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合眾思?jí)? 關(guān)于前期會(huì)計(jì)差錯(cuò)更正的公告

來源: 證券之星2023-08-31 04:56:37
  

證券代碼:002383            證券簡稱:合眾思?jí)?ensp;             公告編號(hào):2023-062

              北京合眾思?jí)芽萍脊煞萦邢薰?/p>


(資料圖片)

   本公司及董事會(huì)全體成員保證信息披露的內(nèi)容真實(shí)、準(zhǔn)確、完整,沒有虛

假記載、誤導(dǎo)性陳述或者重大遺漏。

     一、前期會(huì)計(jì)差錯(cuò)更正的原因及內(nèi)容

或“公司”)收到中國證券監(jiān)督管理委員會(huì)出具的《行政處罰決定書》(處罰字

〔2023〕35 號(hào))。認(rèn)定公司存在如下違法事實(shí):

   (一)合眾思?jí)淹ㄟ^虛構(gòu)雷達(dá)相關(guān)業(yè)務(wù)虛增收入、成本和利潤

   合眾思?jí)牙闷渥庸旧钲诤媳娝級(jí)芽萍加邢薰荆ㄒ韵潞喎Q深圳思?jí)眩﹨?/p>

與雷達(dá)相關(guān)業(yè)務(wù),以開展雷達(dá)、服務(wù)器等相關(guān)產(chǎn)品貿(mào)易的名義,虛構(gòu)生產(chǎn)業(yè)務(wù)流

程,虛構(gòu)軟件加載模塊,向虞某實(shí)際控制的公司采購后再銷售給虞某指定或安排

的通道公司,通道公司經(jīng)過多道流轉(zhuǎn)后又回到虞某控制的公司,形成空轉(zhuǎn)循環(huán)貿(mào)

易業(yè)務(wù)。在業(yè)務(wù)開展過程中,合眾思?jí)炎鳛槌鲑Y方,通過簽訂購銷合同,以墊資

方式提供資金,以可組織的資金規(guī)模確定合同收益,但不提供技術(shù)、不參與生產(chǎn)、

不經(jīng)手貨物,不直接與客戶、供應(yīng)商接觸聯(lián)絡(luò),相關(guān)業(yè)務(wù)只有合同、單據(jù)、發(fā)票

配合走單和資金流轉(zhuǎn),沒有實(shí)物交付,缺乏業(yè)務(wù)實(shí)質(zhì),而合眾思?jí)褏s將其披露為

軍工集成產(chǎn)品業(yè)務(wù),以虛增 2017 至 2019 年收入金額 608,853,988.79 元,虛增

成本金額 548,277,283.76 元,虛增利潤總額 60,576,705.03 元。其中,2017 年

虛增收入 118,886,663.25 元,虛增成本金額 108,078,776.07 元,虛增利潤總額

元。

   (二)合眾思?jí)淹ㄟ^虛構(gòu)專網(wǎng)通信業(yè)務(wù)虛增收入、成本和利潤

   合眾思?jí)褜⑴c隋某力共同投資的聯(lián)營企業(yè)北斗導(dǎo)航作為專網(wǎng)通信業(yè)務(wù)運(yùn)營

平臺(tái),以開展專網(wǎng)通信業(yè)務(wù)為名,與隋某力實(shí)際控制的江蘇星地通通信科技有限

公司對(duì)接上下游合同簽訂、原材料采購、組織生產(chǎn)、貨物驗(yàn)收交付等事宜,與隋

某力指定企業(yè)開展自循環(huán)業(yè)務(wù)。在業(yè)務(wù)開展過程中,合眾思?jí)岩詾楸倍穼?dǎo)航及其

子公司南京元博中和科技有限公司提供加工服務(wù)為名,加入專網(wǎng)通信業(yè)務(wù)鏈條,

但實(shí)際卻不承擔(dān)加工角色,不提供任何有附加值的技術(shù),而是作為出資方,以墊

資方式提供資金,以可組織的資金規(guī)模確定訂單量,利潤空間提前確定且基本恒

定。專網(wǎng)通信業(yè)務(wù)對(duì)合眾思?jí)讯詻]有業(yè)務(wù)實(shí)質(zhì),但合眾思?jí)褏s將其披露為通導(dǎo)

一體化業(yè)務(wù),以虛增 2017 至 2020 年收入金額 938,534,600.23 元,虛增成本金

額 511,734,606.86 元,虛增利潤總額 426,799,993.37 元。其中,2017 年虛增

收入 534,058,341.88 元,虛增成本金額 489,134,773.53 元,虛增利潤總額

   (三)合眾思?jí)烟摌?gòu)軟件銷售和技術(shù)服務(wù)費(fèi)收入

軟件產(chǎn)品銷售合同,深圳思?jí)严蚝蛣?chuàng)智建銷售合眾思?jí)哑髽I(yè)級(jí)即時(shí)通訊軟件

A1.0.0.5,合同金額 30,010,440.00 元。2018 年 1 月 11 日和 12 日,深圳思?jí)?/p>

分別收到和創(chuàng)智建支付軟件款 14,580,000.00 元和 15,430,440.00 元。同年,深

圳思?jí)延峙c和創(chuàng)智建簽訂技術(shù)開發(fā)(委托)合同,和創(chuàng)智建委托深圳思?jí)蜒芯块_

發(fā)移動(dòng)互聯(lián)高精度模塊研發(fā)項(xiàng)目,研究開發(fā)經(jīng)費(fèi)和報(bào)酬總額為 8,420,000.00 元。

元,但上述款項(xiàng)實(shí)則來源于合眾思?jí)?。和?chuàng)智建作為承接專網(wǎng)通信業(yè)務(wù)的代工廠,

本身并沒有采購軟件及技術(shù)服務(wù)的應(yīng)用需求,合眾思?jí)烟摌?gòu)該業(yè)務(wù)是為了結(jié)算和

創(chuàng)智建的部分專網(wǎng)通信業(yè)務(wù)利潤。合眾思?jí)淹ㄟ^虛構(gòu)軟件銷售和技術(shù)服務(wù)費(fèi),虛

增 2017 年收入和利潤總額 33,593,344.96 元。

   (四)合眾思?jí)芽缙诖_認(rèn)票據(jù)貼現(xiàn)費(fèi)用

專網(wǎng)通信業(yè)務(wù)采購款,和創(chuàng)智建收到銀行承兌匯票和國內(nèi)信用證后進(jìn)行貼現(xiàn)獲得

現(xiàn)款。由此產(chǎn)生的貼現(xiàn)費(fèi)用應(yīng)由合眾思?jí)殉袚?dān),但合眾思?jí)褳榱苏{(diào)節(jié)利潤,未及

時(shí)將貼現(xiàn)費(fèi)用入賬,而由和創(chuàng)智建先行墊付貼現(xiàn)費(fèi)用。該行為導(dǎo)致合眾思?jí)?ensp;2017

年虛減財(cái)務(wù)費(fèi)用 12,387,525.55 元,2018 年虛減財(cái)務(wù)費(fèi)用 74,715,222.04 元,

累計(jì)虛減利潤總額 87,102,747.59 元。

   合眾思?jí)焉鲜鲂袨閷?dǎo)致 2017 年至 2020 年累計(jì)虛增收入 1,580,981,933.98

元,累計(jì)虛增成本 1,177,519,578.07 元,虛減財(cái)務(wù)費(fèi)用 117,507,687.45 元,虛

增利潤總額 520,970,043.36 元,其中,2017 年虛增收入 686,538,350.09 元(虛

增金額占當(dāng)期披露金額的比例為 30.01%,下同),虛增利潤總額 101,712,326.04

元(占比 38.58%),2018 年虛增收入 703,452,422.43 元(占比 30.59%),虛

增 利 潤 總 額 319,004,119.79 元 ( 占 比 178.73 % ) , 2019 年 虛 增 收 入

年年度報(bào)告存在虛假記載。

   二、前期會(huì)計(jì)差錯(cuò)更正的說明

料款再通過下游回款收回作現(xiàn)金流的補(bǔ)充。截至 2021 年末,專網(wǎng)通信業(yè)務(wù)無存

貨,應(yīng)收款項(xiàng)已對(duì)外轉(zhuǎn)讓。公司在追溯調(diào)整中使用“其他流動(dòng)資產(chǎn)”科目作為專

網(wǎng)通信應(yīng)收賬款、預(yù)付賬款、存貨、預(yù)付賬款調(diào)整過渡科目,專網(wǎng)通信業(yè)務(wù) 2021

年末無其他流動(dòng)資產(chǎn)。使用“其他流動(dòng)負(fù)債”科目作為專網(wǎng)通信虛增利潤過渡科

目,并在 2021 年累計(jì)轉(zhuǎn)入資本公積。

雷達(dá)業(yè)務(wù)無存貨。公司在追溯調(diào)整中,雷達(dá)業(yè)務(wù)形成其他流動(dòng)資產(chǎn)在 2020 年累

計(jì)計(jì)提資產(chǎn)減值。

導(dǎo)航來源于專網(wǎng)通信業(yè)務(wù)利潤確認(rèn)的投資收益進(jìn)行調(diào)整,對(duì)北斗導(dǎo)航?jīng)_減專網(wǎng)通

