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股票

*ST红相: 关于前期会计差错更正暨追溯调整的公告

来源:证券之星

2024-04-29 00:00:00

证券代码:300427          证券简称:*ST红相    公告编号:2024-043
债券代码:123044          债券简称:红相转债
                     红相股份有限公司
      本公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有
 虚假记载、误导性陈述或重大遗漏。
     特别提示:
年度、2023 年第一季度、2023 年半年度、2023 年第三季度财务报表进行追溯调
整。
质的改变。
年度-2019 年度的业绩承诺实现金额为 12,994.66 万元,与承诺业绩利润差额为
下合称“重组协议”)的相关约定及卧龙电气驱动集团股份有限公司(以下简称
“卧龙电驱”)出具的《履约承诺函》,卧龙电驱将对上述未完成的业绩向公司
现金补偿 18,605.34 万元。
     红相股份有限公司(以下简称“公司”或“红相股份”)于 2024 年 4 月 25 日召
开第五届董事会第三十六次会议、第五届监事会第二十三次会议,审议通过了《关
于前期会计差错更正暨追溯调整的议案》,公司董事会和监事会同意公司按照《企
业会计准则第 28 号——会计政策、会计估计变更和差错更正》《公开发行证券
的公司信息披露编报规则第 19 号——财务信息的更正及相关披露》的有关规定,
对公司 2017-2022 年度、2023 年第一季度、2023 年半年度、2023 年第三季度财
务报表进行会计差错更正暨追溯调整。容诚会计师事务所(特殊普通合伙)对公
司 2017-2022 年度前期会计差错更正事项进行专项鉴证,出具了《关于红相股份
有限公司前期会计差错更正专项说明的鉴证报告》
                     (容诚专字[2024]361Z0373 号)。
现将具体情况公告如下:
   一、前期会计差错更正的原因
监管局下发《行政处罚决定书》([2024]1 号)和《市场禁入决定书》
                                  ([2024]1 号),
公司 2017 年-2022 年年度报告存在虚假记载。红相股份及其子公司厦门红相信
息科技有限公司、银川卧龙(2023 年 12 月红相股份对外转让该子公司控股权)、
宁夏银变科技有限公司、成都鼎屹、浙江涵普等通过虚构销售业务、虚构原材料
采购、虚增固定资产等方式,2017 年虚增营业收入 10,489.44 万元,虚增利润总
额 5,972.44 万元,分别占当期披露金额的 14.10%、38.03%;2018 年虚增营业收
入 25,559.32 万元,虚增利润总额 14,422.06 万元,分别占当期披露金额的 19.49%、
分别占当期披露的金额 16.94%、48.19%;2020 年虚增营业收入 30,497.18 万元,
虚增利润总额 7,538.42 万元,分别占当期披露金额的 20.12%、29.79%;2021 年
虚增营业收入 10,879.80 万元,虚减利润总额 325.44 万元,分别占当期披露金额
的 7.80%、0.51%;2022 年虚增营业成本 2,487.67 万元,虚减利润总额 2,487.67
万元,分别占当期披露金额的 2.15%、33.27%。具体内容详见公司于 2024 年 4
月 3 日在巨潮资讯网披露的《关于收到<行政处罚决定书>及<市场禁入决定书>
的公告》(公告编号:2024-031)。
度、2023 年第三季度相关资产摊销结转及相关损益的调整;公司于 2023 年 11 月
于谨慎性原则及相关规定对公司 2023 半年度报告、2023 第三季度报告的有关数
据进行更正,鉴于截至本公告披露日如皋项目公司出售协议尚未最终签署,公司
对 2023 年 1-6 月确认的如皋 30MW 光伏项目 EPC 收入 12,686.43 万元进行调减。
公司采用追溯重述法对 2017 年至 2022 年度财务报表进行会计差错更正暨追溯
调整,并对 2023 年第一季度、2023 年半年度、2023 年第三季度财务报表进行追
溯调整。同时,聘请容诚会计师事务所(特殊普通合伙)对公司 2017-2022 年度
前期会计差错更正事项进行专项鉴证。
   二、本次会计差错更正对公司财务状况、经营成果的影响及更正后的财务指

    公司对前述前期差错采用追溯重述法进行更正,相应对 2017-2022 年度财务
报表、2023 年第一季度、2023 年半年度、2023 年第三季度财务报表进行了追溯
调整。财务报表影响项目及金额如下:
    (一)2017 年度
                                                            单位:元
       受影响的报表
                   调整前金额               调整金额               调整后金额
        项目名称
 应收账款              665,695,754.28      -39,377,623.81      626,318,130.47
 其他流动资产                 57,592.80       8,958,658.95         9,016,251.75
 流动资产合计           1,675,301,201.77     -30,418,964.86     1,644,882,236.91
 总资产合计            3,193,075,062.37     -30,418,964.86     3,162,656,097.51
 其他流动负债                                18,274,262.69        18,274,262.69
 流动负债合计           1,139,264,483.00     18,274,262.69      1,157,538,745.69
 负债合计             1,172,656,214.70     18,274,262.69      1,190,930,477.39
 未分配利润             398,551,154.43      -48,693,227.55      349,857,926.88
 归属于母公司股东权益       1,872,649,302.13     -48,693,227.55     1,823,956,074.58
 所有者权益合计          2,020,418,847.67     -48,693,227.55     1,971,725,620.12
                                                            单位:元
       受影响的报表
                    调整前金额                调整金额              调整后金额
        项目名称
 营业收入                743,861,467.27     -104,894,367.51    638,967,099.76
 营业成本                422,652,317.63      -45,169,974.49    377,482,343.14
 资产减值损失                 6,255,455.05      -2,072,506.52       4,182,948.53
 营业利润                157,534,690.10      -57,651,886.50     99,882,803.60
 利润总额                157,052,712.52      -57,651,886.50     99,400,826.02
 所得税费用                19,238,915.08       -8,958,658.95     10,280,256.13
 净利润                 137,813,797.44      -48,693,227.55     89,120,569.89
 归属于母公司所有者的净利润       117,949,954.85      -48,693,227.55     69,256,727.30
 综合收益总额              137,830,585.42      -48,693,227.55     89,137,357.87
 归属于母公司所有者的综合收
 益总额
                                                            单位:元
       受影响的报表
                      调整前金额               调整金额                调整后金额
        项目名称
销售商品、提供劳务收到的现金        802,471,806.26     -74,229,757.50       728,242,048.76
收到其他与经营活动有关的现金         58,934,368.48      74,229,757.50       133,164,125.98
经营活动现金流入小计            870,684,083.84                     -    870,684,083.84
经营活动产生的现金流量净额         293,321,816.69                     -    293,321,816.69
(二)2018 年度
                                                              单位:元
     受影响的报表
                  调整前金额                 调整金额                 调整后金额
       项目名称
应收票据及应收账款        1,160,271,312.96      -113,586,194.89       1,046,685,118.07
  其中:应收账款        1,098,024,109.76      -113,586,194.89        984,437,914.87
预付款项               60,799,767.62         -7,723,933.79         53,075,833.83
存货                234,032,834.43          1,428,979.52        235,461,813.95
其他流动资产             14,738,437.72        30,808,239.39          45,546,677.11
流动资产合计           1,817,701,259.55       -89,072,909.77       1,728,628,349.78
其他非流动资产            73,124,782.98        -33,972,411.48         39,152,371.50
非流动资产合计          1,837,313,236.47       -33,972,411.48       1,803,340,824.99
总资产合计            3,655,014,496.02      -123,045,321.25       3,531,969,174.77
应付票据及应付账款         403,936,553.70        -19,392,241.38        384,544,312.32
其他流动负债                                  62,827,237.68          62,827,237.68
流动负债合计           1,154,292,516.52       43,434,996.30        1,197,727,512.82
负债合计             1,415,994,260.03       43,434,996.30        1,459,429,256.33
盈余公积               49,837,673.61         -4,861,174.96         44,976,498.65
未分配利润             592,559,417.53       -161,619,142.59        430,940,274.94
归属于母公司股东权益       2,076,353,502.04      -166,480,317.55       1,909,873,184.49
所有者权益合计          2,239,020,235.99      -166,480,317.55       2,072,539,918.44
                                                              单位:元
     受影响的报表
                 调整前金额                  调整金额                 调整后金额
       项目名称
营业收入             1,311,493,532.52      -255,593,163.55       1,055,900,368.97
营业总成本             995,004,887.94       -111,372,563.55        883,632,324.39
营业成本              727,305,745.72       -111,372,563.55        615,933,182.17
资产减值损失             47,784,899.24         -4,583,929.56         43,200,969.68
营业利润              301,470,987.78       -139,636,670.44        161,834,317.34
利润总额              302,241,367.05       -139,636,670.44        162,604,696.61
      受影响的报表
                 调整前金额                调整金额             调整后金额
       项目名称
所得税费用              42,089,623.24      -21,849,580.44     20,240,042.80
净利润               260,151,743.81     -117,787,090.00    142,364,653.81
归属于母公司所有者的净利润     229,398,154.36     -117,787,090.00    111,611,064.36
