMs.WangWenxin,principalofthefinancialdepartment(accountingofficer)confirmthattheFinancialReportenclosedintheFirstQuarterReport2019istrue,accurateandcomplete.
    ThisreportispreparedbothinChineseandEnglish.ShouldtherebeanyinconsistencybetweentheChineseandEnglishversions,theChineseversionshallprevail.
    
    
            SectionII  ThebasicsituationoftheCompany
    
    I.Mainaccountingdataandindices
    Whetherthecompanyneedtoretroactivelyadjustorrestatethepreviousyear'saccountingdataornot
    □Yes  √N(yùn)o
    
                                            The1stquarterof2019    The1stquarterof2018  Percentageofchange(%)
    Operatingincome(RMB)                          2,222,721,514            2,629,471,994                -15.47%
    Netprofitattributabletoshareholdersof
    
    thelistedcompany(RMB)                          132,188,324            159,382,821                -17.06%
    Netprofitattributabletoshareholdersof
    
    thelistedcompanyafterdeducting                    82,573,767            152,948,714                -46.01%
    non-recurringgainsandlosses(RMB)
    Netcashflowarisingfromoperating
    
    activities(RMB)                                  136,317,362              60,223,706                126.35%
    Basicearningspershare(RMB/Share)                        0.05                    0.06                -16.67%
    Dilutedearningspershare(RMB/Share)                      0.05                    0.06                -16.67%
    WeightedaverageROE(%)                              1.44%                  1.86%                -0.42%
                                                  31March2019        31December2018  Percentageofchange(%)
    Totalassets(RMB)                              19,038,937,263          19,114,234,184                -0.39%
    Netassetsattributabletoshareholderof
    
    listedcompany(RMB)                            9,241,889,126            9,103,154,571                  1.52%
    Thetotalsharecapitalofthecompanyasoftheprevioustradingdayofdisclosure:
    
    Thetotalsharecapitalofthecompanyasoftheprevioustradingdayofdisclosure(share)                    2,862,840,482
    Fullydilutedearningspersharecalculatedwithlatestequity(RMB/share)                                        0.05
    Note:Thetotalamountof436,719sharesofrestrictedstocksheldby8unqualifiedoriginalincentives,whichhadbeenrepurchasedbutnotyetcancelled,weredeductedfromthetotalsharecapital.
    Itemsandamountsofextraordinaryprofit(gains)/losses
    √Applicable  □Notapplicable
    
                                                                                                    Unit:RMB
                                                          Amountfrombeginningoftheyearto
    
                            Item                                                                Note
    
                                                              theendofthereportperiod
    
    Gains/lossesfromthedisposalofnon-currentasset(includingthe
    
                                                                                  6,877,195
    
    write-offthataccruedforimpairmentofassets)
    Governmentalsubsidyreckonedintocurrentgains/losses(not
    
                                                                                47,460,637
    
    includingthesubsidyenjoyedinquotaorrationaccordingto
    
    nationalstandards,whicharecloselyrelevanttoenterprise’s
    business)
    
    Lossandprofitonexternalentrustedloan                                            5,345,912
    
    Othernon-operatingincomeandexpenditureexceptforthe
    
    aforementioneditems                                                            -736,384
    
    Othergains/lossessatisfieddefinitionofextraordinaryprofit
    
    (gains)/loss                                                                            -
    
    Less:Impactonincometax                                                      8,049,219
    
        Impactonminorityshareholders’equity(post-tax)                                1,283,584
    
    Total                                                                        49,614,557        --
    
    Duringthereportperiod,theCompanydidn’thavethecaseofextraordinaryprofit(gains)/lossdefinedasaregularprofitandlossproject,whichwasdefinedandenumeratedaccordingtothelistsofextraordinaryprofit(gain)/lossinQ&AAnnouncementNo.1onInformationDisclosureforCompaniesOfferingTheirSecuritiestothePublic---ExtraordinaryProfit/loss.
    II.Totalofshareholdersattheendofthereportperiodandparticularsaboutthesharesheldbythetoptenshareholders
    1.Thetotalnumberofcommonshareholdersandthenumberofpreferenceshareholderswithvotingrightsrecoveredaswellasthetoptenshareholders
    
                                                                                                    Unit:Share
    Thetotalnumberofcommonshareholders              Thetotalnumberofpreferenceshareholderswithvoting
    
    attheendofthereportperiod                149,447rightsrecoveredatendofreportperiod(ifapplicable)          N/A
                                Particularsaboutthesharesheldbythetoptenshareholders
    
                                                                                              Numberofshare
    
                                                            Proportion            Amountof    pledged/frozen
    
                                                                      Amountof
    
            Nameofshareholder          Natureofshareholder  ofshares            restricted
    
                                                                      sharesheld            Share
    
                                                            held(%)            sharesheld          Amount
                                                                                            status
    
    ForeseaLifeInsuranceCo.,Ltd.�CHaili  Domesticnonstate-owned
    
    Niannian                          legalperson              14.81%423,988,067
    
    ForeseaLifeInsuranceCo.,Ltd.�C      Domesticnonstate-owned
    
                                                                3.76%107,659,097
    
    UniversalInsuranceProducts          legalperson
    
                                      Domesticnonstate-owned
    
    ShenzhenJushenghuaCo.,Ltd.        legalperson              2.75%  78,757,679            Pledged63,000,000
    ForeseaLifeInsuranceCo.,Ltd.�COwnDomesticnonstate-owned
    
                                                                2.06%  58,877,419
    
    Fund                              legalperson
    
    CentralHuijinAssetManagementLtd.  State-ownedlegalperson    1.84%  52,650,444
    
    ChinaGalaxyInternationalSecurities
    
                                      Foreignlegalperson        1.30%  37,313,064
    
    (HongKong)Co.,Limited
    
    UBS  AG                        Foreignlegalperson        1.14%  32,607,190
    
    ChinaMerchantsSecurities(HK)Co.,
    
                                      State-ownedlegalperson    1.03%  29,604,239
    
    Limited
    ShenzhenInternationalHoldings(SZ)
    