信業(yè)務(wù)后的投資收益進(jìn)行了追溯。本次跨期追溯調(diào)整的 2017 年、2018 年、2019

年、2020 年、2021 年專網(wǎng)通信業(yè)務(wù)利潤確認(rèn)的投資收益分別為-18,432,326.59

元 、 -88,572,036.09 元 、 -79,883,111.20 元 、 -142,055,132.39 元 、

股票期權(quán)與限制性股票激勵(lì)計(jì)劃(草案修訂稿)》(以下簡稱“股權(quán)激勵(lì)計(jì)

劃”),向 221 名激勵(lì)對(duì)象授予限制性股票及股票期權(quán)。其中,2017 年 9 月 19

日首次授予限制性股票 969 萬股,2018 年 9 月 13 日授予預(yù)留部分限制性股票

為解除限售的業(yè)績考核指標(biāo)之一,分別較 2016 年凈利潤增長不低于 30%、

處罰事項(xiàng)對(duì)公司 2017 年股權(quán)激勵(lì)計(jì)劃的實(shí)施與授予未造成影響,但是本次會(huì)計(jì)

差錯(cuò)更正后,2018 年凈利潤增長率不達(dá) 60%,導(dǎo)致首次授予第二期、預(yù)留授予

第二期已解除限售并上市流通的限制性股票不符合解除限售的條件。

   根據(jù)《上市公司股權(quán)激勵(lì)管理辦法》第六十八條:“上市公司因信息披露

文件有虛假記載、誤導(dǎo)性陳述或者重大遺漏,導(dǎo)致不符合授予權(quán)益或行使權(quán)益

安排的,未行使權(quán)益應(yīng)當(dāng)統(tǒng)一回購注銷,已經(jīng)行使權(quán)益的,所有激勵(lì)對(duì)象應(yīng)當(dāng)

返還已獲授權(quán)益?!北敬螘?huì)計(jì)差錯(cuò)更正將導(dǎo)致限制性股票第二期不滿足解除限

售的條件,公司應(yīng)予以回購注銷或追回激勵(lì)對(duì)象已獲授權(quán)益。

   因激勵(lì)對(duì)象人數(shù)較多,部分已離職,公司尚未獲悉全部激勵(lì)對(duì)象的限制性

股票持有情況及已獲授權(quán)益。公司將積極推進(jìn)與激勵(lì)對(duì)象的溝通協(xié)商工作,盡

快確認(rèn)其持股及獲益情況。積極研究切實(shí)可行的解決方案,針對(duì)已解除限售并

已出售的股票,持續(xù)督促激勵(lì)對(duì)象返還所獲得的上述收益;針對(duì)已解除限售但

未出售的股票,與激勵(lì)對(duì)象協(xié)商減持或回購方案。如因特殊情況確實(shí)無法返還

收益、配合公司實(shí)施減持或回購方案的,公司將通過法律途徑保護(hù)公司及股東

的合法權(quán)益。

   三、公司對(duì)會(huì)計(jì)差錯(cuò)更正審議程序

   公司于 2023 年 8 月 29 日召開的第五屆董事會(huì)第二十七次會(huì)議、第五屆監(jiān)

事會(huì)第十九次會(huì)議審議通過了《關(guān)于前期會(huì)計(jì)差錯(cuò)更正的議案》,根據(jù)《行政

處罰決定書》所述情況,公司對(duì)相關(guān)各年度財(cái)務(wù)會(huì)計(jì)工作進(jìn)行了核查,并結(jié)合

《企業(yè)會(huì)計(jì)準(zhǔn)則第 28 號(hào)-會(huì)計(jì)政策、會(huì)計(jì)估計(jì)變更和差錯(cuò)更正》和《公開發(fā)行

證券的公司信息披露編報(bào)規(guī)則第 19 號(hào)-財(cái)務(wù)信息的更正及相關(guān)披露》等相關(guān)規(guī)

定,對(duì)前期會(huì)計(jì)差錯(cuò)進(jìn)行了更正。公司董事會(huì)、監(jiān)事會(huì)對(duì)相關(guān)資料進(jìn)行了審

核,同意公司對(duì)前期會(huì)計(jì)差錯(cuò)進(jìn)行更正。

  四、前期會(huì)計(jì)差錯(cuò)更正事項(xiàng)對(duì)財(cái)務(wù)狀況、經(jīng)營成果、財(cái)務(wù)指標(biāo)的影響

  公司對(duì)上述前期會(huì)計(jì)差錯(cuò)采用追溯重述法進(jìn)行更正,對(duì) 2017-2023 年一季

度財(cái)務(wù)報(bào)表相關(guān)項(xiàng)目進(jìn)行了追溯重述,對(duì)財(cái)務(wù)報(bào)表影響項(xiàng)目及金額如下:

  (1)對(duì) 2023 年第一季度合并財(cái)務(wù)報(bào)表的影響

  對(duì) 2023 年 3 月 31 日合并資產(chǎn)負(fù)債表的影響

                                                   金額單位:人民幣元

報(bào)表項(xiàng)目                    更正前金額               更正后金額                更正金額

資本公積                2,439,817,380.06    2,960,787,423.42    520,970,043.36

未分配利潤               -1,867,520,101.89   -2,388,490,145.25   -520,970,043.36

  (2)對(duì) 2022 年合并財(cái)務(wù)報(bào)表的影響

  對(duì) 2022 年 12 月 31 日合并資產(chǎn)負(fù)債表的影響

                                                   金額單位:人民幣元

報(bào)表項(xiàng)目                    更正前金額               更正后金額                更正金額

資本公積                2,439,817,380.06    2,960,787,423.42    520,970,043.36

未分配利潤               -1,849,747,242.09   -2,370,717,285.45   -520,970,043.36

  (3)對(duì) 2021 年合并財(cái)務(wù)報(bào)表的影響

  ①對(duì) 2021 年 12 月 31 日合并資產(chǎn)負(fù)債表的影響

                                                   金額單位:人民幣元

報(bào)表項(xiàng)目                    更正前金額               更正后金額                更正金額

資本公積                2,439,237,721.98    2,960,207,765.34    520,970,043.36

未分配利潤               -1,609,286,060.65   -2,130,256,104.01   -520,970,043.36

  ②對(duì) 2021 年度合并利潤表的影響

                                                   金額單位:人民幣元

報(bào)表項(xiàng)目                   更正前金額              更正后金額                 更正金額

投資收益(損失以“-”號(hào)填列)      330,958,159.85    579,900,766.12      248,942,606.27

  其中:對(duì)聯(lián)營企業(yè)和合營企業(yè)      -292,188,196.78    -43,245,590.51     248,942,606.27

的投資收益

信用減值損失(損失以“-”號(hào)填列)     -14,422,426.95    -54,889,047.85     -40,466,620.90

資產(chǎn)減值損失(損失以“-”號(hào)填列)    -285,675,609.29   -205,675,609.29      80,000,000.00

三、營業(yè)利潤(虧損以“-”號(hào)填列)     -73,245,367.64    215,230,617.73     288,475,985.37

四、利潤總額(虧損以“-”號(hào)填列)     -72,015,534.28    216,460,451.09     288,475,985.37

減:所得稅費(fèi)用               29,254,913.03      23,184,919.89       -6,069,993.14

五、凈利潤(虧損以“-”號(hào)填列)     -101,270,447.31    193,275,531.20     294,545,978.51

(一)按經(jīng)營持續(xù)性分類

“-”號(hào)填列)

(二)按所有權(quán)歸屬分類

(凈虧損以“-”號(hào)填列)

七、綜合收益總額             -111,626,940.56    182,919,037.95     294,545,978.51

(一)歸屬于母公司所有者的綜合      -102,958,392.16    191,587,586.35     294,545,978.51

收益總額

八、每股收益:

(一)基本每股收益(元/股)               -0.1252           0.2728

(二)稀釋每股收益(元/股)               -0.1252           0.2728

  (4)對(duì) 2020 年合并財(cái)務(wù)報(bào)表的影響

   ①對(duì) 2020 年 12 月 31 日合并資產(chǎn)負(fù)債表的影響

                                                金額單位:人民幣元

報(bào)表項(xiàng)目                   更正前金額             更正后金額                  更正金額

應(yīng)收賬款                1,290,063,325.53   529,920,126.35     -760,143,199.18

預(yù)付款項(xiàng)                1,308,304,470.14     75,013,750.14   -1,233,290,720.00

報(bào)表項(xiàng)目                     更正前金額               更正后金額                 更正金額

其他流動(dòng)資產(chǎn)                  76,753,894.74     1,973,621,103.82   1,896,867,209.08

流動(dòng)資產(chǎn)合計(jì)               4,232,581,147.43     4,136,014,437.33     -96,566,710.10

長期股權(quán)投資                 642,849,800.75      313,907,194.48    -328,942,606.27

遞延所得稅資產(chǎn)                347,014,202.55      340,944,209.41       -6,069,993.14

非流動(dòng)資產(chǎn)合計(jì)              3,034,549,130.26    2,699,536,530.85    -335,012,599.41

資產(chǎn)合計(jì)                 7,267,130,277.69    6,835,550,968.18    -431,579,309.51

合同負(fù)債                   321,150,108.78      199,881,674.26    -121,268,434.52

其他流動(dòng)負(fù)債                  47,496,485.04      552,701,631.92     505,205,146.88

流動(dòng)負(fù)債合計(jì)               5,042,961,292.02    5,426,898,004.38     383,936,712.36

負(fù)債合計(jì)                 5,483,205,505.24     5,867,142,217.60    383,936,712.36

未分配利潤                -1,516,538,371.82   -2,332,054,393.69   -815,516,021.87

歸屬于母公司所有者權(quán)益(或股東權(quán)     1,697,923,284.66      882,407,262.79    -815,516,021.87

益)合計(jì)

所有者權(quán)益(或股東權(quán)益)合計(jì)       1,783,924,772.45      968,408,750.58    -815,516,021.87

負(fù)債和所有者權(quán)益(或股東權(quán)益)      7,267,130,277.69    6,835,550,968.18    -431,579,309.51

總計(jì)

     ②對(duì) 2020 年度合并利潤表的影響

                                                    金額單位:人民幣元

報(bào)表項(xiàng)目                     更正前金額               更正后金額                 更正金額

一、營業(yè)總收入              1,690,239,244.50    1,635,074,795.03      -55,164,449.47

投資收益(損失以“-”號(hào)填列)        138,517,523.66        -3,537,608.73   -142,055,132.39

     其中:對(duì)聯(lián)營企業(yè)和合營企業(yè)     134,862,946.72        -7,192,185.67   -142,055,132.39

的投資收益

信用減值損失(損失以“-”號(hào)填列)     -180,678,534.90     -202,431,565.03      -21,753,030.13

三、營業(yè)利潤(虧損以“-”號(hào)填列)    -1,234,610,486.82   -1,453,583,098.81   -218,972,611.99

四、利潤總額(虧損以“-”號(hào)填列)    -1,251,379,202.72   -1,470,351,814.71   -218,972,611.99

減:所得稅費(fèi)用               -152,014,781.18     -155,277,735.69       -3,262,954.51

報(bào)表項(xiàng)目                   更正前金額               更正后金額                  更正金額

五、凈利潤(虧損以“-”號(hào)填列)   -1,099,364,421.54   -1,315,074,079.02    -215,709,657.48

(一)按經(jīng)營持續(xù)性分類

“-”號(hào)填列)

(二)按所有權(quán)歸屬分類

(凈虧損以“-”號(hào)填列)

七、綜合收益總額           -1,115,262,845.26   -1,330,972,502.74    -215,709,657.48

(一)歸屬于母公司所有者的綜合    -1,109,887,064.34   -1,325,596,721.82    -215,709,657.48

收益總額

八、每股收益:

(一)基本每股收益(元/股)              -1.4789              -1.7705

(二)稀釋每股收益(元/股)              -1.4789              -1.7705

  ③對(duì) 2020 年度合并現(xiàn)金流量表的影響

                                                  金額單位:人民幣元

報(bào)表項(xiàng)目                   更正前金額               更正后金額                  更正金額

一、經(jīng)營活動(dòng)產(chǎn)生的現(xiàn)金流量:

銷售商品、提供勞務(wù)收到的現(xiàn)金     2,232,481,322.67     1,739,112,489.40    -493,368,833.27

收到其他與經(jīng)營活動(dòng)有關(guān)的現(xiàn)金       332,717,819.30      826,086,652.57      493,368,833.27

購買商品、接受勞務(wù)支付的現(xiàn)金     1,693,973,413.18    1,047,933,293.18     -646,040,120.00

支付其他與經(jīng)營活動(dòng)有關(guān)的現(xiàn)金       355,576,458.87     1,001,616,578.87     646,040,120.00

(5)對(duì) 2019 年合并財(cái)務(wù)報(bào)表的影響

 ①對(duì) 2019 年 12 月 31 日合并資產(chǎn)負(fù)債表的影響

                                                  金額單位:人民幣元

報(bào)表項(xiàng)目                   更正前金額               更正后金額                  更正金額

應(yīng)收賬款               1,217,146,345.45      760,471,878.93     -456,674,466.52

預(yù)付款項(xiàng)               2,291,707,470.93       64,967,300.35    -2,226,740,170.58

報(bào)表項(xiàng)目                   更正前金額              更正后金額                 更正金額

其他流動(dòng)資產(chǎn)                38,792,340.16    2,300,227,650.46   2,261,435,310.30

流動(dòng)資產(chǎn)合計(jì)              4,835,978,912.29   4,413,999,585.49   -421,979,326.80

長期股權(quán)投資               894,034,370.01      707,146,896.13   -186,887,473.88

遞延所得稅資產(chǎn)              182,303,664.71      172,970,717.06      -9,332,947.65

非流動(dòng)資產(chǎn)合計(jì)             3,714,836,531.51   3,518,616,109.98   -196,220,421.53

資產(chǎn)合計(jì)                8,550,815,443.80   7,932,615,695.47   -618,199,748.33

應(yīng)付賬款                 358,458,693.21     358,337,551.83        -121,141.38

預(yù)收賬款                 554,097,396.28       70,019,559.83   -484,077,836.45

其他流動(dòng)負(fù)債                   230,170.54     466,035,764.43     465,805,593.89

流動(dòng)負(fù)債合計(jì)              5,295,534,532.24   5,277,141,148.30     -18,393,383.94

負(fù)債合計(jì)                5,613,369,613.88   5,594,976,229.94     -18,393,383.94

未分配利潤               -384,102,314.93    -983,908,679.32    -599,806,364.39

歸屬于母公司所有者權(quán)益(或股東權(quán)    2,852,429,392.97   2,252,623,028.58   -599,806,364.39

益)合計(jì)

所有者權(quán)益(或股東權(quán)益)合計(jì)      2,937,445,829.92   2,337,639,465.53   -599,806,364.39

負(fù)債和所有者權(quán)益(或股東權(quán)益)     8,550,815,443.80   7,932,615,695.47   -618,199,748.33

總計(jì)

②對(duì) 2019 年度合并利潤表的影響

                                                 金額單位:人民幣元

報(bào)表項(xiàng)目                   更正前金額              更正后金額                 更正金額

一、營業(yè)總收入             1,548,913,727.16   1,413,087,015.17   -135,826,711.99

二、營業(yè)總成本             1,970,975,371.27   1,880,237,807.33     -90,737,563.94

其中:營業(yè)成本              852,611,041.27     731,468,537.47    -121,142,503.80

財(cái)務(wù)費(fèi)用                 289,302,120.15     319,707,060.01      30,404,939.86

投資收益(損失以“-”號(hào)填列)       64,241,442.59      -15,641,668.61     -79,883,111.20

     其中:對(duì)聯(lián)營企業(yè)和合營企     65,073,087.56      -14,810,023.64     -79,883,111.20

業(yè)的投資收益

報(bào)表項(xiàng)目                    更正前金額               更正后金額                  更正金額