综合收益总额            260,196,045.55     -117,787,090.00    142,408,955.55
归属于母公司所有者的综合收
益总额
                                                        单位:元
      受影响的报表
                   调整前金额               调整金额            调整后金额
       项目名称
销售商品、提供劳务收到的现金    1,087,295,875.39   -205,889,424.00    881,406,451.39
收到其他与经营活动有关的现金       67,194,130.23     88,248,477.60    155,442,607.83
经营活动现金流入小计        1,161,123,365.75   -117,640,946.40   1,043,482,419.35
购买商品、接受劳务支付的现金     644,058,739.57     -78,232,948.28    565,825,791.29
经营活动现金流出小计        1,123,865,915.65    -78,232,948.28   1,045,632,967.37
经营活动产生的现金流量净额        37,257,450.10    -39,407,998.12      -2,150,548.02
购建固定资产、无形资产和其他
长期资产支付的现金
投资活动现金流出小计         808,863,604.59     -39,407,998.12    769,455,606.47
投资活动产生的现金流量净额      -801,769,511.73     39,407,998.12   -762,361,513.61
                                                        单位:元
      受影响的报表
                 调整前金额                调整金额             调整后金额
       项目名称
应收票据及应收账款         278,363,142.58      -60,049,610.55    218,313,532.03
  其中:应收账款         274,910,099.73      -60,049,610.55    214,860,489.18
存货                 91,929,635.56        1,443,269.59     93,372,905.15
其他流动资产                                26,018,031.08      26,018,031.08
流动资产合计            650,176,360.11      -32,588,309.88    617,588,050.23
其他非流动资产            42,181,035.00      -33,972,411.48      8,208,623.52
非流动资产合计          1,883,180,039.74     -33,972,411.48   1,849,207,628.26
资产总计             2,533,356,399.85     -66,560,721.36   2,466,795,678.49
应付票据及应付账款          131,330,366.55     -19,392,241.38     111,938,125.17
流动负债合计            555,879,956.86      -19,392,241.38    536,487,715.48
负债合计              740,488,618.84      -19,392,241.38    721,096,377.46
盈余公积               49,837,673.61       -4,861,174.96     44,976,498.65
未分配利润             312,559,426.07      -42,307,305.02    270,252,121.05
股东权益合计           1,792,867,781.01     -47,168,479.98   1,745,699,301.03
                                                          单位:元
      受影响的报表
                 调整前金额                调整金额               调整后金额
       项目名称
营业收入              386,786,228.34     -103,496,896.55      283,289,331.79
营业成本              219,768,676.02      -43,400,081.82      176,368,594.20
资产减值损失              8,000,465.73       -3,697,322.10        4,303,143.63
营业利润              106,968,447.59      -56,399,492.63       50,568,954.96
利润总额              106,847,381.18      -56,399,492.63       50,447,888.55
所得税费用              10,331,030.44       -9,231,012.65        1,100,017.79
净利润                96,516,350.74      -47,168,479.98       49,347,870.76
综合收益总额             96,516,350.74      -47,168,479.98       49,347,870.76
                                                          单位:元
       受影响的报表
                   调整前金额                调整金额              调整后金额
        项目名称
销售商品、提供劳务收到的现金      358,604,281.97      -46,104,208.00    312,500,073.97
经营活动现金流入小计          415,820,718.36      -46,104,208.00    369,716,510.36
购买商品、接受劳务支付的现金      331,477,376.75      -26,199,470.00    305,277,906.75
支付其他与经营活动有关的现金       70,074,644.88      19,503,260.12      89,577,905.00
经营活动现金流出小计          464,518,963.59       -6,696,209.88    457,822,753.71
经营活动产生的现金流量净额       -48,698,245.23      -39,407,998.12     -88,106,243.35
购建固定资产、无形资产和其他
长期资产支付的现金
投资活动现金流出小计          746,389,081.37      -39,407,998.12    706,981,083.25
投资活动产生的现金流量净额      -591,908,356.90      39,407,998.12    -552,500,358.78
(三)2019 年度
                                                          单位:元
      受影响的报表
                  调整前金额               调整金额               调整后金额
       项目名称
应收账款              832,749,805.52      -77,360,111.70      755,389,693.82
预付款项              140,308,430.82      -43,851,251.73       96,457,179.09
其他应收款              55,534,820.30        2,718,584.08       58,253,404.38
存货                205,995,522.08        1,443,269.59      207,438,791.67
其他流动资产              9,066,218.93      43,620,885.05        52,687,103.98
流动资产合计           1,878,415,136.94     -73,428,624.71     1,804,986,512.23
固定资产             1,095,159,696.68     -39,378,769.20     1,055,780,927.48
在建工程               90,681,643.06      -15,583,926.61       75,097,716.45
其他非流动资产           330,527,374.98     -113,619,072.88      216,908,302.10
      受影响的报表
                   调整前金额               调整金额             调整后金额
       项目名称
非流动资产合计           2,914,620,796.62    -168,581,768.69   2,746,039,027.93
总资产合计             4,793,035,933.56    -242,010,393.40   4,551,025,540.16
应付账款               445,952,667.77      -10,896,666.16    435,056,001.61
预收款项                55,084,138.44      10,500,000.00      65,584,138.44
其他流动负债                                 55,538,489.95      55,538,489.95
流动负债合计            1,813,396,115.65     55,141,823.79    1,868,537,939.44
负债合计              2,447,648,278.40     55,141,823.79    2,502,790,102.19
盈余公积                60,185,287.38      -11,596,866.53     48,588,420.85
未分配利润              767,940,071.46     -285,555,350.66    482,384,720.80
归属于母公司股东权益        2,234,397,770.43    -297,152,217.19   1,937,245,553.24
所有者权益合计           2,345,387,655.16    -297,152,217.19   2,048,235,437.97
                                                         单位:元
      受影响的报表
                  调整前金额                调整金额             调整后金额
       项目名称
营业收入              1,340,472,990.05    -227,066,736.67   1,113,406,253.38
营业总成本             1,086,474,854.78     -85,884,271.60   1,000,590,583.18
营业成本               757,090,600.02      -85,884,271.60    671,206,328.42
信用减值损失(损失以“-”号填
列)
营业利润               293,223,864.47     -143,484,545.30    149,739,319.17
利润总额               292,989,562.43     -143,484,545.30    149,505,017.13
所得税费用               38,268,421.98      -12,812,645.66     25,455,776.32
净利润                254,721,140.45     -130,671,899.64    124,049,240.81
归属于母公司所有者的净利润      234,717,959.20     -130,671,899.64    104,046,059.56
综合收益总额             273,914,967.62     -130,671,899.64    143,243,067.98
归属于母公司所有者的综合收
益总额
                                                         单位:元
      受影响的报表
                    调整前金额               调整金额            调整后金额
       项目名称
销售商品、提供劳务收到的现金     1,482,617,583.15   -285,679,756.42   1,196,937,826.73
经营活动现金流入小计         1,561,804,214.52   -285,679,756.42   1,276,124,458.10
购买商品、接受劳务支付的现金       806,848,497.24   -156,312,816.37     650,535,680.87
支付其他与经营活动有关的现金      220,818,087.93      24,153,892.38    244,971,980.31
经营活动现金流出小计         1,322,680,738.21   -132,158,923.99   1,190,521,814.22
经营活动产生的现金流量净额       239,123,476.31    -153,520,832.43     85,602,643.88
      受影响的报表
                    调整前金额               调整金额            调整后金额
       项目名称
购建固定资产、无形资产和其他
长期资产支付的现金
投资活动现金流出小计          886,712,798.78    -153,520,832.43    733,191,966.35