    Limited                            State-ownedlegalperson    0.92%  26,450,000
    
    VANGUARDEMERGINGMARKETS
    
                                      Foreignlegalperson        0.61%  17,563,848
    
    STOCKINDEXFUND
    
                            Particularaboutthetoptenshareholderswithun-restrictsharesheld
    
                                                          Amountofunrestricted          Typeofshares
    
                      Shareholders’name                  sharesheldattheendof
    
                                                              theperiod              Type          Amount
    
    ForeseaLifeInsuranceCo.,Ltd.�CHailiNiannian                      423,988,067RMBordinaryshares    423,988,067
    ForeseaLifeInsuranceCo.,Ltd.�CUniversalInsuranceProducts          107,659,097RMBordinaryshares    107,659,097
    ShenzhenJushenghuaCo.,Ltd.                                      78,757,679RMBordinaryshares    78,757,679
    ForeseaLifeInsuranceCo.,Ltd.�COwnFund                          58,877,419RMBordinaryshares    58,877,419
    CentralHuijinAssetManagementLtd.                                52,650,444RMBordinaryshares    52,650,444
                                                                              Domesticallylisted
    
    ChinaGalaxyInternationalSecurities(HongKong)Co.,Limited            37,313,064                      37,313,064
                                                                              foreignshares
    
    UBS  AG                                                      32,607,190RMBordinaryshares    32,607,190
                                                                              Domesticallylisted
    
    ChinaMerchantsSecurities(HK)Co.,Limited                          29,604,239                      29,604,239
                                                                              foreignshares
    
    ShenzhenInternationalHoldings(SZ)Limited                            26,450,000RMBordinaryshares    26,450,000
                                                                              Domesticallylisted
    
    VANGUARDEMERGINGMARKETSSTOCKINDEXFUND            17,563,848                      17,563,848
                                                                              foreignshares
    
                                          Amongshareholdersaslistedabove,ForeseaLifeInsuranceCo.,Ltd.-Haili
                                          Niannian,ForeseaLifeInsuranceCo.,Ltd.-UniversalInsuranceProducts,Foresea
                                          LifeInsuranceCo.,Ltd.-OwnFundareallheldbyForeseaLifeInsuranceCo.,Ltd.
                                          ShenzhenJushenghuaCo.,Ltd.isarelatedlegalpersonofForeseaLifeInsurance
    Statementonassociatedrelationshipor      Co.,Ltd.andChengtaiGroupCo.,Ltd.,anotherrelatedlegalpersonofForeseaLife
    consistentactionamongtheabove          InsuranceCo.,Ltd,whichheld36,534,458sharesviaChinaGalaxyInternational
    shareholders:                          Securities(HongKong)Co.,Limited.
    
                                          Exceptfortheabove-mentionedshareholders,itisunknownwhetherother
                                          shareholdersbelongtorelatedpartyorhaveassociatedrelationshipregulatedbythe
                                          ManagementRegulationofInformationDisclosureonChangeofShareholdingfor
                                          ListedCompanies.
    
    Explanationonthetoptenshareholderswith
    
    un-restrictsharesheldwhichinvolving      N/A
    
    marginbusiness(ifapplicable)
    Whetherthetoptencommonshareholdersorthetoptencommonshareholdersholdingunrestrictedshareshadabuy-backagreementdealinginthereportperiodornot
    
    □Yes  √N(yùn)o
    ThetoptencommonshareholdersorthetoptencommonshareholdersholdingunrestrictedsharesoftheCompanyhadnobuy-backagreementdealinginthereportperiod.
    2.Thetotalnumberofpreferredshareholdersofthecompanyandparticularsaboutthetoptenpreferredshareholders
    □Applicable  √N(yùn)otapplicable
    
    
                    SectionIII.Importantevents
    
    I.Particularsandexplanationsaboutsignificantchangesinmainaccountingstatementsandfinancialindices
    √Applicable□Notapplicable
    
                                                                                              Unit:RMB0,000
    
                                                                                    Amountof  Percentage
    
                                      Note    31March2019  31December2018
    
                                                                                    change      ofchange
    
    Accountsreceivable                    (1)              92,781          59,223        33,558      57%
    
    Assetsheldforsale                    (2)                    -            4,598        -4,598      -100%
    
    Othercurrentassets                    (3)              13,756          44,533        -30,777      -69%
    
    Billspayable                          (4)              27,500          10,515        16,985      162%
    
    Payrollpayable                        (5)              12,525          26,646        -14,121      -53%
    
    Interestpayable                      (6)              10,066            7,361          2,705      37%
    
                                                                                    Amountof  Percentage
    
                                      Note    Jan.-Mar.2019    Jan.-Mar.2018
    
                                                                                    change      ofchange
    
    Assetimpairmentloss                  (7)                682              463            219      47%
    
    Incomefromassetdisposal              (8)                688            -102            790          -
    
    Otherincome                        (9)                4,746              758          3,988      526%
    
    Non-operatingincome                (10)                  69              220          -151      -69%
    
    Non-operatingexpenses                (11)                142              86            56      65%
    
    Minorityshareholdergainsandlosses    (12)                375              -36            411          -
    
    Othercomprehensiveincome            (13)                -122            -203            81          -
    