信用減值損失(損失以“-”號(hào)填列)    -122,551,368.70      -69,007,592.14       53,543,776.56

資產(chǎn)減值損失(損失以“-”號(hào)填列)

三、營業(yè)利潤(虧損以“-”號(hào)填列)    -907,962,827.05     -979,391,309.74      -71,428,482.69

四、利潤總額(虧損以“-”號(hào)填列)   -1,150,028,437.47   -1,221,456,920.16     -71,428,482.69

減:所得稅費(fèi)用               -87,038,100.41      -79,006,533.93        8,031,566.48

五、凈利潤(虧損以“-”號(hào)填列)    -1,062,990,337.06   -1,142,450,386.23     -79,460,049.17

(一)按經(jīng)營持續(xù)性分類

“-”號(hào)填列)

(二)按所有權(quán)歸屬分類

(凈虧損以“-”號(hào)填列)

七、綜合收益總額            -1,070,856,859.97   -1,150,316,909.14     -79,460,049.17

(一)歸屬于母公司所有者的綜合     -1,068,333,226.51   -1,147,793,275.68     -79,460,049.17

收益總額

八、每股收益:

(一)基本每股收益(元/股)               -1.4401             -1.5480

(二)稀釋每股收益(元/股)               -1.4401             -1.5480

   ③對(duì) 2019 年度合并現(xiàn)金流量表的影響

                                                   金額單位:人民幣元

報(bào)表項(xiàng)目                    更正前金額               更正后金額                  更正金額

一、經(jīng)營活動(dòng)產(chǎn)生的現(xiàn)金流量:

銷售商品、提供勞務(wù)收到的現(xiàn)金      2,352,541,120.67     1,517,153,705.12    -835,387,415.55

收到其他與經(jīng)營活動(dòng)有關(guān)的現(xiàn)金      1,720,841,725.62    2,556,229,141.17      835,387,415.55

購買商品、接受勞務(wù)支付的現(xiàn)金      3,146,517,115.69    1,071,595,939.36    -2,074,921,176.33

支付其他與經(jīng)營活動(dòng)有關(guān)的現(xiàn)金        863,224,112.30    3,003,088,459.57    2,139,864,347.27

三、籌資活動(dòng)產(chǎn)生的現(xiàn)金流量:

報(bào)表項(xiàng)目                     更正前金額              更正后金額                  更正金額

償還債務(wù)支付的現(xiàn)金             1,993,329,691.74   1,928,386,520.80     -64,943,170.94

     籌資活動(dòng)現(xiàn)金流出小計(jì)       2,419,086,409.46   2,354,143,238.52     -64,943,170.94

籌資活動(dòng)產(chǎn)生的現(xiàn)金流量凈額          624,628,314.28     693,571,485.22       64,943,170.94

     (6)對(duì) 2018 年合并財(cái)務(wù)報(bào)表的影響

     ①對(duì) 2018 年 12 月 31 日合并資產(chǎn)負(fù)債表的影響

                                                    金額單位:人民幣元

報(bào)表項(xiàng)目                     更正前金額              更正后金額                  更正金額

應(yīng)收票據(jù)及應(yīng)收賬款             1,158,599,238.54    878,079,297.46     -280,519,941.08

其中:應(yīng)收賬款               1,143,991,549.52    863,471,608.44     -280,519,941.08

預(yù)付款項(xiàng)                  2,506,173,765.36     125,061,051.02   -2,381,112,714.34

其他流動(dòng)資產(chǎn)                  47,700,156.80    1,891,889,000.50   1,844,188,843.70

流動(dòng)資產(chǎn)合計(jì)                5,825,020,793.93   5,007,576,982.21    -817,443,811.72

長期股權(quán)投資                 880,358,967.03     773,354,604.35     -107,004,362.68

遞延所得稅資產(chǎn)                 78,248,559.93       76,947,178.76       -1,301,381.17

非流動(dòng)資產(chǎn)合計(jì)               3,832,163,012.39   3,723,857,268.54    -108,305,743.85

資產(chǎn)合計(jì)                  9,657,183,806.32   8,731,434,250.75    -925,749,555.57

預(yù)收賬款                   844,759,175.63       18,639,489.44    -826,119,686.19

其他流動(dòng)負(fù)債                     248,438.21     420,964,884.05      420,716,445.84

流動(dòng)負(fù)債合計(jì)                5,224,611,336.77   4,819,208,096.42    -405,403,240.35

負(fù)債合計(jì)                  5,703,859,724.99   5,298,456,484.64    -405,403,240.35

未分配利潤                  687,264,060.85      166,917,745.63    -520,346,315.22

歸屬于母公司所有者權(quán)益(或股東權(quán)      3,866,475,887.80   3,346,129,572.58    -520,346,315.22

益)合計(jì)

所有者權(quán)益(或股東權(quán)益)合計(jì)        3,953,324,081.33   3,432,977,766.11    -520,346,315.22

負(fù)債和所有者權(quán)益(或股東權(quán)益)       9,657,183,806.32   8,731,434,250.75    -925,749,555.57

總計(jì)

     ②對(duì) 2018 年度合并利潤表的影響

                                                 金額單位:人民幣元

報(bào)表項(xiàng)目                   更正前金額              更正后金額                更正金額

一、營業(yè)總收入             2,299,991,415.03   1,596,538,992.60   -703,452,422.43

二、營業(yè)總成本             2,266,142,541.72   1,886,035,852.32   -380,106,689.40

其中:營業(yè)成本             1,280,784,464.22    821,620,939.55    -459,163,524.67

財(cái)務(wù)費(fèi)用                 176,788,991.33     251,504,213.37     74,715,222.04

投資收益(損失以“-”號(hào)填列)       76,409,938.14      -12,162,097.95    -88,572,036.09

   其中:對(duì)聯(lián)營企業(yè)和合營企       58,868,613.76     -29,703,422.33     -88,572,036.09

業(yè)的投資收益

資產(chǎn)減值損失                73,474,404.92       77,816,018.15      4,341,613.23

三、營業(yè)利潤(虧損以“-”號(hào)填列)    181,093,270.67    -230,824,498.45    -411,917,769.12

四、利潤總額(虧損以“-”號(hào)填列)    178,486,977.00    -233,430,792.12    -411,917,769.12

減:所得稅費(fèi)用               -11,935,275.00     -12,586,516.98      -651,241.98

五、凈利潤(虧損以“-”號(hào)填列)     190,422,252.00    -220,844,275.13    -411,266,527.13

(一)按經(jīng)營持續(xù)性分類

號(hào)填列)

(二)按所有權(quán)歸屬分類

(凈虧損以“-”號(hào)填列)

七、綜合收益總額             188,263,200.75    -223,003,326.38    -411,266,527.13

(一)歸屬于母公司所有者的綜合      189,343,477.27    -221,923,049.86    -411,266,527.13

收益總額

八、每股收益:

(一)基本每股收益(元/股)               0.2575            -0.2956

(二)稀釋每股收益(元/股)               0.2564            -0.2944

   ③對(duì) 2018 年度合并現(xiàn)金流量表的影響

                                                 金額單位:人民幣元

報(bào)表項(xiàng)目                      更正前金額                  更正后金額                    更正金額

一、經(jīng)營活動(dòng)產(chǎn)生的現(xiàn)金流量:

銷售商品、提供勞務(wù)收到的現(xiàn)金         5,852,448,763.24       1,787,823,907.84     -4,064,624,855.40

收到其他與經(jīng)營活動(dòng)有關(guān)的現(xiàn)金          359,458,283.38        4,424,083,138.78     4,064,624,855.40

購買商品、接受勞務(wù)支付的現(xiàn)金         5,085,789,916.89        917,084,198.34      -4,168,705,718.55

支付其他與經(jīng)營活動(dòng)有關(guān)的現(xiàn)金          766,840,415.35        4,935,546,133.90     4,168,705,718.55

     (7)對(duì) 2017 年合并財(cái)務(wù)報(bào)表的影響

     ①對(duì) 2017 年 12 月 31 日合并資產(chǎn)負(fù)債表的影響

                                                        金額單位:人民幣元

報(bào)表項(xiàng)目                           更正前金額                更正后金額                 更正金額

應(yīng)收賬款                       1,320,659,301.01      899,760,532.30     -420,898,768.71

預(yù)付款項(xiàng)                       1,268,040,290.23       74,566,650.23    -1,193,473,640.00

存貨                           741,582,661.33      533,982,793.81     -207,599,867.52