投资活动产生的现金流量净额       -885,528,525.96    153,520,832.43   -732,007,693.53
                                                         单位:元
      受影响的报表
                  调整前金额                调整金额             调整后金额
       项目名称
应收账款               187,193,728.58      -36,728,519.23    150,465,209.35
预付款项                70,385,664.91      -20,544,247.79     49,841,417.12
其他应收款              201,831,735.39        4,475,044.21    206,306,779.60
存货                  32,737,467.20        1,443,269.59     34,180,736.79
其他流动资产               4,539,021.71      70,351,523.02      74,890,544.73
流动资产合计             672,757,337.69       18,997,069.80    691,754,407.49
固定资产                85,914,145.56      -34,477,176.28     51,436,969.28
其他非流动资产            136,551,965.09      -68,673,851.73     67,878,113.36
非流动资产合计           2,232,107,330.68    -103,151,028.01   2,128,956,302.67
资产总计              2,904,864,668.37     -84,153,958.21   2,820,710,710.16
应付账款               111,323,488.66      -10,896,666.16    100,426,822.50
其他应付款              171,610,519.25      41,268,103.61     212,878,622.86
流动负债合计             894,986,851.35      30,371,437.45     925,358,288.80
负债合计              1,000,176,991.71      30,371,437.45   1,030,548,429.16
盈余公积                 60,185,287.38     -11,596,866.53      48,588,420.85
未分配利润              359,461,992.72     -102,928,529.13    256,533,463.59
股东权益合计            1,904,687,676.66    -114,525,395.66   1,790,162,281.00
                                                         单位:元
      受影响的报表
                  调整前金额                调整金额             调整后金额
       项目名称
营业收入               393,189,878.18     -107,110,953.06    286,078,925.12
营业成本               232,768,400.06      -38,092,023.44    194,676,376.62
信用减值损失(损失以“-”号填
列)
营业利润               108,898,819.56      -70,699,763.59     38,199,055.97
利润总额               108,854,863.42      -70,699,763.59     38,155,099.83
所得税费用                5,378,725.76       -3,342,847.91      2,035,877.85
净利润                103,476,137.66      -67,356,915.68     36,119,221.98
综合收益总额             103,476,137.66      -67,356,915.68     36,119,221.98
                                                            单位:元
       受影响的报表
                     调整前金额                调整金额              调整后金额
        项目名称
销售商品、提供劳务收到的现金        462,613,409.51    -149,427,106.42     313,186,303.09
经营活动现金流入小计            480,991,465.08    -149,427,106.42     331,564,358.66
购买商品、接受劳务支付的现金        236,567,467.39      -73,734,400.00    162,833,067.39
支付其他与经营活动有关的现金         85,460,607.29       4,514,746.01      89,975,353.30
经营活动现金流出小计            396,597,128.92      -69,219,653.99    327,377,474.93
经营活动产生的现金流量净额          84,394,336.16      -80,207,452.43      4,186,883.73
购建固定资产、无形资产和其他长
期资产支付的现金
投资活动现金流出小计            575,911,983.17      -80,207,452.43    495,704,530.74
投资活动产生的现金流量净额        -202,831,684.49      80,207,452.43    -122,624,232.06
(四)2020 年度
                                                            单位:元
     受影响的报表
                   调整前金额                调整金额               调整后金额
       项目名称
应收账款               929,259,904.04       -89,585,473.25      839,674,430.79
存货                 361,818,479.72       -81,157,355.64      280,661,124.08
其他流动资产              19,629,291.74       55,554,008.19        75,183,299.93
流动资产合计            2,033,319,498.32     -115,188,820.70     1,918,130,677.62
固定资产              1,302,130,087.30     -132,591,971.58     1,169,538,115.72
在建工程                69,157,255.23       -33,043,124.05       36,114,131.18
无形资产                98,163,198.76       -11,037,735.85       87,125,462.91
其他非流动资产            112,571,139.46        -8,086,725.67      104,484,413.79
非流动资产合计           2,895,953,589.71     -184,759,557.15     2,711,194,032.56
总资产合计             4,929,273,088.03     -299,948,377.85     4,629,324,710.18
应付账款               410,752,035.19        -8,739,361.16      402,012,674.03
应交税费                30,918,344.99          233,384.79        31,151,729.78
其他流动负债               1,814,237.30       68,859,853.81        70,674,091.11
流动负债合计            1,296,678,733.94      60,353,877.44      1,357,032,611.38
负债合计              2,551,043,926.77       60,353,877.44     2,611,397,804.21
盈余公积                 67,124,757.99      -11,480,984.69        55,643,773.30
未分配利润              945,354,269.62      -360,896,753.76      584,457,515.86
归属于母公司股东权益        2,383,318,221.84     -372,377,738.45     2,010,940,483.39
少数股东权益               -5,089,060.58      12,075,483.16         6,986,422.58
所有者权益合计           2,378,229,161.26     -360,302,255.29     2,017,926,905.97
                                                            单位:元
      受影响的报表
                  调整前金额                调整金额             调整后金额
       项目名称
营业收入              1,515,992,751.11    -304,971,790.32   1,211,020,960.79
营业总成本             1,299,940,999.98    -219,087,549.18   1,080,853,450.80
营业成本               878,193,394.12     -197,121,511.46    681,071,882.66
研发费用                98,004,876.14      -21,966,037.72     76,038,838.42
投资收益(损失以“-”号填列)        412,278.46      10,500,000.00      10,912,278.46
信用减值损失(损失以“-”号填
                     -6,777,560.53        534,464.69       -6,243,095.84
列)
营业利润               253,198,194.23      -74,849,776.45    178,348,417.78
利润总额               253,088,412.49      -74,849,776.45    178,238,636.04
所得税费用               33,414,506.18      -11,699,738.35     21,714,767.83
净利润                219,673,906.31      -63,150,038.10    156,523,868.21
归属于母公司所有者的净利润      231,654,648.29      -75,225,521.26    156,429,127.03
少数股东损益              -11,980,741.98     12,075,483.16          94,741.18
综合收益总额             225,426,933.33      -63,150,038.10    162,276,895.23
归属于母公司所有者的综合收
益总额
归属于少数股东的综合收益总
                    -11,980,741.98     12,075,483.16          94,741.18

                                                         单位:元
      受影响的报表
                    调整前金额               调整金额            调整后金额
       项目名称
销售商品、提供劳务收到的现金     1,363,494,295.21   -327,685,867.08   1,035,808,428.13
收到其他与经营活动有关的现金      116,657,542.20       2,205,497.84    118,863,040.04
经营活动现金流入小计         1,497,243,794.76   -325,480,369.24   1,171,763,425.52
购买商品、接受劳务支付的现金       709,110,425.15   -293,031,772.60     416,078,652.55
经营活动现金流出小计         1,164,000,054.61   -293,031,772.60    870,968,282.01
经营活动产生的现金流量净额       333,243,740.15     -32,448,596.64    300,795,143.51
购建固定资产、无形资产和其他
长期资产支付的现金
投资活动现金流出小计          171,065,948.33     -32,448,596.64    138,617,351.69
投资活动产生的现金流量净额       -162,398,967.33     32,448,596.64   -129,950,370.69
                                                         单位:元
      受影响的报表
                  调整前金额                调整金额             调整后金额
       项目名称