    Note:
    (1)Theincreaseinaccountsreceivablewasmainlyduetotheincreaseinaccountsreceivableoftheglassindustry.
    (2)Thedecreaseinassetsheldforsalewasmainlyduetothedisposalofassetsheldforsale.
    (3)Thedecreaseinothercurrentassetswasmainlyduetotherecoveryofentrustedloansduringtheperiod.
    (4)Theincreaseinbillspayablewasmainlyduetotheincreaseinnewbillsissuedduringtheperiod.
    (5)Thedecreaseinpayrollpayableswasmainlyduetothepaymentoftheemployee'syear-endbonusaccruedattheendoflastyearwaspaidduringthereportperiod.
    (6)Theincreaseininterestpayablewasmainlyduetothefactthatinterestpaymentformedium-termnoteshadnotbeenpaidintheperiodfortheywerenotdueyet.
    (7)Theincreaseinassetimpairmentlosseswasmainlyduetotheincreaseinprovisionforbaddebtsofaccountsreceivable.
    (8)Theincreaseinincomefromassetdisposalwasmainlyduetothedisposalofassetsheldforsaleduringtheperiod.
    (9)Theincreaseinotherincomewasmainlyduetotheincreaseinamortizationofgovernmentsubsidies.
    (10)Thedecreaseinnon-operatingincomewasmainlyduetoaslightdecreaseingovernmentgrantsduringtheperiod.
    (11)Theincreaseinnon-operatingexpenseswasmainlyduetotheincreaseindonationexpenses.
    (12)Theincreaseinminorityshareholders'gainsandlosseswasmainlyduetotheincreaseinnetprofitofsomesubsidiarieswith
    minorityshareholders.
    (13)Theincreaseinothercomprehensiveincomewasmainlyduetothechangeinthetranslationdifferenceofforeigncurrency
    statements.
    II.Theprogressandtheimpactofmaterialeventsandanalysisonthesolutions
    √Applicable□Notapplicable
    1.Short-termFinancingBills
    OnDec.14,2016,thesecondextraordinaryshareholders’generalmeetingof2016ofCSGdeliberatedandapprovedtheproposaloftheofferingandregistrationofshort-termfinancingbills,andagreedtheCompany’sregistrationandissuanceofshort-termfinancingbillswithatotalamountofRMB2.7billion,whichcouldbeissuedbystageswithinperiodofvalidityoftheregistrationaccordingtotheCompany’sactualdemandsforfundsandthestatusofinter-bankfunds.However,thetermofeachissueshallnotbelongerthanoneyearandtheregisteredquotashallnotexceed40percentoftheCompany’snetassets.
    2.Ultra-short-termfinancingbills
    OnMay14,2018,theCompany’s2017annualshareholders’meetingdeliberatedandapprovedtheresolutionontheapplicationforregistrationandissuanceofultra-short-termfinancingbills,whichagreedthattheCompanyshouldregisterandissueultra-short-termfinancingbillswitharegisteredamountnotexceeding4billionyuan(notsubjecttotherestrictionthattheamountofultra-short-ermissuedshallnotexceed40%ofnetassets).Withtheperiodofvalidityofthequotanotlongerthantwoyears,suchultra-short-termfinancingbillswillbeissuedbyinstallmentsinaccordancewiththeactualcapitalneedsoftheCompanyandthesituationofinter-bankmarketfunds.OnSep.17,2018,theChineseAssociationofInterbankMarketTradersheldits63rdregistrationmeetingin2018,anddecidedtoapprovetheregistrationoftheultra-short-termfinancingbillswithatotalamountof1.5billionyuanandavalidityperiodoftwoyears.Theultra-short-termfinancingbillsareunderwrittenjointlybyMinshengBankofChinaLimitedandIndustrialBankCo.,Ltd,andcanbeissuedbyinstallmentswithinthevalidityperiodofregistration.
    3.Perpetualbonds
    OnApril15,2016,theShareholders’GeneralMeeting2015ofCSGdeliberatedandapprovedtheproposalofapplicationforregistrationandissuanceofperpetualbonds,andagreedtheCompanytoregisterandissueperpetualbondswithatotalamountofRMB3.1billionwhichcouldbeissuedbystageswithinperiodofvalidityoftheregistrationaccordingtotheCompany’sactu aldemandforfundsandthecapitalstatusofinter-bankmarket.
    4.Medium-termnotes
    On10December2014,theFirstExtraordinaryShareholders’GeneralMeeting2014ofCSGHoldingCo.,Ltddeliberatedandapprovedtheproposalofapplicationforregistrationandissuanceofmedium-termnoteswithatotalamountofRMB1.2billionatmost.On21May2015,NationalAssociationofFinancialMarketInstitutionalInvestors(NAFMII)heldthe32ndregistrationmeetingof2015,inwhichNAFMIIdecidedtoaccepttheregistrationoftheCompany’smedium-termnotes,amountingtoRMB1.2billionandvalidfortwoyears.ChinaMerchantsBankCo.,Ltd.andShanghaiPudongDevelopmentBankCo.,Ltd.werejointleadunderwritersofthesemedium-termnoteswhichcouldbeissuedbystageswithinperiodofvalidityoftheregistrationonJul.14,2015,theCompanyissuedthefirstphaseofmedium-termnoteswithatotalamountofRMB1.2billionandvalidtermof5yearsattheissuancerateof4.94%,whichwillberedeemedon14July2020.
    OnApril15,2016,theShareholders’GeneralMeetingof2015ofCSGdeliberatedandapprovedtheproposalofapplicationforregistrationandissuanceofmedium-termnoteswithatotalamountofRMB0.8billion,whichcouldbeissuedbystageswithin
    periodofvalidityoftheregistrationaccordingtotheCompany’sactualdemandsforfundsandthestatusofinter-bankfunds.On2March2018,NationalAssociationofFinancialMarketInstitutionalInvestors(NAFMII)heldthe14thregistrationmeetingof2018,inwhichNAFMIIdecidedtoaccepttheregistrationoftheCompany’smedium-termnotes,amountingtoRMB0.8billionandvalidfortwoyears.ShanghaiPudongDevelopmentBankCo.,Ltd.andChinaCITICBankCorporationLimitedwerejointleadunderwritersofthesemedium-termnoteswhichcouldbeissuedbystageswithinperiodofvalidityoftheregistration.OnMay4,2018,theCompanyissuedthefirstphaseofmedium-termnoteswithatotalamountofRMB0.8billionandvalidtermofthreeyearsattheissuancerateof7%,whichwillberedeemedonMay4,2021.
    OnMay22,2017,theShareholders’GeneralMeetingof2016ofCSGdeliberatedandapprovedtheproposalofapplicationforregistrationandissuanceofmedium-termnoteswithatotalamountofRMB1billion,whichcouldbeissuedbystageswithinperiodofvalidityoftheregistrationaccordingtotheCompany’sactualdemandsforfundsandthestatusofinter-bankfunds.
    Fordetails,pleaserefertowww.chinabond.com.cnandwww.chinamoney.com.cn.
    5.Publicissuanceofcorporatebonds
    OnMarch2,2017,the2ndExtraordinaryGeneralMeetingofShareholdersof2017deliberatedandapproved“theProposalonthePublicIssuanceofCorporateBondsforQualifiedInvestors".OnFebruary27,2019,theFirstExtraordinaryGeneralMeetingofShareholdersof2019deliberatedandapproved“theProposalonExtendingtheValidityoftheShareholders'MeetingResolutionforthePublicIssuanceofCorporateBondsforQualifiedInvestors”,andagreedtheCompanytoissuecorporatebondswithatotalissueofnomorethanRMB2billionandatermofnomorethan10years.
    6.MeetingsofMedium-termnoteholdersduringthereportperiod
    OnJanuary8,2019,theCompanyreleased“theAnnouncementonConveningof2015First-phaseofMedium-termNoteHolders'MeetingofCSGHoldingCo.,Ltd.”and“theAnnouncementonConveningof2018First-phaseofMedium-termNoteHolders'MeetingofCSGHoldingCo.,Ltd.”duetotheCompany’scapitalreductionfortherepurchaseandcancellationofsomerestrictedsharesoftherestrictedequityincentiveplan.OnJanuary22,2019,theCompany's2015first-phaseofmedium-termnoteholders’meetingand2018first-phaseofmedium-termnoteholders’meetingwereheldandvotedoff-site.The2015first-phaseofmedium-termnoteholders’meetingandthe2018first-phaseofmedium-termnoteholders’meetingdidnottakeeffectasthetotalvotingrightsheldbytheholdersattendingthemeetingdidnotreachtwo-thirdsofthetotalvotingrightsasrequired.
    7.EntrustedLoan
    OnDecember21,2018,theExtraordinaryMeetingofthe8thBoardofDirectorsdeliberatedandapproved“theProposalonProvidingExternalEntrustedLoans”.  TheCompanyissuedanentrustedloanwithatotalamountofRMB0.3billiontoTengchongYuezhouWaterInvestmentDevelopmentCo.,Ltd.viaChinaEverbrightBankshenzhen(Nanshan)branch.Thevalidtermoftheentrustedloanwas3monthsanditsannualinterestratewas8.5%.OnMarch22,2019,theprincipalandincomeoftheabove-mentionedentrustedloanwasrepaidasagreedinthecontract.
    Progressofimplementationofsharerepurchase
    □Applicable  √N(yùn)otapplicable
    Progressofimplementationofthereductionoftherepurchasedsharesbymeansofcentralizedpricebidding
    □Applicable  √N(yùn)otapplicable
    