其他流動(dòng)資產(chǎn)                        27,273,451.30     1,823,429,511.22   1,796,156,059.92

流動(dòng)資產(chǎn)合計(jì)                     5,302,840,678.26     5,277,024,461.95     -25,816,216.31

長期股權(quán)投資                       531,235,853.82      512,803,527.23      -18,432,326.59

遞延所得稅資產(chǎn)                       29,909,023.66        27,956,400.51       -1,952,623.15

非流動(dòng)資產(chǎn)合計(jì)                    3,024,355,378.78     3,003,970,429.04     -20,384,949.74

資產(chǎn)合計(jì)                       8,327,196,057.04     8,280,994,890.99     -46,201,166.05

預(yù)收賬款                          29,229,310.33        -9,604,393.67     -38,833,704.00

其他流動(dòng)負(fù)債                         1,666,830.23       103,379,156.27     101,712,326.04

流動(dòng)負(fù)債合計(jì)                     4,392,482,803.93     4,455,361,425.97      62,878,622.04

負(fù)債合計(jì)                       4,551,640,248.64     4,614,518,870.68      62,878,622.04

未分配利潤                        538,251,668.15       429,171,880.06    -109,079,788.09

歸屬于母公司所有者權(quán)益(或股東權(quán)益)合計(jì)       3,696,758,850.13     3,587,679,062.04    -109,079,788.09

所有者權(quán)益(或股東權(quán)益)合計(jì)             3,775,555,808.40     3,666,476,020.31    -109,079,788.09

負(fù)債和所有者權(quán)益(或股東權(quán)益)總計(jì)          8,327,196,057.04     8,280,994,890.99     -46,201,166.05

     ②對(duì) 2017 年度合并利潤表的影響

                                                  金額單位:人民幣元

         報(bào)表項(xiàng)目         更正前金額               更正后金額              更正金額

一、營業(yè)總收入                2,287,703,748.99   1,601,165,398.90   -686,538,350.09

二、營業(yè)總成本                2,071,455,669.54   1,473,612,157.80   -597,843,511.74

其中:營業(yè)成本                1,368,678,634.63    771,465,085.03    -597,213,549.60

 財(cái)務(wù)費(fèi)用                    76,122,684.32      88,510,209.87     12,387,525.55

投資收益(損失以“-”號(hào)填列)          17,892,269.11        -540,057.48     -18,432,326.59

      其中:對(duì)聯(lián)營企業(yè)和合營企業(yè)        7,208,794.25    -11,223,532.34     -18,432,326.59

的投資收益

資產(chǎn)減值損失                   53,860,205.69      40,842,718.00     -13,017,487.69

三、營業(yè)利潤(虧損以“-”號(hào)填列)       262,601,594.01     155,474,429.07    -107,127,164.94

四、利潤總額(虧損以“-”號(hào)填列)       263,664,803.81     156,537,638.87    -107,127,164.94

減:所得稅費(fèi)用                  19,387,625.56      21,340,248.71       1,952,623.15

五、凈利潤(虧損以“-”號(hào)填列)        244,277,178.25     135,197,390.16    -109,079,788.09

(一)按經(jīng)營持續(xù)性分類

填列)

(二)按所有權(quán)歸屬分類

損以“-”號(hào)填列)

七、綜合收益總額                241,086,236.99     132,006,448.90    -109,079,788.09

(一)歸屬于母公司所有者的綜合收        238,704,571.01     129,624,782.92    -109,079,788.09

益總額

八、每股收益:

(一)基本每股收益(元/股)                  0.3278             0.1800

(二)稀釋每股收益(元/股)                  0.3278             0.1800

  ③對(duì) 2017 年度合并現(xiàn)金流量表的影響

                                                  金額單位:人民幣元

報(bào)表項(xiàng)目                     更正前金額                 更正后金額                更正金額

一、經(jīng)營活動(dòng)產(chǎn)生的現(xiàn)金流量:

銷售商品、提供勞務(wù)收到的現(xiàn)金        1,932,260,778.64     1,524,967,235.04    -407,293,543.60

收到其他與經(jīng)營活動(dòng)有關(guān)的現(xiàn)金         146,758,599.58        554,052,143.18     407,293,543.60

購買商品、接受勞務(wù)支付的現(xiàn)金        1,400,496,601.73       967,428,049.73    -433,068,552.00

支付其他與經(jīng)營活動(dòng)有關(guān)的現(xiàn)金        1,092,726,349.10     1,525,794,901.10     433,068,552.00

  (1)對(duì) 2023 年第一季度母公司財(cái)務(wù)報(bào)表的影響

  對(duì) 2023 年 3 月 31 日母公司資產(chǎn)負(fù)債表的影響

                                                   金額單位:人民幣元

 報(bào)表項(xiàng)目                   更正前金額                更正后金額                 更正金額

 其他應(yīng)收款                745,518,368.52       821,136,950.25      75,618,581.73

 流動(dòng)資產(chǎn)合計(jì)             1,456,899,503.96     1,532,518,085.69      75,618,581.73

 資產(chǎn)合計(jì)               4,745,008,112.49     4,820,626,694.22      75,618,581.73

 應(yīng)付賬款                 312,036,895.68       255,331,044.36      -56,705,851.32

 流動(dòng)負(fù)債合計(jì)             2,661,478,365.66     2,604,772,514.34      -56,705,851.32

 負(fù)債合計(jì)               2,677,732,110.35     2,621,026,259.03      -56,705,851.32

 資本公積               2,472,830,466.06     2,899,630,459.43     426,799,993.37

 未分配利潤              -1,176,475,026.56    -1,470,950,586.88    -294,475,560.32

 所有者權(quán)益合計(jì)            2,067,276,002.14      2,199,600,435.19    132,324,433.05

 負(fù)債和所有者權(quán)益合計(jì)         4,745,008,112.49     4,820,626,694.22      75,618,581.73

  (2)對(duì) 2022 年母公司財(cái)務(wù)報(bào)表的影響

  對(duì) 2022 年 12 月 31 日母公司資產(chǎn)負(fù)債表的影響

                                                   金額單位:人民幣元

 報(bào)表項(xiàng)目                   更正前金額                更正后金額                 更正金額

 其他應(yīng)收款                681,474,749.80       750,730,009.53      69,255,259.73

 流動(dòng)資產(chǎn)合計(jì)             1,542,904,776.97      1,612,160,036.70     69,255,259.73

報(bào)表項(xiàng)目                   更正前金額               更正后金額                更正金額

資產(chǎn)合計(jì)               4,820,443,107.27    4,889,698,367.00     69,255,259.73

應(yīng)付賬款                 321,758,295.90      258,689,122.58     -63,069,173.32

流動(dòng)負(fù)債合計(jì)             2,696,772,789.49    2,633,703,616.17     -63,069,173.32

負(fù)債合計(jì)               2,723,803,052.13    2,660,733,878.81     -63,069,173.32

資本公積               2,472,830,466.06    2,899,630,459.43    426,799,993.37

未分配利潤              -1,147,110,973.56   -1,441,586,533.88   -294,475,560.32

所有者權(quán)益合計(jì)            2,096,640,055.14    2,228,964,488.19    132,324,433.05

負(fù)債和所有者權(quán)益合計(jì)         4,820,443,107.27    4,889,698,367.00     69,255,259.73

 (3)對(duì) 2021 年母公司財(cái)務(wù)報(bào)表的影響

 ①對(duì) 2021 年 12 月 31 日母公司資產(chǎn)負(fù)債表的影響

                                                 金額單位:人民幣元

報(bào)表項(xiàng)目                   更正前金額               更正后金額                更正金額

其他應(yīng)收款                677,405,108.81      707,629,183.34     30,224,074.53

流動(dòng)資產(chǎn)合計(jì)             1,269,107,500.76    1,299,331,575.29     30,224,074.53

資產(chǎn)合計(jì)               5,008,148,062.03    5,038,372,136.56     30,224,074.53

應(yīng)付賬款                 314,306,134.49      251,520,283.17     -62,785,851.32

其他應(yīng)付賬款               684,570,899.70      645,256,392.50     -39,314,507.20

流動(dòng)負(fù)債合計(jì)             1,114,971,046.79    1,012,870,688.27    -102,100,358.52

負(fù)債合計(jì)               2,730,060,810.38    2,627,960,451.86    -102,100,358.52

資本公積               2,463,449,475.70    2,890,249,469.07    426,799,993.37

未分配利潤               -957,122,137.84    -1,251,597,698.16   -294,475,560.32

所有者權(quán)益合計(jì)            2,278,087,251.65    2,410,411,684.70    132,324,433.05