应收账款               219,713,146.78      -44,137,705.85    175,575,440.93
其他应收款              215,516,953.40      71,971,911.53     287,488,864.93
存货                 115,832,715.55      -73,068,266.90     42,764,448.65
      受影响的报表
                  调整前金额                调整金额              调整后金额
       项目名称
其他流动资产               9,247,430.50      63,803,162.25       73,050,592.75
流动资产合计             852,966,272.64      18,569,101.03      871,535,373.67
固定资产               162,654,475.80      -90,439,248.72      72,215,227.08
其他非流动资产              6,383,638.84       -4,154,424.79       2,229,214.05
非流动资产合计           2,457,151,135.34     -94,593,673.51    2,362,557,461.83
资产总计              3,310,117,407.98     -76,024,572.48    3,234,092,835.50
应付账款               134,957,674.20      -14,972,413.79     119,985,260.41
其他应付款               35,801,135.30      65,532,465.22      101,333,600.52
流动负债合计             541,052,231.75      50,560,051.43      591,612,283.18
负债合计              1,280,101,969.24     50,560,051.43     1,330,662,020.67
盈余公积                67,124,757.99      -11,480,984.69      55,643,773.30
未分配利润              374,616,248.70     -115,103,639.22     259,512,609.48
股东权益合计            2,030,015,438.74    -126,584,623.92    1,903,430,814.82
                                                          单位:元
      受影响的报表
                  调整前金额                调整金额              调整后金额
       项目名称
营业收入               491,319,793.19     -148,312,389.21     343,007,403.98
营业成本               325,734,278.82     -131,762,348.89     193,971,929.93
研发费用                26,469,796.47       -3,300,000.00      23,169,796.47
信用减值损失(损失以“-”号填
                     -2,762,140.73       1,186,013.02       -1,576,127.71
列)
营业利润                70,222,847.07      -12,064,027.30      58,158,819.77
利润总额                70,307,516.00      -12,064,027.30      58,243,488.70
所得税费用                  912,809.89           -4,799.05         908,010.84
净利润                 69,394,706.11      -12,059,228.25      57,335,477.86
综合收益总额              69,394,706.11      -12,059,228.25      57,335,477.86
                                                          单位:元
      受影响的报表
                    调整前金额               调整金额             调整后金额
       项目名称
销售商品、提供劳务收到的现金      483,818,226.23    -157,765,335.58     326,052,890.65
经营活动现金流入小计          513,351,625.47    -157,765,335.58     355,586,289.89
购买商品、接受劳务支付的现金      301,908,971.60    -200,453,145.00     101,455,826.60
支付其他与经营活动有关的现金      112,417,203.56      46,200,170.63     158,617,374.19
经营活动现金流出小计          469,960,117.19    -154,252,974.37     315,707,142.82
经营活动产生的现金流量净额         43,391,508.28      -3,512,361.21     39,879,147.07
购建固定资产、无形资产和其他
长期资产支付的现金
     受影响的报表
                   调整前金额               调整金额             调整后金额
       项目名称
投资活动现金流出小计         502,154,950.86       -3,512,361.21    498,642,589.65
投资活动产生的现金流量净额      -349,600,947.15      3,512,361.21    -346,088,585.94
 (五)2021 年度
                                                         单位:元
     受影响的报表
                  调整前金额               调整金额              调整后金额
       项目名称
应收账款              736,138,015.01      -41,448,632.59     694,689,382.42
存货                562,923,193.50      -57,819,963.05     505,103,230.45
其他流动资产              4,754,895.72      58,445,804.74       63,200,700.46
流动资产合计           2,366,851,048.49     -40,822,790.90    2,326,028,257.59
固定资产              698,735,020.83     -202,108,240.43     496,626,780.40
在建工程               49,968,084.21       -5,561,946.90      44,406,137.31
无形资产               64,109,449.79      -11,037,735.85      53,071,713.94
递延所得税资产            50,956,454.31       -4,464,916.70      46,491,537.61
其他非流动资产            31,695,763.97      -13,513,356.19      18,182,407.78
非流动资产合计          1,519,965,881.38    -236,686,196.07    1,283,279,685.31
总资产合计            3,886,816,929.87    -277,508,986.97    3,609,307,942.90
应付账款              362,769,889.47         732,761.06      363,502,650.53
应交税费               38,220,305.07         721,410.03       38,941,715.10
其他流动负债             12,022,523.36      82,443,860.69       94,466,384.05
流动负债合计           1,440,702,639.21     83,898,031.78     1,524,600,670.99
负债合计             2,197,572,082.37      83,898,031.78    2,281,470,114.15
盈余公积                67,124,757.99     -11,480,984.69       55,643,773.30
未分配利润             262,696,654.88     -363,706,507.98    -101,009,853.10
归属于母公司股东权益       1,693,123,494.12    -375,187,492.67    1,317,936,001.45
少数股东权益              -3,878,646.62     13,780,473.92        9,901,827.30
所有者权益合计          1,689,244,847.50    -361,407,018.75    1,327,837,828.75
                                                         单位:元
     受影响的报表
                 调整前金额                调整金额              调整后金额
       项目名称
营业收入             1,394,369,586.11    -108,797,964.67    1,285,571,621.44
营业总成本            1,390,523,605.40    -112,052,392.65    1,278,471,212.75
营业成本               932,405,231.26    -109,063,996.57      823,341,234.69
研发费用              102,690,461.81       -2,988,396.08      99,702,065.73
信用减值损失(损失以“-”号
填列)
      受影响的报表
                调整前金额                调整金额               调整后金额
       项目名称
营业利润            -638,310,942.37         956,381.93      -637,354,560.44
利润总额            -638,534,496.09         956,381.93      -637,578,114.16
所得税费用             -3,895,383.02        2,061,145.39       -1,834,237.63
净利润             -634,639,113.07       -1,104,763.46     -635,743,876.53
归属于母公司所有者的净利
                -635,849,527.03       -2,809,754.22     -638,659,281.25

少数股东损益             1,210,413.96        1,704,990.76        2,915,404.72
综合收益总额          -642,222,178.29       -1,104,763.46     -643,326,941.75
归属于母公司所有者的综合
                -643,432,592.25       -2,809,754.22     -646,242,346.47
收益总额
归属于少数股东的综合收益
总额
                                                        单位:元
      受影响的报表
                 调整前金额                 调整金额              调整后金额
       项目名称
销售商品、提供劳务收到的现

收到其他与经营活动有关的现

经营活动现金流入小计       1,785,545,753.38     -137,248,111.60   1,648,297,641.78
购买商品、接受劳务支付的现

经营活动现金流出小计       1,554,381,020.91      -74,062,403.12   1,480,318,617.79
经营活动产生的现金流量净额      231,164,732.47      -63,185,708.48     167,979,023.99
购建固定资产、无形资产和其
他长期资产支付的现金
投资活动现金流出小计         132,109,566.71      -63,185,708.48      68,923,858.23
投资活动产生的现金流量净额      225,357,794.84       63,185,708.48     288,543,503.32
                                                        单位:元
      受影响的报表
                调整前金额                调整金额               调整后金额
       项目名称
应收账款            210,312,732.09       -61,481,324.80     148,831,407.29
其他应收款           123,482,963.26       88,878,991.22      212,361,954.48
存货              109,509,548.13       -55,089,767.24      54,419,780.89