    III.Failureinduefulfillmentofcommitmentsoftheactualcontrollers,shareholders,affiliates,andacquirersoflistedcompanyaswellasthelistedcompanyduringthereportperiod
    □Applicable  √N(yùn)otapplicable
    Itdidnotexistthatcommitmentsoftheactualcontrollers,shareholders,affiliates,andacquirersoflistedcompanyaswellasthelistedcompanyfailedtobefulfilledontimeduringthereportperiod.
    IV.PredictofthebusinessperformancefromJanuarytoJune2019
    Warningsandreasonsofthepredictthatthecumulativenetprofitfromthebeginoftheyeartotheendofnextreportperiodmaybelossorhavegreatchangescomparingwiththesameperiodoflastyear
    □Applicable  √N(yùn)otapplicable
    V.Securitiesinvestment
    □Applicable  √N(yùn)otapplicable
    Therewasnosecuritiesinvestmentduringthereportperiod.
    VI.Derivativeinvestment
    □Applicable  √N(yùn)otapplicable
    Therewasnoderivativeinvestmentduringthereportperiod.
    VII.Registrationformforreceivingresearch,communicationandinterviewduringthereportperiod
    □Applicable  √N(yùn)otapplicable
    TheCompanydidnotreceiveanyresearch,communicationorinterviewsduringthereportperiod.
    VIII.Particularsaboutillegalexternalguarantee
    □Applicable  √N(yùn)otapplicable
    TheCompanyhadnoillegalexternalguaranteeinthereportperiod.
    IX.Particularsaboutnon-operatingfundoflistedcompanywhichisoccupiedbycontrollingshareholderanditsaffiliatedenterprises
    □Applicable  √N(yùn)otapplicable
    
    
                    SectionIVFinancialReport
    
    I.FinancialStatements
    1.Consolidatedbalancesheet
    PreparedbyCSGHoldingCo.,Ltd.
    
                                                                                                    Unit:RMB
                            Item                                Endingbalance            Beginningbalance
    
    Currentasset:
    
        MonetaryFund                                                  2,367,406,487              2,226,447,720
        Settlementprovisions
    
        LendingstoBanksandOtherFinancialInstitutions
    
        Transactionalfinancialassets
    
        Financialassetsmeasuredatfairvaluethroughprofitor
    loss
    
        Derivativefinancialassets
    
        Notesreceivableandaccountsreceivable                              1,446,468,814              1,311,608,760
          Incl.:Notesreceivable                                            518,658,477                719,375,448
                Accountsreceivable                                        927,810,337                592,233,312
        Prepayments                                                      102,966,630                91,176,675
        Premiumreceivable
    
        Accountsreceivablereinsurance
    
        Reserveforreinsurancereceivablecontracts
    
        Otherreceivables                                                  213,754,669                207,424,295
            Incl.:Interestreceivable
    
                Dividendreceivable
    
        Buyingbackthesaleoffinancialassets
    
        Stock                                                            753,404,127                600,139,750
        Contractassets
    
        Assetsheldforsale                                                                            45,983,520
        Non-currentassetsduewithinoneyear
    
        Othercurrentassets                                                137,555,392                445,327,449
    Totalcurrentassets                                                    5,021,556,119              4,928,108,169
    Non-currentassets:
    
      Loansandadvances
    
      Debtinvestment
    
        Availableforsalefinancialassets
    
      Otherdebtinvestment
    
      Held-to-maturityinvestment
    
      Long-termreceivables
    
      Long-termequityinvestment
    
      Investmentinotherequityinstruments
    
      Othernon-currentfinancialassets
    
      Investmentrealestate
    
      Fixedassets                                                      9,754,386,128              9,930,843,775
      Constructioninprogress                                            2,578,710,963              2,559,179,442
      Productivebiologicalassets
    