負(fù)債和所有者權(quán)益合計(jì)         5,008,148,062.03    5,038,372,136.56     30,224,074.53

 ②對(duì) 2021 年度母公司利潤表的影響

                                                 金額單位:人民幣元

報(bào)表項(xiàng)目                   更正前金額               更正后金額                更正金額

減:營業(yè)成本                74,829,736.04       77,045,063.00       2,215,326.96

報(bào)表項(xiàng)目                   更正前金額               更正后金額                  更正金額

投資收益(損失以“-”號(hào)填列)      203,143,763.11      409,801,771.00      206,658,007.89

其中:對(duì)聯(lián)營企業(yè)和合營企業(yè)的投        6,557,054.88      254,287,345.71      247,730,290.83

資收益

信用減值損失(損失以“-”號(hào)填列)      4,740,842.14      -35,725,778.76      -40,466,620.90

資產(chǎn)減值損失(損失以“-”號(hào)填列)   -275,094,267.99     -195,094,267.99       80,000,000.00

二、營業(yè)利潤(虧損以“-”號(hào)填列)   -265,609,518.14      -21,633,458.11      243,976,060.03

三、利潤總額(虧損以“-”號(hào)填列)   -244,055,119.71          -79,059.68      243,976,060.03

減:所得稅費(fèi)用               27,937,035.52       21,867,042.38        -6,069,993.14

四、凈利潤(虧損以“-”號(hào)填列)    -271,992,155.23      -21,946,102.06      250,046,053.17

(一)按經(jīng)營持續(xù)性分類

“-”號(hào)填列)

六、綜合收益總額            -267,447,167.84       -17,401,114.67     250,046,053.17

 (4)對(duì) 2020 年母公司財(cái)務(wù)報(bào)表的影響

 ①對(duì) 2020 年 12 月 31 日母公司資產(chǎn)負(fù)債表的影響

                                                 金額單位:人民幣元

報(bào)表項(xiàng)目                   更正前金額              更正后金額                   更正金額

應(yīng)收賬款                1,289,299,236.37    137,234,333.74     -1,152,064,902.63

預(yù)付款項(xiàng)                1,348,724,679.10     115,433,959.10    -1,233,290,720.00

其他應(yīng)收賬款               461,136,679.34     832,125,906.80       370,989,227.46

其他流動(dòng)資產(chǎn)                  3,686,359.43   1,900,553,568.51    1,896,867,209.08

流動(dòng)資產(chǎn)合計(jì)              3,304,270,090.38   3,186,770,904.29     -117,499,186.09

長期股權(quán)投資              3,511,437,286.49   3,183,706,995.66     -327,730,290.83

遞延所得稅資產(chǎn)              172,489,435.35      166,419,442.21        -6,069,993.14

非流動(dòng)資產(chǎn)合計(jì)             3,982,025,477.07   3,648,225,193.10     -333,800,283.97

資產(chǎn)合計(jì)                7,286,295,567.45   6,834,996,097.39     -451,299,470.06

應(yīng)付賬款                 260,352,738.27     208,160,847.48       -52,191,890.79

報(bào)表項(xiàng)目                   更正前金額               更正后金額                更正金額

合同負(fù)債                 151,673,192.64       30,404,758.12    -121,268,434.52

其他應(yīng)付賬款              3,507,234,259.84   3,362,881,631.69    -144,352,628.15

其他流動(dòng)負(fù)債                18,844,846.96      429,879,943.85    411,035,096.89

流動(dòng)負(fù)債合計(jì)              4,711,102,713.53   4,804,324,856.96     93,222,143.43

負(fù)債合計(jì)                4,738,953,243.88   4,832,175,387.31     93,222,143.43

未分配利潤               -685,129,982.61    -1,229,651,596.10   -544,521,613.49

所有者權(quán)益(或股東權(quán)益)合計(jì)      2,547,342,323.57   2,002,820,710.08    -544,521,613.49

負(fù)債和所有者權(quán)益(或股東權(quán)益)     7,286,295,567.45   6,834,996,097.39    -451,299,470.06

總計(jì)

 ②對(duì) 2020 年度母公司利潤表的影響

                                                 金額單位:人民幣元

報(bào)表項(xiàng)目                   更正前金額               更正后金額                更正金額

一、營業(yè)收入               279,755,757.51      224,591,308.04     -55,164,449.47

減:營業(yè)成本               222,293,890.16      213,472,297.28      -8,821,592.88

投資收益(損失以“-”號(hào)填列)      853,434,907.93      710,956,692.72    -142,478,215.21

其中:對(duì)聯(lián)營企業(yè)和合營企業(yè)的投      141,289,724.85        -1,188,490.36   -142,478,215.21

資收益

信用減值損失(損失以“-”號(hào)填列)    -32,192,355.01       -4,448,445.14     27,743,909.87

二、營業(yè)利潤(虧損以“-”號(hào)填列)   -249,019,273.94     -410,096,435.87    -161,077,161.93

三、利潤總額(虧損以“-”號(hào)填列)   -249,046,420.90     -410,123,582.83    -161,077,161.93

減:所得稅費(fèi)用              -85,787,659.31      -81,626,072.82       4,161,586.49

四、凈利潤(虧損以“-”號(hào)填列)    -163,258,761.59     -328,497,510.01    -165,238,748.42

(一)按經(jīng)營持續(xù)性分類

“-”號(hào)填列)

六、綜合收益總額            -167,274,610.40     -332,513,358.82    -165,238,748.42

 ③對(duì) 2020 年度母公司現(xiàn)金流量表的影響

                                                金額單位:人民幣元

報(bào)表項(xiàng)目                  更正前金額               更正后金額                 更正金額

一、經(jīng)營活動(dòng)產(chǎn)生的現(xiàn)金流量:

銷售商品、提供勞務(wù)收到的現(xiàn)金     1,690,784,401.82    256,495,093.55    -1,434,289,308.27

收到其他與經(jīng)營活動(dòng)有關(guān)的現(xiàn)金     2,116,621,520.05   3,550,910,828.32   1,434,289,308.27

購買商品、接受勞務(wù)支付的現(xiàn)金     1,945,335,458.22    349,295,338.22    -1,596,040,120.00

支付其他與經(jīng)營活動(dòng)有關(guān)的現(xiàn)金     2,136,625,392.94   3,732,665,512.94   1,596,040,120.00

 (5)對(duì) 2019 年母公司財(cái)務(wù)報(bào)表的影響

 ①對(duì) 2019 年 12 月 31 日母公司資產(chǎn)負(fù)債表的影響

                                                金額單位:人民幣元

報(bào)表項(xiàng)目                  更正前金額              更正后金額                  更正金額

應(yīng)收賬款                867,345,164.10     195,509,754.34     -671,835,409.76

預(yù)付款項(xiàng)               2,217,765,676.06     42,679,247.76    -2,175,086,428.30

其他應(yīng)收賬款              511,092,839.63     806,026,609.89      294,933,770.26

其他流動(dòng)資產(chǎn)                 8,437,269.25   2,123,536,228.65   2,115,098,959.40

流動(dòng)資產(chǎn)合計(jì)             4,058,409,679.34   3,621,520,570.94    -436,889,108.40

長期股權(quán)投資             3,758,083,570.15   3,572,831,494.53    -185,252,075.62

遞延所得稅資產(chǎn)              89,088,073.07       87,179,666.42       -1,908,406.65

非流動(dòng)資產(chǎn)合計(jì)            4,471,931,110.68   4,284,770,628.41    -187,160,482.27

資產(chǎn)合計(jì)               8,530,340,790.02   7,906,291,199.35    -624,049,590.67

應(yīng)付賬款                438,380,383.00      351,645,605.12     -86,734,777.88

預(yù)收賬款                502,027,485.27       17,949,648.82    -484,077,836.45

其他應(yīng)付賬款             2,022,276,195.46   1,976,686,540.29     -45,589,655.17

其他流動(dòng)負(fù)債                            -    371,635,543.90      371,635,543.90

流動(dòng)負(fù)債合計(jì)             5,656,113,743.05   5,411,347,017.45    -244,766,725.60

負(fù)債合計(jì)               5,828,800,369.94   5,584,033,644.34    -244,766,725.60

未分配利潤              -526,747,147.75     -906,030,012.82    -379,282,865.07

所有者權(quán)益(或股東權(quán)益)合計(jì)     2,701,540,420.08   2,322,257,555.01    -379,282,865.07