其他流动资产              408,315.66       81,171,683.75       81,579,999.41
流动资产合计          815,695,273.90        53,479,582.93     869,174,856.83
固定资产            170,974,708.98      -100,799,548.28      70,175,160.70
      受影响的报表
                  调整前金额                      调整金额                调整后金额
       项目名称
非流动资产合计           2,221,589,420.97      -100,799,548.28          2,120,789,872.69
资产总计              3,037,284,694.87       -47,319,965.35          2,989,964,729.52
应付账款                78,378,405.10        -19,602,636.22            58,775,768.88
其他应付款               57,822,248.29            83,006,454.38        140,828,702.67
流动负债合计             592,331,929.79            63,403,818.16        655,735,747.95
负债合计              1,288,605,889.21           63,403,818.16       1,352,009,707.37
盈余公积                67,124,757.99        -11,480,984.69            55,643,773.30
未分配利润               93,233,663.38        -99,242,798.82             -6,009,135.44
股东权益合计            1,748,678,805.66      -110,723,783.51          1,637,955,022.15
                                                                  单位:元
      受影响的报表
                  调整前金额                      调整金额                调整后金额
       项目名称
营业收入               325,992,004.39        -79,501,504.45           246,490,499.94
营业成本               245,066,804.47        -96,023,121.00           149,043,683.47
信用减值损失(损失以“-”号
填列)
营业利润              -247,550,620.02            15,860,840.40       -231,689,779.62
利润总额              -247,508,644.93            15,860,840.40       -231,647,804.53
净利润               -234,574,497.61            15,860,840.40       -218,713,657.21
综合收益总额            -234,574,497.61            15,860,840.40       -218,713,657.21
                                                                  单位:元
       受影响的报表
                        调整前金额                    调整金额               调整后金额
        项目名称
销售商品、提供劳务收到的现金           437,679,020.62         -93,150,700.00      344,528,320.62
经营活动现金流入小计               456,773,430.08         -93,150,700.00      363,622,730.08
购买商品、接受劳务支付的现金           323,848,064.65         -46,822,620.00      277,025,444.65
支付其他与经营活动有关的现金               83,060,390.83        3,455,178.00       86,515,568.83
经营活动现金流出小计               452,523,604.80         -43,367,442.00      409,156,162.80
经营活动产生的现金流量净额                 4,249,825.28      -49,783,258.00      -45,533,432.72
购建固定资产、无形资产和其他长
期资产支付的现金
投资活动现金流出小计                   76,059,858.74      -49,783,258.00       26,276,600.74
投资活动产生的现金流量净额            128,583,955.76          49,783,258.00      178,367,213.76
 (六)2022 年度
                                                       单位:元
      受影响的报表
                 调整前金额               调整金额             调整后金额
       项目名称
应收账款             1,080,102,370.99    -27,739,171.36   1,052,363,199.63
存货                839,322,935.70     -48,638,104.14    790,684,831.56
其他流动资产             38,362,469.12     58,125,810.45      96,488,279.57
流动资产合计           2,726,311,929.56    -18,251,465.05   2,708,060,464.51
固定资产              633,835,230.28    -147,210,222.57    486,625,007.71
在建工程              123,018,170.10     -30,203,621.68     92,814,548.42
无形资产               59,361,235.30      -9,781,912.63     49,579,322.67
非流动资产合计          1,497,275,476.08   -187,195,756.88   1,310,079,719.20
总资产合计            4,223,587,405.64   -205,447,221.93   4,018,140,183.71
应付账款               555,757,976.42    -21,985,240.72     533,772,735.70
应交税费               71,447,177.18        678,521.07      72,125,698.25
其他流动负债             10,857,923.34     77,572,137.85      88,430,061.19
流动负债合计           1,710,909,225.55    56,265,418.20    1,767,174,643.75
负债合计             2,550,668,921.43    56,265,418.20    2,606,934,339.63
盈余公积               60,472,156.34      -4,828,383.04     55,643,773.30
未分配利润             251,467,649.27    -261,358,337.02      -9,890,687.75
归属于母公司股东权益       1,657,849,165.13   -266,186,720.06   1,391,662,445.07
少数股东权益             15,069,319.08       4,474,079.93     19,543,399.01
所有者权益合计          1,672,918,484.21   -261,712,640.13   1,411,205,844.08
                                                       单位:元
     受影响的报表
                 调整前金额               调整金额             调整后金额
      项目名称
营业收入             1,636,680,763.65    -17,831,170.74   1,618,849,592.91
营业总成本            1,543,652,634.52    -37,190,788.53   1,506,461,845.99
营业成本             1,159,511,677.44    -36,448,681.31   1,123,062,996.13
管理费用              100,222,668.73       -742,107.22      99,480,561.51
信用减值损失(损失以“-”号
                   -27,860,109.03     -4,398,430.61     -32,258,539.64
填列)
资产减值损失(损失以“-”号
                   -19,129,863.20     -1,342,993.72     -20,472,856.92
填列)
营业利润               75,754,499.64     13,618,193.46      89,372,693.10
利润总额               74,768,918.78     13,618,193.46      88,387,112.24
所得税费用               2,499,962.44        461,682.32       2,961,644.76
净利润                72,268,956.34     13,156,511.14      85,425,467.48
归属于母公司所有者的净
利润
少数股东损益              6,815,837.01       2,825,734.70      9,641,571.71
综合收益总额             65,701,287.95     13,156,511.14      78,857,799.09
     受影响的报表
                  调整前金额                 调整金额               调整后金额
     项目名称
归属于母公司所有者的综
合收益总额
归属于少数股东的综合收
益总额
                                                            单位:元
       受影响的报表
                      调整前金额                调整金额              调整后金额
        项目名称
销售商品、提供劳务收到的现金       1,080,018,787.92     -41,648,305.00    1,038,370,482.92
收到其他与经营活动有关的现金         183,268,786.62       4,455,705.00      187,724,491.62
经营活动现金流入小计           1,297,924,430.33     -37,192,600.00    1,260,731,830.33
购买商品、接受劳务支付的现金         926,316,318.86        -645,000.00      925,671,318.86
经营活动现金流出小计           1,600,691,814.02        -645,000.00    1,600,046,814.02
经营活动产生的现金流量净额         -302,767,383.69     -36,547,600.00     -339,314,983.69
购建固定资产、无形资产和其他长
期资产支付的现金
投资活动现金流出小计             141,873,046.90     -36,547,600.00      105,325,446.90
投资活动产生的现金流量净额          -92,353,186.83      36,547,600.00      -55,805,586.83
                                                            单位:元
     受影响的报表
                  调整前金额                 调整金额               调整后金额
     项目名称
应收账款               188,900,737.89       -35,006,446.61      153,894,291.28
其他应收款              220,827,165.03       44,300,923.08       265,128,088.11
存货                  88,947,154.65       -20,073,418.09       68,873,736.56
其他流动资产              25,273,609.53       56,223,435.66        81,497,045.19
流动资产合计             733,107,457.38        45,444,494.04      778,551,951.42
固定资产               138,104,535.03       -63,009,032.74       75,095,502.29
无形资产                   219,508.95         -123,893.73            95,615.22
非流动资产合计           2,226,497,582.67      -63,132,926.47     2,163,364,656.20