      Oilandgasassets
    
      Rightofuseassets
    
      Intangibleassets                                                  1,042,727,117              1,035,731,324
      Developmentexpenditure                                            63,358,454                74,549,257
      Goodwill                                                          376,720,156                376,720,156
      Long-termprepaidexpenses                                          12,278,598                12,746,609
      Deferredtaxassets                                                  135,084,054                139,529,518
      Othernon-currentassets                                              54,115,674                56,825,934
    Totalnon-currentassets                                                14,017,381,144            14,186,126,015
    Totalassets                                                        19,038,937,263            19,114,234,184
    Currentliabilities:
    
      Short-termloan                                                  2,907,911,732              2,922,679,590
      BorrowingfromtheCentralBank
    
      Loansfromotherbanks
    
      Transactionalfinancialliabilities
    
      Financialliabilitiesmeasuredatfairvaluethroughprofit
    orloss
    
      Derivativefinancialliabilities
    
      Notespayableandaccountspayable                                  1,407,340,246              1,315,009,263
        Advancepayment                                                  193,978,924                206,631,008
    
      FinancialAssetsSoldforRepurchase
    
      Absorbingdepositsandinterbankdeposits
    
      Actingtradingsecurities
    
      Actingunderwritingsecurities
    
      Payrollpayable                                                    125,250,903                266,459,151
      Taxespayable                                                      99,658,810                111,967,365
      Otherpayables                                                    514,488,917                552,751,187
          Incl.:Interestpayable                                            100,660,637                73,612,703
              Dividendpayable                                            2,827,373                  2,846,362
      Feesandcommissionspayable
    
      Accountspayablereinsurance
    
      Contractliability
    
      Liabilitiesheldforsale
    
      Non-currentliabilitiesduewithinoneyear                              769,577,381                819,448,742
      Othercurrentliabilities                                                  300,000                  300,000
    Totalcurrentliabilities                                                  6,018,506,913              6,195,246,306
    Non-currentliabilities:
    
      Insurancecontractreserve
    
      Longtermloan                                                  2,306,137,500              2,315,700,000
      Bondspayable
    
            Incl.:Preferredstock
    
              Perpetualbond
    
      Leaseliability
    
      Long-termpayables                                                536,586,830                529,910,796
      Long-termpayrollpay
    
      Estimatedliabilities
    
      Deferredincome                                                    564,376,142                601,825,780
      Deferredincometaxliabilities                                          21,412,781                22,118,840
      Othernon-currentliabilities
    
    Totalnon-currentliabilities                                              3,428,513,253              3,469,555,416
    TotalLiabilities                                                      9,447,020,166              9,664,801,722
    Owners'equity:
    
      Sharecapital                                                    2,862,840,482              2,863,277,201
      Otherequityinstruments
    
    
            Incl.:Preferredstock
    
                Perpetualbond
    
        Capitalreserve                                                    1,101,170,945              1,095,339,421
        Less:treasuryshares                                                275,555,628                277,180,983
        Othercomprehensiveincome                                            3,858,321                  5,080,234
        Specialreserves                                                      6,816,584                  6,068,600
        Surplusreserve                                                    924,305,375                924,305,375
        Generalriskpreparation
    
        Undistributedprofits                                              4,618,453,047              4,486,264,723
    Totalowner'sequityattributabletotheparentcompany                        9,241,889,126              9,103,154,571
        Minorityshareholders'equity                                          350,027,971                346,277,891
    Totalowner'sequity                                                    9,591,917,097              9,449,432,462
    TotalLiabilitiesandOwner'sEquity                                      19,038,937,263            19,114,234,184
    LegalRepresentative:ChenLin                      Responsiblepersoninchargeoftheaccounting:WangJian
    Principalofthefinancialdepartment:WangWenxin
    2.BalanceSheetoftheParentCompany
    
                                                                                                    Unit:RMB
                            Item                                Endingbalance            Beginningbalance
    
    Currentasset:
    
        MonetaryFund                                                  1,157,296,686              1,700,726,151
        Transactionalfinancialassets
    
        Financialassetsmeasuredatfairvaluethroughprofitor
    loss
    
        Derivativefinancialassets
    
        Notesreceivableandaccountsreceivable
    
          Incl.:Notesreceivable
    
                Accountsreceivable
    
        Prepayments                                                          821,265                  438,167
        Otherreceivables                                                  3,384,540,626              2,912,516,245
            Incl.:Interestreceivable
    
                Dividendreceivable
    
        Stock
    
        Contractassets
    
    
      Assetsheldforsale
    
      Non-currentassetsduewithinoneyear
    
      Othercurrentassets                                                                          300,000,000
    Totalcurrentassets                                                    4,542,658,577              4,913,680,563
    Non-currentassets:
    
      Debtinvestment
    
        Availableforsalefinancialassets
    
      Otherdebtinvestment
    
      Held-to-maturityinvestment
    
      Long-termreceivables                                              1,200,000,000              1,200,000,000
      Long-termequityinvestment                                        4,969,220,435              4,964,696,831
      Investmentinotherequityinstruments
    
      Othernon-currentfinancialassets
    
      Investmentrealestate
    
      Fixedassets                                                        19,707,895                20,926,071
      Constructioninprogress
    
      Productivebiologicalassets
    
      Oilandgasassets
    
      Rightofuseassets
    
      Intangibleassets                                                      732,793                  879,146
      Developmentexpenditure
    
      Goodwill
    
      Long-termprepaidexpenses
    
      Deferredtaxassets
    
      Othernon-currentassets                                                1,711,338                  732,038
    Totalnon-currentassets                                                6,191,372,461              6,187,234,086
    Totalassets                                                        10,734,031,038            11,100,914,649
    Currentliabilities:
    
      Short-termloan                                                  2,050,000,000              2,000,000,000
      Transactionalfinancialliabilities
    
      Financialliabilitiesmeasuredatfairvaluethroughprofit
    orloss
    
      Derivativefinancialliabilities
    
      Notespayableandaccountspayable                                    150,209,636                  261,024
    
        Advancepayment
    
        Contractliability
    
      Payrollpayable                                                      6,383,825                41,096,020
      Taxespayable                                                        2,223,489                  1,099,231
      Otherpayables                                                    1,161,989,965              1,668,587,218
          Incl.:Interestpayable                                            55,455,963                41,572,125
              Dividendpayable                                            2,827,373                  2,846,362
      Liabilitiesheldforsale
    