報(bào)表項(xiàng)目                   更正前金額               更正后金額                 更正金額

負(fù)債和所有者權(quán)益(或股東權(quán)益)     8,530,340,790.02   7,906,291,199.35    -624,049,590.67

總計(jì)

 ②對(duì) 2019 年度母公司利潤表的影響

                                                 金額單位:人民幣元

報(bào)表項(xiàng)目                   更正前金額              更正后金額                  更正金額

一、營業(yè)收入               393,095,210.67     274,489,069.71     -118,606,140.96

減:營業(yè)成本               354,325,971.74     174,594,855.98     -179,731,115.76

財(cái)務(wù)費(fèi)用                 272,523,287.21     302,928,227.07       30,404,939.86

投資收益(損失以“-”號(hào)填列)       60,421,522.97      -17,826,189.99     -78,247,712.96

其中:對(duì)聯(lián)營企業(yè)和合營企業(yè)的投       62,962,494.75      -15,285,218.21     -78,247,712.96

資收益

信用減值損失(損失以“-”號(hào)填列)     -38,838,970.45     -26,116,259.42      12,722,711.03

二、營業(yè)利潤(虧損以“-”號(hào)填列)   -642,115,855.63    -676,920,822.62      -34,804,966.99

三、利潤總額(虧損以“-”號(hào)填列)   -858,482,943.06     -893,287,910.05     -34,804,966.99

減:所得稅費(fèi)用               -77,692,679.46     -75,784,272.81       1,908,406.65

四、凈利潤(虧損以“-”號(hào)填列)    -780,790,263.60     -817,503,637.24     -36,713,373.64

(一)按經(jīng)營持續(xù)性分類

“-”號(hào)填列)

六、綜合收益總額            -794,588,523.13     -831,301,896.77     -36,713,373.64

 ③對(duì) 2019 年度母公司現(xiàn)金流量表的影響

                                                 金額單位:人民幣元

報(bào)表項(xiàng)目                   更正前金額              更正后金額                  更正金額

一、經(jīng)營活動(dòng)產(chǎn)生的現(xiàn)金流量:

銷售商品、提供勞務(wù)收到的現(xiàn)金       818,727,096.60      227,187,231.05    -591,539,865.55

收到其他與經(jīng)營活動(dòng)有關(guān)的現(xiàn)金      2,915,302,791.30   3,506,842,656.85     591,539,865.55

購買商品、接受勞務(wù)支付的現(xiàn)金      2,698,514,844.64    797,845,602.94    -1,900,669,241.70

報(bào)表項(xiàng)目                  更正前金額              更正后金額                  更正金額

支付其他與經(jīng)營活動(dòng)有關(guān)的現(xiàn)金     1,273,934,138.86   3,238,554,474.41   1,964,620,335.55

經(jīng)營活動(dòng)現(xiàn)金流出小計(jì)         4,049,414,721.63   4,113,365,815.48      63,951,093.85

經(jīng)營活動(dòng)產(chǎn)生的現(xiàn)金流量凈額      -314,793,330.37    -378,744,424.22      -63,951,093.85

三、籌資活動(dòng)產(chǎn)生的現(xiàn)金流量:

償還債務(wù)支付的現(xiàn)金          1,586,809,018.41   1,522,857,924.56     -63,951,093.85

籌資活動(dòng)現(xiàn)金流出小計(jì)         1,997,378,689.88   1,933,427,596.03     -63,951,093.85

籌資活動(dòng)產(chǎn)生的現(xiàn)金流量凈額       491,345,682.74     555,296,776.59       63,951,093.85

 (6)對(duì) 2018 年母公司財(cái)務(wù)報(bào)表的影響

 ①對(duì) 2018 年 12 月 31 日母公司資產(chǎn)負(fù)債表的影響

                                                金額單位:人民幣元

報(bào)表項(xiàng)目                  更正前金額               更正后金額                 更正金額

預(yù)付款項(xiàng)               2,857,557,579.05    593,183,508.39    -2,264,374,070.66

存貨                  277,794,758.19      250,876,911.59     -26,917,846.60

其他流動(dòng)資產(chǎn)                 4,826,053.35   1,443,080,437.82   1,438,254,384.47

流動(dòng)資產(chǎn)合計(jì)             4,573,583,234.90   3,720,545,702.11    -853,037,532.79

長期股權(quán)投資             3,790,737,235.13   3,683,732,872.47    -107,004,362.66

非流動(dòng)資產(chǎn)合計(jì)            4,173,382,817.03   4,066,378,454.37    -107,004,362.66

資產(chǎn)合計(jì)               8,746,966,051.93   7,786,924,156.48    -960,041,895.45

應(yīng)付票據(jù)及應(yīng)付賬款          1,628,855,452.32   1,577,955,836.45     -50,899,615.87

預(yù)收賬款                770,556,170.45      -55,563,515.74    -826,119,686.19

其他應(yīng)付賬款              904,164,471.64     836,203,447.56      -67,961,024.08

其他流動(dòng)負(fù)債                            -    327,507,922.12      327,507,922.12

流動(dòng)負(fù)債合計(jì)             4,972,602,015.70   4,355,129,611.68    -617,472,404.02

負(fù)債合計(jì)               5,345,491,922.33   4,728,019,518.31    -617,472,404.02

未分配利潤               222,088,488.80     -120,481,002.63    -342,569,491.43

所有者權(quán)益(或股東權(quán)益)合計(jì)     3,401,474,129.60   3,058,904,638.17    -342,569,491.43

報(bào)表項(xiàng)目                   更正前金額               更正后金額                 更正金額

負(fù)債和所有者權(quán)益(或股東權(quán)益)     8,746,966,051.93   7,786,924,156.48    -960,041,895.45

總計(jì)

 ②對(duì) 2018 年度母公司利潤表的影響

                                                 金額單位:人民幣元

報(bào)表項(xiàng)目                   更正前金額              更正后金額                  更正金額

一、營業(yè)收入               724,772,253.23     494,066,585.31     -230,705,667.92

減:營業(yè)成本               451,893,286.39     324,726,431.30     -127,166,855.09

財(cái)務(wù)費(fèi)用                 153,632,603.34     228,347,825.38       74,715,222.04

投資收益(損失以“-”號(hào)填列)       53,732,011.67     -34,840,024.40      -88,572,036.07

其中:對(duì)聯(lián)營企業(yè)和合營企業(yè)的投       65,369,512.51     -23,202,523.56      -88,572,036.07

資收益

資產(chǎn)減值損失                12,606,644.86      20,715,589.66        8,108,944.80

二、營業(yè)利潤(虧損以“-”號(hào)填列)     54,814,139.19    -220,120,876.55     -274,935,015.74

三、利潤總額(虧損以“-”號(hào)填列)     51,569,588.96    -223,365,426.78     -274,935,015.74

減:所得稅費(fèi)用                -2,207,266.58      -3,423,608.30       -1,216,341.72

四、凈利潤(虧損以“-”號(hào)填列)      53,776,855.54     -219,941,818.48    -273,718,674.02

(一)按經(jīng)營持續(xù)性分類

號(hào)填列)

六、綜合收益總額              53,776,855.54     -219,941,818.48    -273,718,674.02

 ③對(duì) 2018 年度母公司現(xiàn)金流量表的影響

                                                 金額單位:人民幣元

報(bào)表項(xiàng)目                   更正前金額              更正后金額                  更正金額

一、經(jīng)營活動(dòng)產(chǎn)生的現(xiàn)金流量:

銷售商品、提供勞務(wù)收到的現(xiàn)金      4,208,166,539.24    538,137,129.24    -3,670,029,410.00

收到其他與經(jīng)營活動(dòng)有關(guān)的現(xiàn)金      1,924,027,396.01   5,594,056,806.01   3,670,029,410.00

購買商品、接受勞務(wù)支付的現(xiàn)金      4,524,462,886.34    826,044,958.79    -3,698,417,927.55

報(bào)表項(xiàng)目                  更正前金額              更正后金額                  更正金額

支付其他與經(jīng)營活動(dòng)有關(guān)的現(xiàn)金     1,574,939,292.28   5,273,357,219.83   3,698,417,927.55