资产总计              2,959,605,040.05      -17,688,432.43     2,941,916,607.62
应付账款                63,683,244.41        -1,767,289.39       61,915,955.02
其他应付款               67,184,861.86       41,717,079.88       108,901,941.74
流动负债合计             586,798,976.12       39,949,790.49       626,748,766.61
负债合计              1,265,847,786.40      39,949,790.49      1,305,797,576.89
盈余公积                 60,472,156.34      -4,828,383.04         55,643,773.30
未分配利润               56,005,223.08       -52,809,839.88        3,195,383.20
股东权益合计            1,693,757,253.65      -57,638,222.92     1,636,119,030.73
                                                              单位:元
     受影响的报表
                  调整前金额                  调整金额                调整后金额
      项目名称
营业收入               228,514,124.69         -4,677,708.08       223,836,416.61
营业成本               151,154,461.28        -16,887,876.07       134,266,585.21
信用减值损失(损失以“-”号
填列)
资产减值损失(损失以“-”号
                     -6,579,844.24        -1,342,993.72         -7,922,837.96
填列)
营业利润                -11,969,501.28         6,042,819.56         -5,926,681.72
利润总额                -11,919,653.21         6,042,819.56         -5,876,833.65
净利润                  -3,894,712.08         6,042,819.56          2,148,107.48
综合收益总额               -3,894,712.08         6,042,819.56          2,148,107.48
                                                              单位:元
       受影响的报表
                       调整前金额                 调整金额               调整后金额
       项目名称
销售商品、提供劳务收到的现金          295,020,804.40      -41,648,305.00      253,372,499.40
收到其他与经营活动有关的现金           18,919,131.57        4,455,705.00       23,374,836.57
经营活动现金流入小计              313,943,236.15      -37,192,600.00      276,750,636.15
购买商品、接受劳务支付的现金          111,466,719.33         -645,000.00      110,821,719.33
经营活动现金流出小计              229,550,268.55         -645,000.00      228,905,268.55
经营活动产生的现金流量净额            84,392,967.60      -36,547,600.00       47,845,367.60
购建固定资产、无形资产和其他长
期资产支付的现金
投资活动现金流出小计              189,940,317.18      -36,547,600.00      153,392,717.18
投资活动产生的现金流量净额          -144,121,394.20       36,547,600.00     -107,573,794.20
 (七)2023 年第一季度
                                                              单位:元
      受影响的报表
                   调整前金额                  调整金额               调整后金额
       项目名称
应收账款              1,171,614,542.06        -68,351,345.05     1,103,263,197.01
存货                 757,801,841.66           5,655,945.05      763,457,786.71
其他流动资产              53,221,217.83         59,344,948.40       112,566,166.23
流动资产合计            2,783,981,708.06         -3,350,451.60     2,780,631,256.46
固定资产               621,317,488.93        -143,314,408.84      478,003,080.09
在建工程               123,912,105.61         -26,663,798.67       97,248,306.94
无形资产                61,000,453.62         -11,046,996.10       49,953,457.52
      受影响的报表
                     调整前金额                调整金额             调整后金额
       项目名称
递延所得税资产               51,539,188.34         -229,975.64      51,309,212.70
非流动资产合计             1,482,623,479.25     -181,255,179.25   1,301,368,300.00
总资产合计               4,266,605,187.31     -184,605,630.85   4,081,999,556.46
应付账款                 488,620,757.49        -1,767,289.39    486,853,468.10
应交税费                  24,209,173.87          678,521.07      24,887,694.94
其他流动负债                 9,587,108.19       77,572,137.76      87,159,245.95
流动负债合计              1,592,428,535.39      76,483,369.44    1,668,911,904.83
负债合计                2,550,821,468.12      76,483,369.44    2,627,304,837.56
盈余公积                  60,472,156.34        -4,828,383.04     55,643,773.30
未分配利润                293,901,337.03      -261,430,510.23     32,470,826.80
归属于母公司股东权益          1,704,338,604.06     -266,258,893.27   1,438,079,710.79
少数股东权益                11,445,115.13         5,169,892.98     16,615,008.11
所有者权益合计             1,715,783,719.19     -261,089,000.29   1,454,694,718.90
                                                            单位:元
       受影响的报表
                       调整前金额               调整金额             调整后金额
        项目名称
营业收入                   368,880,337.53     -42,203,684.27    326,676,653.26
营业总成本                  350,886,325.85     -40,246,651.22    310,639,674.63
营业成本                   273,417,452.74     -40,246,651.22    233,170,801.52
信用减值损失(损失以“-”号填列)        28,692,723.02      1,591,510.58     30,284,233.60
营业利润                     52,288,912.26       -365,522.47     51,923,389.79
利润总额                     52,385,347.19       -365,522.47     52,019,824.72
所得税费用                    13,575,863.38       -989,162.31     12,586,701.07
净利润                      38,809,483.81        623,639.84     39,433,123.65
归属于母公司所有者的净利润            42,433,687.76        -72,173.21     42,361,514.55
少数股东损益                   -3,624,203.95        695,813.05      -2,928,390.90
综合收益总额                   42,862,757.12        623,639.84     43,486,396.96
归属于母公司所有者的综合收益
总额
归属于少数股东的综合收益总额           -3,624,203.95        695,813.05      -2,928,390.90
                                                            单位:元
      受影响的报表
                     调整前金额                 调整金额              调整后金额
       项目名称
应收账款                   134,113,901.21     -34,916,346.61       99,197,554.60
      受影响的报表
                     调整前金额                       调整金额               调整后金额
       项目名称
其他应收款                  238,682,310.51            44,300,923.08       282,983,233.59
存货                      87,384,618.25           -20,073,418.09        67,311,200.16
其他流动资产                  25,273,609.53            56,223,435.66        81,497,045.19
流动资产合计                 662,111,819.37            45,534,594.04       707,646,413.41
固定资产                   131,795,419.63           -59,992,203.90        71,803,215.73
无形资产                       196,657.95              -110,619.41            86,038.54
非流动资产合计              2,220,599,927.62           -60,102,823.31      2,160,497,104.31
资产总计                 2,882,711,746.99           -14,568,229.27      2,868,143,517.72
应付账款                    51,100,542.76            -1,767,289.39        49,333,253.37
其他应付款                   65,003,298.82            41,717,079.88       106,720,378.70
流动负债合计                 485,965,040.46            39,949,790.49       525,914,830.95
负债合计                 1,206,047,925.11            39,949,790.49      1,245,997,715.60
盈余公积                    60,472,156.34            -4,828,383.04         55,643,773.30
未分配利润                   38,909,313.45           -49,689,636.72        -10,780,323.27
股东权益合计               1,676,663,821.88           -54,518,019.76      1,622,145,802.12
                                                                    单位:元