      Non-currentliabilitiesduewithinoneyear
    
      Othercurrentliabilities
    
    Totalcurrentliabilities                                                  3,370,806,915              3,711,043,493
    Non-currentliabilities:
    
      Longtermloan                                                  2,000,000,000              2,000,000,000
      Bondspayable
    
            Incl.:Preferredstock
    
              Perpetualbond
    
      Leaseliability
    
      Long-termpayables
    
      Long-termpayrollpay
    
      Estimatedliabilities
    
      Deferredincome                                                    184,088,245                184,642,520
      Deferredincometaxliabilities
    
      Othernon-currentliabilities
    
    Totalnon-currentliabilities                                              2,184,088,245              2,184,642,520
    TotalLiabilities                                                      5,554,895,160              5,895,686,013
    Owners'equity:
    
      Sharecapital                                                    2,862,840,482              2,863,277,201
      Otherequityinstruments
    
            Incl.:Preferredstock
    
              Perpetualbond
    
      Capitalreserve                                                    1,245,998,259              1,240,166,735
      Less:treasuryshares                                                275,555,628                277,180,983
      Othercomprehensiveincome
    
      Specialreserves
    
    
        Surplusreserve                                                    938,850,735                938,850,735
        Undistributedprofits                                                407,002,030                440,114,948
    Totalowner'sequity                                                    5,179,135,878              5,205,228,636
    TotalLiabilitiesandOwner'sEquity                                      10,734,031,038            11,100,914,649
    3.ConsolidatedIncomeStatement
    
                                                                                                    Unit:RMB
                            Item                            Balanceofthisperiod        Balanceoflastperiod
    
    I.Totalrevenue                                                      2,222,721,514              2,629,471,994
        Incl.:Businessincome                                            2,222,721,514              2,629,471,994
              Interestincome
    
              Earnedpremium
    
              Feeandcommissionincome
    
    II.Totalbusinesscost                                                  2,112,290,384              2,449,790,563
        Incl.:Businesscost                                              1,710,257,358              1,983,212,565
              Interestexpense
    
              Feeandcommissionexpenses
    
              Surrendervalue
    
              Netreimbursementexpenditure
    
              Netamountofwithdrawalofinsurancecontract
    
    reserve
    
              Expendituresdividendpolicy
    
              AmortizedReinsuranceExpenditures
    
              Taxesandsurcharges                                          26,974,283                37,091,336
              Salesexpense                                                82,460,250                79,742,352
              Managementcosts                                            123,978,598              171,498,676
              Researchanddevelopmentexpenses                              79,671,948                81,471,157
              Financialexpenses                                            82,123,543                92,147,066
                Incl.:Interestexpense                                        87,627,795                96,320,142
                      Interestincome                                        6,719,497                10,389,262
              Assetimpairmentloss                                          6,824,404                  4,627,411
              Creditimpairmentloss
    
        Plus:Otherincome                                                  47,460,637                7,579,659
            Investmentincome(“-“forloss)
    
    
          Incl.:Investmentincomeinassociatesandjoint
    
    ventures
    
          Exchangegains  (“-“forloss)
    
          Netopenhedgeincome(“-“forloss)
    
          Fairvaluechangeincome(“-“forloss)
    
          Assetdisposalincome(“-“forloss)                                  6,877,195                -1,023,284
    III.Operationalprofit(“-“forloss)                                        164,768,962              186,237,806
      Plus:non-operationalincome                                            687,874                2,200,396
      Less:non-operationalexpenses                                          1,424,258                  861,285
    IV.Grossprofit(“-“forloss)                                              164,032,578              187,576,917
      Less:Incometaxexpenses                                            28,094,174                28,552,401
    V.Netprofit(“-“fornetloss)                                              135,938,404              159,024,516
    (I)Classificationbybusinesscontinuity
    
      1.Netprofitfromcontinuousoperation(“-“fornetloss)                    135,938,404              159,024,516
      2.Discontinuedoperatingnetprofit(“-“fornetloss)
    (II)Classificationbyownership
    
      1.Netprofitattributabletotheownersofparentcompany                  132,188,324              159,382,821
      2.Minorshareholders’equity                                            3,750,080                  -358,305
    VI.Netafter-taxamountofothercomprehensiveincome                        -1,221,913                -2,029,007
    Netafter-taxamountofothercomprehensiveincome
    
                                                                          -1,221,913                -2,029,007
    attributabletotheowneroftheparentcompany
    
      (I)Othercomprehensiveincomethatcannotbe
    reclassifiedintoprofitorloss
    
            1.Re-measurethechangeinthedefinedbenefit
    
    plan
    
            2.Othercomprehensiveincomethatcannotbe
    
    transferredtoprofitorlossundertheequitymethod
    
            3.Changesinfairvalueofotherequityinstruments
    
    investment
    
            4.Changesinthefairvalueofthecompany'sown
    
    creditrisk
    
            5.Others
    
      (II)Othercomprehensiveincomethatwillbereclassified
    
    intoprofitorloss                                                        -1,221,913                -2,029,007
            1.Othercomprehensiveincomethatcanbe
    
    transferredtoprofitorlossundertheequitymethod
    
    
              2.Changesinfairvalueofotherdebtinvestments
    
              3.Gainsandlossesfromchangesinfairvalueof
    
    available-for-salefinancialassets
    
              4.Theamountoffinancialassetsreclassifiedinto
    
    othercomprehensiveincome
    
              5.Held-to-maturityinvestmentsreclassifiedas
    
    gainsandlossesonavailable-for-salefinancialassets
    
              6.Otherdebtinvestmentcreditimpairment
    
    provisions
    
              7.Cashflowhedgereserve
    
              8.Foreign-currencyfinancialstatementtranslation
    
                                                                          -1,221,913                -2,029,007
    difference
    
              9.Others
    
      Netafter-taxamountofothercomprehensiveincome
    attributabletominorityshareholders
    
    VII.Totalcomprehensiveincome                                          134,716,491              156,995,509
        Totalcomprehensiveincomeattributabletoownersofthe
    
                                                                          130,966,411              157,353,814
    Company
    
        Totalcomprehensiveincomeattributabletominority
    
    shareholders                                                            3,750,080                  -358,305
    VIII.Earningspershare
    
