ST康美:关于2020年第一季度报告更正的公告

来源:巨灵信息 2020-06-18 00:00:00
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                康美药业股份有限公司
         关于 2020 年第一季度报告更正的公告
         本公司董事会及全体董事保证本公告内容不存在任何虚假记载、误导性陈述
  或者重大遗漏,并对其内容的真实性、准确性和完整性承担个别及连带责任。



  重要内容提示:
         本 次 更 正 对 公 司 的 影 响 : 公 司 2020 年 第 一 季 度 末 总 资 产 减 少
         900,038,025.40 元、归属于上市公司股东的净资产减少 1,294,843,703.21
         元。


         康美药业股份有限公司(以下简称“公司”)于 2020 年 4 月 30 日披露了未
  经审计的《2020 年第一季度报告》,现根据立信会计师事务所(特殊普通合伙)
  审计后的财务数据,公司调整了 2020 年一季度报告的相关期初数据,本次调整
  不涉及 2020 年第一季度当期损益调整事项,现更正说明如下:
         一、“二、公司基本情况-2.1 主要财务数据”的更正
         更正前                                              单位: 元 币种: 人民币

                                                                          本报告期末比上年度
                                    本报告期末            上年度末
                                                                              末增减(%)
总资产                            64,499,162,545.51   65,486,266,780.41                  -1.51
归属于上市公司股东的净资产        21,513,842,881.72   21,810,117,716.82                  -1.36
                                                      上年初至上年报告
                                  年初至报告期末                          比上年同期增减(%)
                                                            期末
经营活动产生的现金流量净额           202,816,854.80      673,948,510.00                 -69.91
                                                      上年初至上年报告
                                  年初至报告期末                          比上年同期增减(%)
                                                            期末

                                            1
        营业收入                        1,169,797,352.35          4,901,637,810.85                        -76.13
        归属于上市公司股东的净利润       -296,629,325.33             65,585,395.95                       -552.28
        归属于上市公司股东的扣除非
                                         -323,384,339.40             15,621,190.26                   -2,170.16
        经常性损益的净利润
        加权平均净资产收益率(%)                      -1.59                       0.26      减少 1.85 个百分点
        基本每股收益(元/股)                         -0.060                      0.013                  -561.54
        稀释每股收益(元/股)                         -0.060                      0.013                  -561.54


                  更正后                                                   单位: 元 币种: 人民币

                                                                                           本报告期末比上年度
                                         本报告期末                   上年度末
                                                                                               末增减(%)
        总资产                           63,599,124,520.11         64,586,228,755.01                        -1.53
        归属于上市公司股东的净资产       20,218,999,178.51         20,515,274,013.61                        -1.44
                                                                 上年初至上年报告
                                       年初至报告期末                                       比上年同期增减(%)
                                                                       期末
        经营活动产生的现金流量净额        202,816,854.80            673,948,510.00                        -69.91
                                                                 上年初至上年报告
                                       年初至报告期末                                      比上年同期增减(%)
                                                                       期末
        营业收入                        1,169,797,352.35          4,901,637,810.85                        -76.13
        归属于上市公司股东的净利润       -296,629,325.33             65,585,395.95                       -552.28
        归属于上市公司股东的扣除非
                                         -323,384,339.40             15,621,190.26                   -2,170.16
        经常性损益的净利润
        加权平均净资产收益率(%)                      -1.73                       0.26      减少 1.99 个百分点
        基本每股收益(元/股)                          -0.06                      0.013                  -561.54
        稀释每股收益(元/股)                          -0.06                      0.013                  -561.54


                  二、“重要事项-3.1 公司主要会计报表项目、财务指标重大变动的情况及
           原因”
                  更正前                                                   单位: 元 币种: 人民币