       受影响的报表
                         调整前金额                      调整金额              调整后金额
        项目名称
营业成本                       17,287,318.49            -3,030,103.16     14,257,215.33
信用减值损失(损失以“-”号填列)              2,148,979.57             90,100.00      2,239,079.57
营业利润                      -17,095,909.63             3,120,203.16     -13,975,706.47
利润总额                      -17,095,909.63             3,120,203.16     -13,975,706.47
净利润                       -17,095,909.63             3,120,203.16     -13,975,706.47
综合收益总额                    -17,095,909.63             3,120,203.16     -13,975,706.47
 (八)2023 年半年度
                                                                    单位:元
     受影响的报表
                    调整前金额                      调整金额                 调整后金额
      项目名称
应收账款                1,226,901,565.72          -151,413,099.45       1,075,488,466.27
存货                   801,875,298.07            77,040,129.02         878,915,427.09
其他流动资产                53,858,023.86            61,840,982.68         115,699,006.54
流动资产合计              2,645,121,440.38           -12,531,987.75       2,632,589,452.63
固定资产                  603,797,369.97          -137,160,178.56         466,637,191.41
   受影响的报表
                    调整前金额                      调整金额                  调整后金额
      项目名称
在建工程                 129,195,171.44            -26,663,798.67         102,531,372.77
无形资产                  60,083,207.53            -11,006,714.21          49,076,493.32
递延所得税资产               55,068,302.33              -470,032.19           54,598,270.14
非流动资产合计             1,470,483,183.43      -175,300,723.62            1,295,182,459.81
总资产合计               4,115,604,623.81      -187,832,711.37            3,927,771,912.44
应付账款                 486,120,792.70             -1,767,289.39         484,353,503.31
应交税费                  14,337,168.97             1,183,092.35           15,520,261.32
其他流动负债                 5,431,880.41            77,572,137.76           83,004,018.17
流动负债合计              1,520,667,174.85           76,987,940.72         1,597,655,115.57
负债合计                2,419,117,667.68           76,987,940.72         2,496,105,608.40
盈余公积                   60,472,156.34           -4,828,383.04            55,643,773.30
未分配利润                280,521,548.80       -265,857,975.09              14,663,573.71
归属于母公司股东权益          1,686,606,872.10      -270,686,358.13            1,415,920,513.97
少数股东权益                 9,880,084.03             5,865,706.04           15,745,790.07
所有者权益合计             1,696,486,956.13      -264,820,652.09            1,431,666,304.04
                                                                     单位:元
        受影响的报表
                           调整前金额                     调整金额               调整后金额
         项目名称
营业收入                       698,566,855.02          -126,864,288.28     571,702,566.74
营业总成本                      704,728,898.96          -117,825,347.36     586,903,551.60
营业成本                       523,154,580.03          -117,825,347.36     405,329,232.67
信用减值损失(损失以“-”号填列)              29,363,804.60          3,190,360.19      32,554,164.79
营业利润                           40,615,988.32         -5,848,580.73      34,767,407.59
利润总额                           40,666,961.37         -5,848,580.73      34,818,380.64
所得税费用                          16,802,296.89         -2,740,568.76      14,061,728.13
净利润                            23,864,664.48         -3,108,011.96      20,756,652.52
归属于母公司所有者的净利润                  29,053,899.53         -4,499,638.07      24,554,261.46
少数股东损益                         -5,189,235.05          1,391,626.11       -3,797,608.94
综合收益总额                         -5,497,943.86         -3,108,011.96       -8,605,955.82
归属于母公司所有者的综合收益总额                 -308,708.81         -4,499,638.07       -4,808,346.88
归属于少数股东的综合收益总额                 -5,189,235.05          1,391,626.11       -3,797,608.94
                                                                     单位:元
       受影响的报表
                    调整前金额                   调整金额              调整后金额
        项目名称
应收账款                 139,103,074.21         -34,916,346.61     104,186,727.60
其他应收款                226,460,959.10         44,300,923.08      270,761,882.18
存货                    89,716,552.35         -20,073,418.09      69,643,134.26
其他流动资产                25,273,609.53         56,223,435.66       81,497,045.19
流动资产合计               598,985,499.84         45,534,594.04      644,520,093.88
固定资产                 125,749,480.80         -56,975,375.09      68,774,105.71
无形资产                        173,806.95         -97,345.08           76,461.87
非流动资产合计             2,213,290,008.26        -57,072,720.17    2,156,217,288.09
资产总计                2,812,275,508.10        -11,538,126.13    2,800,737,381.97
应付账款                   51,968,892.23         -1,767,289.39       50,201,602.84
其他应付款                 39,204,975.20         41,717,079.88       80,922,055.08
流动负债合计               445,118,447.30         39,949,790.49      485,068,237.79
负债合计                1,152,370,731.00        39,949,790.49     1,192,320,521.49
盈余公积                   60,472,156.34        -4,828,383.04        55,643,773.30
未分配利润                 22,140,230.28         -46,659,533.58      -24,519,303.30
股东权益合计              1,659,904,777.10        -51,487,916.62    1,608,416,860.48
                                                              单位:元
       受影响的报表
                       调整前金额                  调整金额             调整后金额
        项目名称
营业成本                        38,022,719.62    -6,060,206.30       31,962,513.32
信用减值损失(损失以“-”号填列)             694,767.07         90,100.00          784,867.07
营业利润                    -32,865,948.99        6,150,306.30      -26,715,642.69
利润总额                    -33,127,651.92        6,150,306.30      -26,977,345.62
净利润                     -33,864,992.80        6,150,306.30      -27,714,686.50
综合收益总额                  -33,864,992.80        6,150,306.30      -27,714,686.50
 (九)2023 年第三季度
                                                              单位:元
      受影响的报表
                     调整前金额                    调整金额              调整后金额
       项目名称
应收账款                 1,163,222,583.10       -151,828,845.16    1,011,393,737.94
存货                     824,874,026.82         77,040,129.02      901,914,155.84
其他流动资产                  64,488,622.64         61,840,982.68      126,329,605.32
流动资产合计               2,679,067,250.12        -12,947,733.46    2,666,119,516.66
      受影响的报表
                    调整前金额                 调整金额              调整后金额
       项目名称
固定资产                 562,461,721.34      -131,005,948.27    431,455,773.07
在建工程                 150,186,864.74       -26,663,798.67    123,523,066.07