      (I)Basicearningspershare                                                    0.05                      0.06
      (II)Dilutedearningspershare                                                  0.05                      0.06
    LegalRepresentative:ChenLin                      Responsiblepersoninchargeoftheaccounting:WangJian
    Principalofthefinancialdepartment:WangWenxin
    4.IncomeStatementoftheParentCompany
    
                                                                                                    Unit:RMB
                            Item                            Balanceofthisperiod        Balanceoflastperiod
    
    I.Operatingrevenue                                                      20,108,542                14,497,732
        Less:Businesscost
    
              Taxesandsurcharges                                              220,610                  125,403
              Salesexpense
    
              Managementcosts                                            22,307,483                36,644,195
              Researchanddevelopmentexpenses                                  8,833
    
    
            Financialexpenses                                            31,366,290                  8,614,081
              Incl.:Interestexpense                                        36,970,255                17,912,092
                    Interestincome                                        5,862,210                  9,650,504
            Assetimpairmentloss                                              -3,481                      761
            Creditimpairmentloss
    
      Plus:Otherincome                                                    678,275                  470,940
          Investmentincome(“-“forloss)
    
            Incl.:Investmentincomeinassociatesandjoint
    
    ventures
    
          Netopenhedgeincome(“-“forloss)
    
          Fairvaluechangeincome(“-“forloss)
    
          Assetdisposalincome(“-“forloss)                                                                2,440
    II.Operationalprofit(“-“forloss)                                          -33,112,918                -30,413,328
      Plus:non-operationalincome                                                                      127,450
      Less:non-operationalexpenses
    
    III..Grossprofit(“-“forloss)                                              -33,112,918                -30,285,878
      Less:Incometaxexpenses
    
    IV.Netprofit(“-“fornetloss)                                            -33,112,918                -30,285,878
      (I)  Netprofitfromcontinuousoperation(“-“fornetloss)                  -33,112,918                -30,285,878
      (II)  Discontinuedoperatingnetprofit(“-“fornetloss)
    V.Netafter-taxamountofothercomprehensiveincome
    
        (I)Othercomprehensiveincomethatcannotbe
    reclassifiedintoprofitorloss
    
        1.Re-measurethechangeinthedefinedbenefitplan
    
          2.Othercomprehensiveincomethatcannotbe
    
    transferredtoprofitorlossundertheequitymethod
    
          3.Changesinfairvalueofotherequityinstruments
    
    investment
    
        4.Changesinthefairvalueofthecompany'sowncredit
    risk
    
        5.Others
    
      (II)Othercomprehensiveincomethatwillbereclassified
    intoprofitorloss
    
      1.Othercomprehensiveincomethatcanbetransferredto
    profitorlossundertheequitymethod
    
      2.Changesinfairvalueofotherdebtinvestments
    
    
        3.Gainsandlossesfromchangesinfairvalueof
    available-for-salefinancialassets
    
        4.Theamountoffinancialassetsreclassifiedintoother
    comprehensiveincome
    
      5.Held-to-maturityinvestmentsreclassifiedasgainsand
    lossesonavailable-for-salefinancialassets
    
        6.Otherdebtinvestmentcreditimpairmentprovisions
    
        7.Cashflowhedgereserve
    
        8.Foreign-currency  financial  statement  translation
    
    difference
    
        9.Others
    
    VI.Totalcomprehensiveincome                                          -33,112,918                -30,285,878
    VII.Earningspershare
    (I)Basicearningspershare
    (II)Dilutedearningspershare
    5.ConsolidatedCashFlowStatement
    
                                                                                                    Unit:RMB
                            Item                            Balanceofthisperiod        Balanceoflastperiod
    
    I.Netcashflowfrombusinessoperation:
    
        Cashreceivedfromsalesofproductsandprovidingof
    
                                                                        2,268,333,166              2,585,745,573
    services
    
        Netincreaseincustomerdepositsandinterbankdeposits
    
        NetincreaseinborrowingfromtheCentralBank
    
        Netincreaseindisbursementstootherfinancial
    institutions
    
        Cashreceivedfromthepremiumoftheoriginalinsurance
    contract
    
        Netcashreceivedfromreinsurancebusiness
    
        Netincreaseofinsureddepositandinvestment
    
        Disposalofthenetincreaseinfinancialassetsmeasuredat
    fairvaluethroughprofitorloss
    
        Cashchargedwithinterest,handlingfeesandcommissions
    
        Netincreaseinfundsdisbursed
    
        Netincreaseinrepurchasebusinessfunds
    
        Netcashreceivedfromtradingsecurities
    
    
      Refundsoftaxes                                                      1,825,553                8,714,717
      Receivedothercashrelatedtobusinessactivities                          26,891,640                19,321,411
    Subtotalofcashinflowfromoperatingactivities                            2,297,050,359              2,613,781,701
      Cashpaidforthepurchaseofgoodsandservices                        1,445,370,845              1,794,681,827
      Netincreaseincustomerloansandadvances
    
      DepositofnetincreaseinCentralBankandinterbank
    payments
    
      Cashforpaymentoforiginalinsurancecontractclaims
    
      Netincreaseinfinancialassetsheldfortradingpurposes
    
      Netincreaseinfundsdismantled
    
      Cashforpaymentofinterest,handlingfeesand
    commissions
    
      Cashpaidforpolicydividends
    
      Cashpaidtoandforemployees                                        418,315,107              421,471,968
      Paymentsofalltypesoftaxes                                        138,793,875              182,508,067
      Paymentofothercashrelatedtobusinessactivities                        158,253,170              154,896,133
    Subtotalofcashoutflowfromoperatingactivities                            2,160,732,997              2,553,557,995
    Netcashflowfromoperatingactivities                                      136,317,362                60,223,706
    II.Cashflowsfrominvestingactivities:
    
      RecoveryofCashReceivedfromInvestment
    
      Cashreceivedfrominvestmentincome
    
      Netcashrecoveredfromdisposaloffixedassets,
    
    intangibleassetsandotherlong-termassets                                      334,400                1,772,886
      Netcashreceivedfromdisposalofsubsidiariesandother
    businessunits
    
      Othercashreceivedrelatingtoinvestingactivities                            209,085                3,249,483
    Subtotalofcashinflowsfrominvestmentactivities                                543,485                5,022,369
      Cashpaidforthepurchaseandconstructionoffixed
    
    assets,intangibleassetsandotherlong-termassets                            127,234,513                112,300,336
      Cashforinvestmentpayments
    