 号                   项目             期末余额                 期初余额                  增加额         增减率%
 1     应收账款融资                       6,728,473.95                                    6,728,473.95
 2     无形资产                       1,293,561,515.74         1,977,378,272.52       -683,816,756.78      -34.58
 3     短期借款                       3,398,728,473.95     12,756,637,734.66        -9,357,909,260.71      -73.36
 4     应付职工薪酬                     53,770,954.51            85,423,975.92         -31,653,021.41      -37.05
 5     一年内到期的非流动负债                                  1,498,831,000.00     -1,498,831,000.00
 6     长期借款                      12,046,661,890.34         2,188,752,629.63      9,857,909,260.71      450.39
 7     递延所得税负债                       194,522.27               81,982.72              112,539.55     137.27
序号                  项目             本期金额                 上期金额                  增加额         增减率
 8     营业收入                       1,169,797,352.35         4,901,637,810.85     -3,731,840,458.50      -76.13
 9     营业成本                         835,387,976.74         3,575,908,591.88     -2,740,520,615.14      -76.64
 10 税金及附加                          18,077,636.96            103,229,159.09        -85,151,522.13      -82.49
                                                  2
 11 销售费用                            105,262,715.34      369,254,611.00     -263,991,895.66         -71.49
 12 管理费用                            149,705,523.62      287,420,851.40     -137,715,327.78         -47.91
 13 研发费用                            14,436,906.09         21,522,150.98      -7,085,244.89         -32.92
 14 其他收益                            13,380,089.82         60,648,598.49      -47,268,508.67        -77.94
 15 投资收益                            -1,026,122.21         38,835,826.96      -39,861,949.17       -102.64
 16 信用减值损失                          7,879,959.07      -11,866,166.56       19,746,125.63        -166.41
 17 资产减值损失                          -613,538.60                               -613,538.60
 18 资产处置收益                          2,072,847.72           -90,794.85        2,163,642.57       2383.00
 19 营业外收入                          23,688,276.12          4,290,936.47      19,397,339.65         452.05
 20 营业外支出                            1,198,559.13         4,712,896.78      -3,514,337.65         -74.57
 21 经营活动产生的现金流量净额          202,816,854.80      673,948,510.00     -471,131,655.20         -69.91
 22 投资活动产生的现金流量净额        1,090,186,085.73     -186,306,860.97     1,276,492,946.70        685.16



                 更正后                                               单位: 元 币种: 人民币

序号               项目                期末余额            期初余额              增加额             增减率%
 1 应收票据                               14,529,546.44       24,309,023.78         -9,779,477.34      -40.23
 2 无形资产                             1,338,644,803.48    2,022,461,560.26      -683,816,756.78      -33.81
 3 其他非流动资产                           7,261,679.89      33,169,355.88        -25,907,675.99      -78.11
 4 短期借款                             3,453,420,105.27   12,811,329,365.98    -9,357,909,260.71      -73.04
 5 应付职工薪酬                           54,235,125.17       85,888,146.58        -31,653,021.41      -36.85
 6 长期借款                            11,946,661,890.34    2,088,752,629.63     9,857,909,260.71      471.95
 7 递延所得税负债                            194,522.27           81,982.72           112,539.55       137.27
序号               项目                本期金额            上期金额              增加额             增减率
 8 营业收入                             1,169,797,352.35    4,901,637,810.85    -3,731,840,458.50      -76.13
 9 营业成本                              835,387,976.74     3,575,908,591.88    -2,740,520,615.14      -76.64
 10 税金及附加                            18,077,636.96      103,229,159.09        -85,151,522.13      -82.49
 11 销售费用                             105,262,715.34      369,254,611.00       -263,991,895.66      -71.49
 12 管理费用                             149,705,523.62      287,420,851.40       -137,715,327.78      -47.91
 13 研发费用                              14,436,906.09       21,522,150.98         -7,085,244.89      -32.92
 14 其他收益                              13,380,089.82       60,648,598.49        -47,268,508.67      -77.94
 15 投资收益                               -1,026,122.21      38,835,826.96        -39,861,949.17     -102.64
 16 信用减值损失                            7,879,959.07      -11,866,166.56       19,746,125.63       166.41
 17 资产减值损失                            -613,538.60                              -613,538.60
 18 资产处置收益                         128,931,497.04           -90,794.85      129,022,291.89 142103.09
 19 营业外收入                            23,688,276.12         4,290,936.47       19,397,339.65       452.05
 20 营业外支出                              1,198,559.13        4,712,896.78        -3,514,337.65      -74.57
 21 经营活动产生的现金流量净额           202,816,854.80      673,948,510.00       -471,131,655.20      -69.91
 22 投资活动产生的现金流量净额          1,090,186,085.73     -186,306,860.97     1,276,492,946.70      685.16



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                                                 康美药业股份有限公司
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