无形资产                  60,572,280.27       -10,966,432.31     49,605,847.96
递延所得税资产               58,653,620.20         -390,107.69      58,263,512.51
非流动资产合计             1,456,937,096.26     -169,026,286.94   1,287,910,809.32
总资产合计               4,136,004,346.38     -181,974,020.40   3,954,030,325.98
应付账款                 517,743,713.95        -1,767,289.39    515,976,424.56
应交税费                  17,360,961.81         1,183,092.35     18,544,054.16
其他流动负债                17,938,480.94       77,572,137.76      95,510,618.70
流动负债合计              1,717,457,807.71      76,987,940.72    1,794,445,748.43
负债合计                2,514,481,708.89      76,987,940.72    2,591,469,649.61
盈余公积                  60,472,156.34        -4,828,383.04     55,643,773.30
未分配利润                203,622,484.57      -260,695,097.17     -57,072,612.60
归属于母公司股东权益          1,613,429,755.21     -265,523,480.21   1,347,906,275.00
少数股东权益                    8,092,882.28      6,561,519.09     14,654,401.37
所有者权益合计             1,621,522,637.49     -258,961,961.12   1,362,560,676.37
                                                           单位:元
       受影响的报表
                    调整前金额                 调整金额              调整后金额
        项目名称
营业收入                 953,696,393.39      -126,864,288.28    826,832,105.11
营业总成本               1,000,351,043.83     -124,019,859.55    876,331,184.28
营业成本                 715,467,524.00      -124,019,859.55    591,447,664.45
信用减值损失(损失以“-”号填列)     21,652,596.25         2,774,614.48     24,427,210.73
营业利润                  -40,186,281.07          -69,814.25     -40,256,095.32
利润总额                  -39,998,493.59          -69,814.25     -40,068,307.84
所得税费用                 14,823,107.91        -2,820,493.26     12,002,614.65
净利润                   -54,821,601.50        2,750,679.01     -52,070,922.49
归属于母公司所有者的净利润         -47,845,164.70         663,239.85      -47,181,924.85
少数股东损益                 -6,976,436.80        2,087,439.16      -4,888,997.64
综合收益总额                -51,408,362.97        2,750,679.01     -48,657,683.96
归属于母公司所有者的综合收益总
                      -44,431,926.17         663,239.85      -43,768,686.32

归属于少数股东的综合收益总额         -6,976,436.80        2,087,439.16      -4,888,997.64
                                                           单位:元
       受影响的报表
                     调整前金额                   调整金额                    调整后金额
        项目名称
 应收账款                 135,922,870.93         -34,916,346.61           101,006,524.32
 其他应收款                418,133,455.90             44,300,923.08        462,434,378.98
 存货                    89,312,352.46         -20,073,418.09            69,238,934.37
 其他流动资产                25,273,609.53             56,223,435.66         81,497,045.19
 流动资产合计               782,735,546.10             45,534,594.04        828,270,140.14
 固定资产                 120,059,480.48         -53,958,546.27            66,100,934.21
 无形资产                     150,955.95                -84,070.74             66,885.21
 非流动资产合计             2,197,188,033.78        -54,042,617.01          2,143,145,416.77
 资产总计                2,979,923,579.88            -8,508,022.97       2,971,415,556.91
 应付账款                   54,364,412.46            -1,767,289.39          52,597,123.07
 其他应付款                 38,807,289.55             41,717,079.88         80,524,369.43
 流动负债合计               497,718,869.09             39,949,790.49        537,668,659.58
 负债合计                1,161,414,225.26            39,949,790.49       1,201,364,015.75
 盈余公积                   60,472,156.34            -4,828,383.04          55,643,773.30
 未分配利润                180,744,807.80         -43,629,430.42           137,115,377.38
 股东权益合计              1,818,509,354.62        -48,457,813.46          1,770,051,541.16
                                                                      单位:元
         受影响的报表
                              调整前金额                  调整金额              调整后金额
           项目名称
 营业成本                            65,380,950.86       -9,090,309.46      56,290,641.40
 信用减值损失(损失以“-”号填列)                 313,468.15           90,100.00          403,568.15
 营业利润                         125,693,013.04          9,180,409.46     134,873,422.50
 利润总额                         125,431,310.11          9,180,409.46     134,611,719.57
 净利润                          124,739,584.72          9,180,409.46     133,919,994.18
 综合收益总额                       124,739,584.72          9,180,409.46     133,919,994.18
     三、更正事项对业绩承诺完成情况的影响
     公司根 据中 国证 券监 督管理 委员 会 ( 以下 简称 “证监 会 ”) “证 监许可
[2017]1351 号”文件的批复,于 2017 年 9 月完成了对银川卧龙 100%股权的收购。
本次重大资产重组中,交易对手方卧龙电气驱动集团股份有限公司(简称“卧龙
电驱”,曾用名“卧龙电气集团股份有限公司”,曾用简称“卧龙电气”,2019 年 3
月变更全称及简称)对银川卧龙 2017 -2019 年度业绩做出承诺。业绩承诺内容如
下:
   根据交易各方达成的约定,银川卧龙补偿义务人卧龙电驱的业绩承诺系以业
绩承诺期届满累计净利润为指标,口径为归属于母公司所有者未扣除非经常性损
益的净利润,如银川卧龙承诺期届满的累计实现金额高于(含等于)承诺总额的
   ①2017 年度实现的归属于母公司所有者的净利润不低于 9,000 万元,2018 年
度实现的归属于母公司所有者的净利润不低于 10,600 万元,2019 年实现的归属
于母公司所有者的净利润不低于 12,000 万元;
   ①2017 年至 2019 年三个年度实现的归属于母公司所有者的净利润累积不低
于 31,600 万元人民币。
   本次会计差错更正暨追溯调整将会对上述 2017-2019 年业绩承诺完成情况
产生实质性影响,具体如下:
   银川卧龙 2017 年至 2019 年财务报表分别业经致同会计师事务所(特殊普通
合伙)及容诚会计师事务所(特殊普通合伙)审计,并均出具了标准无保留意见
审计报告,报告文号分别为致同审字(2018)第 350FC0677 号、致同审字(2019)
第 350FC0181 号、容诚审字[2020]361F0172 号。经审计的银川卧龙 2019 年度及
 项 目
实际业绩       8,172.15    10,643.27         11,805.87   30,621.29
业绩指标       9,000.00    10,600.00         12,000.00   31,600.00
   经公司自查,并根据容诚会计师事务所(特殊普通合伙)出具的《关于红相
股份有限公司前期会计差错更正专项说明的鉴证报告》(容诚专字
[2024]361Z0373 号)(以下简称鉴证报告)确认,会计差错更正暨追溯调整后,
银川卧龙 2017-2019 年实际完成的净利润情况为(单位:万元):
 项 目
实际业绩       3,302.83     3,581.40          6,110.43   12,994.66
业绩指标       9,000.00    10,600.00         12,000.00   31,600.00
   综上,追溯调整后,银川卧龙 2017 年度-2019 年度的业绩承诺实现金额为
驱出具的《履约承诺函》的相关约定,卧龙电驱将对上述未完成的业绩向公司补
偿 18,605.34 万元。
   四、会计师事务所就更正事项的专项鉴证报告
   容诚会计师事务所(特殊普通合伙)出具了《关于红相股份有限公司前期会
计差错更正专项说明的鉴证报告》
              (容诚专字[2024]361Z0373 号)
                                   (以下简称“《鉴
证报告》”),其实施了包括检查会计记录等必要的程序,认为公司专项说明在
所有重大方面按照《企业会计准则第 28 号—会计政策、会计估计变更和差错更
正》、中国证券监督管理委员会《公开发行证券的公司信息披露编报规则第 19
号—财务信息的更正及相关披露》等相关规定编制。《鉴证报告》详见公司同日
在指定信息披露媒体巨潮资讯网披露的相关内容。
   五、董事会、监事会关于会计差错更正的意见
   (一)董事会审计委员会意见
   经审核,董事会审计委员会认为:本次会计差错更正暨追溯调整事项符合《企
业会计准则第 28 号——会计政策、会计估计变更和差错更正》《公开发行证券
的公司信息披露编报规则第 19 号——财务信息的更正及相关披露》等相关规定
和要求,更正后的信息能够更加客观、准确地反映公司的财务状况和经营成果,
不存在损害公司及股东利益的情形。
   审计委员会全体委员同意本次前期会计差错更正暨追溯调整事项,并同意将
该议案提交公司第五届董事会第三十六次会议审议。
   (二)董事会意见
   公司董事会认为:公司本次对前期会计差错进行更正暨追溯调整,是公司根
据《企业会计准则第 28 号——会计政策、会计估计变更和差错更正》、《公开
发行证券的公司信息披露编报规则第 19 号——财务信息的更正及相关披露》等
相关规定做出的审慎决策,符合相关规定。因此,董事会同意本次会计差错更正
暨追溯调整。
   (三)监事会意见
   监事会认为:公司本次对前期会计差错进行更正暨追溯调整符合《企业会计
准则第 28 号——会计政策、会计估计变更和差错更正》、《公开发行证券的公
司信息披露编报规则第 19 号——财务信息的更正及相关披露》等相关规定。因
此,监事会同意本次会计差错更正暨追溯调整。
   七、备查文件
字[2024]361Z0373 号);
   特此公告。
                           红相股份有限公司董事会

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