      Netincreaseinpledgeloans
    
      Netcashpaidbysubsidiariesandotherbusinessunits
    
      Othercashpaidrelatingtoinvestingactivities                                606,824                14,102,400
    Subtotalofcashoutflowsfrominvestmentactivities                            127,841,337              126,402,736
    Netcashflowsfrominvestingactivities                                    -127,297,852              -121,380,367
    III.Cashflowfromfinancingactivities:
    
        Cashreceivedbyabsorbinginvestments
    
        Incl.:Cashreceivedbysubsidiarycompaniestoabsorb
    minorityshareholders'Investment
    
        Cashreceivedfromtheloan                                          835,500,000              850,600,000
        Cashreceivedfromtheissuanceofbonds
    
        Otherfinancing-relatedcashreceived                                  500,000,000                  303,833
    Subtotalofcashinflowsfromfinancingactivities                            1,335,500,000              850,903,833
        Cashpaidfordebtrepayment                                          930,211,970              545,750,000
        Cashpaidfordividends,profitsorinterestpayments                        62,397,350                81,914,082
        Incl.:Dividendsandprofitspaidbysubsidiariesto
    minorityshareholders
    
        Paymentofothercashrelatedtofinancingactivities                        359,331,565                213,115,386
    Subtotalofcashoutflowsfromfinancingactivities                          1,351,940,885              840,779,468
    Netcashflowfromfinancingactivities                                      -16,440,885                10,124,365
    IV.Influenceofexchangeratealternationoncashandcash
    
    equivalents                                                            -1,620,779                -4,370,245
    V.Netincreaseincashandcashequivalents                                  -9,042,154                -55,402,541
        Plus:Balanceofcashandcashequivalentsatthe
    
    beginningofterm                                                    2,225,126,913              2,459,753,165
    VI.Balanceofcashandcashequivalentsattheendofterm                    2,216,084,759              2,404,350,624
    6.CashFlowStatementoftheParentCompany
    
                                                                                                    Unit:RMB
                            Item                            Balanceofthisperiod        Balanceoflastperiod
    
    I.Netcashflowfrombusinessoperation:
    
        Cashreceivedfromsalesofproductsandprovidingof
    services
    
        Refundsoftaxes
    
        Receivedothercashrelatedtobusinessactivities                          12,431,042                10,761,525
    Subtotalofcashinflowfromoperatingactivities                              12,431,042                10,761,525
        Cashpaidforthepurchaseofgoodsandservices
    
        Cashpaidtoandforemployees                                        51,404,986                38,812,139
        Paymentsofalltypesoftaxes                                          1,047,643                  701,230
        Paymentofothercashrelatedtobusinessactivities                          8,308,180                4,822,289
    
    Subtotalofcashoutflowfromoperatingactivities                              60,760,809                44,335,658
    Netcashflowfromoperatingactivities                                      -48,329,767                -33,574,133
    II.Cashflowsfrominvestingactivities:
    
      RecoveryofCashReceivedfromInvestment
    
      Cashreceivedfrominvestmentincome
    
        Netcashrecoveredfromdisposaloffixedassets,
    
    intangibleassetsandotherlong-termassets                                                                  2,440
      Netcashreceivedfromdisposalofsubsidiariesandother
    businessunits
    
      Othercashreceivedrelatingtoinvestingactivities
    
    Subtotalofcashinflowsfrominvestmentactivities                                                            2,440
        Cashpaidforthepurchaseandconstructionoffixed
    
    assets,intangibleassetsandotherlong-termassets                              1,522,855                  262,260
      Cashforinvestmentpayments
    
      Netcashpaidbysubsidiariesandotherbusinessunits
    
      Othercashpaidrelatingtoinvestingactivities
    
    Subtotalofcashoutflowsfrominvestmentactivities                            1,522,855                  262,260
    Netcashflowsfrominvestingactivities                                      -1,522,855                  -259,820
    III.Cashflowfromfinancingactivities:
    
      Cashreceivedbyabsorbinginvestments
    
      Cashreceivedfromtheloan                                          700,000,000              500,000,000
      Cashreceivedfromtheissuanceofbonds
    
      Otherfinancing-relatedcashreceived                                                            152,171,097
    Subtotalofcashinflowsfromfinancingactivities                              700,000,000              652,171,097
      Cashpaidfordebtrepayment                                          650,000,000              250,000,000
      Cashpaidfordividends,profitsorinterestpayments                        22,874,958                19,945,850
      Paymentofothercashrelatedtofinancingactivities                        670,685,645
    
    Subtotalofcashoutflowsfromfinancingactivities                          1,343,560,603              269,945,850
    Netcashflowfromfinancingactivities                                    -643,560,603              382,225,247
    IV.Influenceofexchangeratealternationoncashandcash
    
                                                                            -17,160                  -33,040
    equivalents
    
    V.Netincreaseincashandcashequivalents                                -693,430,385              348,358,254
        Plus:Balanceofcashandcashequivalentsatthe
    
                                                                        1,699,514,334              1,680,672,390
    beginningofterm
    
    VI.Balanceofcashandcashequivalentsattheendofterm                    1,006,083,949              2,029,030,644
    II.NotetotheAdjustmentofFinancialStatements
    Adjustmentoftherelevantfinancialstatementsatcurrentyearbeginningaccordingtonewstandardsforfinancialinstruments,thenewstandardsforrevenuesandthenewstandardsforleaseinitiallyimplemented
    □Applicable  √N(yùn)otapplicable
    2.Notetotheretroactiveadjustmentofthepreviouscomparativedataaccordingtothenewstandardsforfinancialinstrumentsandthenewstandardsforleaseinitiallyimplemented
    □Applicable  √N(yùn)otapplicable
    II.ReportoftheAuditors
    WhethertheFirstQuarterReporthasbeenauditedornot
    □Yes  √N(yùn)o
    TheFirstQuarterReporthasn’tbeenaudited.
    BoardofDirectorsof
    CSGHoldingCo.,Ltd.
    26April2019
    稿件來(lái)源: 電池中國(guó)網(wǎng)
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