 (7)對(duì) 2017 年母公司財(cái)務(wù)報(bào)表的影響

 ①對(duì) 2017 年 12 月 31 日母公司資產(chǎn)負(fù)債表的影響

                                                金額單位:人民幣元

報(bào)表項(xiàng)目                  更正前金額              更正后金額                  更正金額

應(yīng)收賬款                550,097,406.18     287,908,190.98     -262,189,215.20

預(yù)付款項(xiàng)               1,211,266,710.95      17,793,070.95   -1,193,473,640.00

存貨                  362,625,296.02     155,025,428.50     -207,599,867.52

其他流動(dòng)資產(chǎn)               11,235,076.41    1,643,773,039.93   1,632,537,963.52

流動(dòng)資產(chǎn)合計(jì)             3,788,708,999.33   3,757,984,240.13     -30,724,759.20

長期股權(quán)投資             3,266,925,650.82   3,248,493,324.23     -18,432,326.59

遞延所得稅資產(chǎn)              12,764,222.69       11,547,880.97       -1,216,341.72

非流動(dòng)資產(chǎn)合計(jì)            3,487,443,209.11   3,467,794,540.80     -19,648,668.31

資產(chǎn)合計(jì)               7,276,152,208.44   7,225,778,780.93     -50,373,427.51

預(yù)收賬款                   4,946,231.36     -33,887,472.64     -38,833,704.00

其他流動(dòng)負(fù)債                            -      57,311,093.90      57,311,093.90

流動(dòng)負(fù)債合計(jì)             3,828,702,063.80   3,847,179,453.70      18,477,389.90

負(fù)債合計(jì)               3,911,735,867.03   3,930,213,256.93      18,477,389.90

未分配利潤               210,805,486.16      141,954,668.75     -68,850,817.41

所有者權(quán)益(或股東權(quán)益)合計(jì)     3,364,416,341.41   3,295,565,524.00     -68,850,817.41

負(fù)債和所有者權(quán)益(或股東權(quán)益)    7,276,152,208.44   7,225,778,780.93     -50,373,427.51

總計(jì)

 ②對(duì) 2017 年度母公司利潤表的影響

                                                金額單位:人民幣元

報(bào)表項(xiàng)目                  更正前金額               更正后金額                 更正金額

一、營業(yè)收入             1,000,651,981.95    466,593,640.07     -534,058,341.88

減:營業(yè)成本              819,620,244.71      330,485,471.18    -489,134,773.53

 報(bào)表項(xiàng)目                   更正前金額               更正后金額                更正金額

 財(cái)務(wù)費(fèi)用                  54,378,582.56        66,766,108.11    12,387,525.55

 資產(chǎn)減值損失                25,282,349.21        17,173,404.41     -8,108,944.80

 投資收益(損失以“-”號(hào)填列)       25,107,685.06        6,675,358.47     -18,432,326.59

 其中:對(duì)聯(lián)營企業(yè)和合營企業(yè)的投       13,096,285.06        -5,336,041.53    -18,432,326.59

 資收益

 二、營業(yè)利潤(虧損以“-”號(hào)填列)     39,272,312.52       -28,362,163.17    -67,634,475.69

 三、利潤總額(虧損以“-”號(hào)填列)     38,577,742.05      -29,056,733.64     -67,634,475.69

 減:所得稅費(fèi)用                 3,389,481.40       4,605,823.12       1,216,341.72

 四、凈利潤(虧損以“-”號(hào)填列)      35,188,260.65      -33,662,556.76     -68,850,817.41

 (一)按經(jīng)營持續(xù)性分類

 號(hào)填列)

 六、綜合收益總額              35,188,260.65      -33,662,556.76     -68,850,817.41

  ③對(duì) 2017 年度母公司現(xiàn)金流量表的影響

                                                  金額單位:人民幣元

報(bào)表項(xiàng)目                    更正前金額              更正后金額                 更正金額

一、經(jīng)營活動(dòng)產(chǎn)生的現(xiàn)金流量:

銷售商品、提供勞務(wù)收到的現(xiàn)金       1,381,298,460.63    987,914,656.63     -393,383,804.00

收到其他與經(jīng)營活動(dòng)有關(guān)的現(xiàn)金        881,582,233.73    1,274,966,037.73    393,383,804.00

購買商品、接受勞務(wù)支付的現(xiàn)金       1,404,261,618.13   1,031,645,234.13    -372,616,384.00

支付其他與經(jīng)營活動(dòng)有關(guān)的現(xiàn)金       1,679,981,351.35   2,052,597,735.35    372,616,384.00

  四、會(huì)計(jì)師事務(wù)所就會(huì)計(jì)差錯(cuò)更正事項(xiàng)的專項(xiàng)說明

  公司聘請上會(huì)會(huì)計(jì)師事務(wù)所(特殊普通合伙)就前期會(huì)計(jì)差錯(cuò)更正事項(xiàng)出

具了審核報(bào)告,具體內(nèi)容詳見同日披露于巨潮資訊網(wǎng)的《北京合眾思?jí)芽萍脊?/p>

份有限公司會(huì)計(jì)差錯(cuò)更正專項(xiàng)說明的審核報(bào)告》(上會(huì)師報(bào)字(2023)第10949

號(hào))。

  五、董事會(huì)關(guān)于會(huì)計(jì)差錯(cuò)更正的說明

  經(jīng)審查,公司董事會(huì)認(rèn)為:本次會(huì)計(jì)差錯(cuò)更正符合《企業(yè)會(huì)計(jì)準(zhǔn)則第28號(hào)

—會(huì)計(jì)政策、會(huì)計(jì)估計(jì)變更和差錯(cuò)更正》及《公開發(fā)行證券的公司信息披露編

報(bào)規(guī)則第19號(hào)—財(cái)務(wù)信息的更正及相關(guān)披露》的相關(guān)規(guī)定,更正后的財(cái)務(wù)報(bào)表

能夠更加客觀、準(zhǔn)確反映公司財(cái)務(wù)狀況,有利于提高公司財(cái)務(wù)信息質(zhì)量。董事

會(huì)同意本次會(huì)計(jì)差錯(cuò)更正事項(xiàng)。

  六、監(jiān)事會(huì)關(guān)于會(huì)計(jì)差錯(cuò)更正的意見

  經(jīng)審查,公司監(jiān)事會(huì)認(rèn)為:公司本次會(huì)計(jì)差錯(cuò)更正符合《會(huì)計(jì)準(zhǔn)則第28號(hào)—

會(huì)計(jì)政策、會(huì)計(jì)估計(jì)變更和差錯(cuò)更正》、《公開發(fā)行證券的公司信息披露編報(bào)規(guī)

則第19號(hào)—財(cái)務(wù)信息的更正及相關(guān)披露》等有關(guān)規(guī)定和要求,更正后的財(cái)務(wù)報(bào)表

能夠更加客觀、準(zhǔn)確反映公司財(cái)務(wù)狀況,有利于提高公司財(cái)務(wù)信息質(zhì)量。

  七、獨(dú)立董事意見

  公司獨(dú)立董事對(duì)本次更正事項(xiàng)進(jìn)行了認(rèn)真的審查,并發(fā)表獨(dú)立意見如下:公

司本次對(duì)前期會(huì)計(jì)差錯(cuò)進(jìn)行更正符合《企業(yè)會(huì)計(jì)準(zhǔn)則第28號(hào)—會(huì)計(jì)政策、會(huì)計(jì)估

計(jì)變更和差錯(cuò)更正》、《公開發(fā)行證券的公司信息披露編報(bào)規(guī)則第19號(hào)—財(cái)務(wù)信

息的更正及相關(guān)披露》的有關(guān)規(guī)定,客觀公允地反映了公司的財(cái)務(wù)狀況,利于提

高公司會(huì)計(jì)信息質(zhì)量,對(duì)公司實(shí)際經(jīng)營狀況的反映更為準(zhǔn)確,沒有損害公司和全

體股東的合法權(quán)益。我們同意對(duì)前期會(huì)計(jì)差錯(cuò)進(jìn)行相應(yīng)的追溯調(diào)整的處理,同時(shí)

要求公司加強(qiáng)完善財(cái)務(wù)控制制度和內(nèi)部控制流程,增強(qiáng)規(guī)范運(yùn)作意識(shí)、提高規(guī)范

運(yùn)作水平,切實(shí)維護(hù)公司全體股東合法利益,確保公司持續(xù)、健康、穩(wěn)定發(fā)展。

  八、備查文件

正說明的專項(xiàng)審核報(bào)告》;

  特此公告。

北京合眾思?jí)芽萍脊煞萦邢薰?/p>

     董事會(huì)

  二〇二三年八月三十一日

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