*ST慧辰: 关于前期会计差错更正及追溯调整的公告

来源:证券之星 2024-01-31 00:00:00
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证券代码:688500     证券简称:*ST 慧辰    公告编号:2024-004
              北京慧辰资道资讯股份有限公司
  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、准确性和完整性依法承担法律责任。
  重要内容提示:
  北京慧辰资道资讯股份有限公司(下称或“公司”)本次对前期会计差错采
用追溯重述法进行更正,对 2018 年至 2022 年度财务报表进行会计差错更正及追
溯调整,同时对 2023 年一季度至三季度的财务报表的影响一并追溯调整。现将
具体事项公告如下:
一、前期会计差错更正的原因
  公司于 2023 年 12 月 22 日收到中国证券监督管理委员会北京监管局下发的
《行政处罚决定书》
        ([2023]9 号)
                  (以下简称“决定书”)。具体请见公司披露的
《关于收到<行政处罚决定书>的公告》
                 (公告编号:2023-098)。根据决定书所认
定的情况,公司对相关年度财务报告数据进行了严格自查,并针对决定书中涉及
的事项进行相关整改工作。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》及中国证监会《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》的相关规定和要求,公司以决定书为依据,
结合公司自查情况,对前期会计差错采用追溯重述法进行更正。公司于 2024 年
了《关于前期会计差错更正及追溯调整的议案》,全体董事及监事均一致同意该
议案,公司独立董事对该议案发表了一致同意的独立意见。
二、 前期会计差错对公司财务状况和经营成果的影响
  公司对上述会计差错采用追溯重述法进行更正,追溯调整相关年度财务报表
的相关项目。具体情况如下:
(一)对 2018 年度财务报表的影响(单位:元)
  报表项目
                    调整前             调整金额               调整后
 衍生金融资产           95,200.00      26,489,000.00     26,584,200.00
 流动资产合计       575,543,353.30     26,489,000.00    602,032,353.30
 长期股权投资        79,963,452.76    -32,042,075.23     47,921,377.53
 递延所得税资产         712,390.46       3,973,158.23      4,685,548.69
 非流动资产合计      106,531,832.92    -28,068,917.00     78,462,915.92
   资产总计       682,075,186.22     -1,579,917.00    680,495,269.22
 递延所得税负债                          3,973,350.00      3,973,350.00
 非流动负债合计                          3,973,350.00      3,973,350.00
   负债合计       140,678,538.25      3,973,350.00    144,651,888.25
  未分配利润        87,559,570.49     -5,553,267.00     82,006,303.49
 归属于母公司股
  东权益合计
 股东权益合计       541,396,647.97    -5,553,267.00     535,843,380.97
 负债和股东权益
    总计
  报表项目
                  调整前              调整金额               调整后
  资产减值损失       1,425,012.58     26,487,721.55     27,912,734.13
   投资收益       17,822,897.18     -5,554,353.68     12,268,543.50
 公允价值变动收
            -140,900.00         26,489,000.00     26,348,100.00
     益
  二、营业利润   75,807,968.65        -5,553,075.23     70,254,893.42
  三、利润总额   75,791,944.20        -5,553,075.23     70,238,868.97
 减:所得税费用   12,576,232.42            191.77        12,576,424.19
  四、净利润    63,215,711.78        -5,553,267.00     57,662,444.78
 归属于母公司股
  东的净利润
六、综合收益总额   63,439,553.96        -5,553,267.00     57,886,286.96
 归属于母公司股
 东的综合收益总   61,474,276.43        -5,553,267.00     55,921,009.43
     额
  报表项目
                   调整前              调整金额               调整后
衍生金融资产           95,200.00       26,489,000.00     26,584,200.00
流动资产合计        418,423,369.20     26,489,000.00    444,912,369.20
长期股权投资        208,936,870.61    -32,042,075.23    176,894,795.38
递延所得税资产         361,021.83        3,973,158.23      4,334,180.06
非流动资产合计       211,748,894.78    -28,068,917.00    183,679,977.78
  资产总计      630,172,263.98    -1,579,917.00     628,592,346.98
 递延所得税负债                       3,973,350.00      3,973,350.00
 非流动负债合计                       3,973,350.00      3,973,350.00
  负债合计      130,589,143.85     3,973,350.00     134,562,493.85
 未分配利润/(未
     弥       4,976,453.03     -5,553,267.00      -576,813.97
   补亏损)
 股东权益合计     499,583,120.13    -5,553,267.00     494,029,853.13
 负债和股东权益
    总计
  报表项目
                调整前             调整金额               调整后
 资产减值损失       789,638.96      26,487,721.55     27,277,360.51
加:公允价值变动
             -140,900.00      26,489,000.00     26,348,100.00
    收益
   投资收益     17,136,974.29     -5,554,353.68     11,582,620.61
 二、营业利润     37,242,735.08     -5,553,075.23     31,689,659.85
 三、利润总额     37,242,683.59     -5,553,075.23     31,689,608.36
减:所得税费用      3,689,156.89         191.77         3,689,348.66
  四、净利润     33,553,526.70     -5,553,267.00     28,000,259.70
六、综合收益总额    33,553,526.70     -5,553,267.00     28,000,259.70
(二)对 2019 年度财务报表的影响(单位:元)
  报表项目
                 调整前              调整金额               调整后
  应收账款      201,714,355.16     -7,408,934.42    194,305,420.74
 其他应收款       14,008,197.43     42,027,000.00     56,035,197.43
流动资产合计      604,922,235.51     34,618,065.58    639,540,301.09
长期股权投资       94,388,866.03    -58,712,123.84     35,676,742.19
递延所得税资产        418,803.38       5,963,936.25      6,382,739.63
非流动资产合计     126,431,997.29    -52,748,187.59     73,683,809.70
  资产总计      731,354,232.80    -18,130,122.01    713,224,110.79
 其他应付款        1,884,758.23       -682,210.90      1,202,547.33
流动负债合计      127,533,174.39       -682,210.90    126,850,963.49
递延所得税负债        265,796.08       6,304,050.00      6,569,846.08
非流动负债合计        265,796.08       6,304,050.00      6,569,846.08
  负债合计      127,798,970.47      5,621,839.10    133,420,809.57
 未分配利润      143,923,058.18    -23,751,961.11    120,171,097.07
归属于母公司股
 东权益合计
股东权益合计      603,555,262.33    -23,751,961.11    579,803,301.22
 负债和股东权益
   总计
  报表项目
                 调整前              调整金额                调整后
 一、营业收入      383,939,430.56    -7,216,981.13     376,722,449.43
 减:营业成本      233,728,897.92      -249,192.03     233,479,705.89
 资产减值损失                        13,512,919.08      13,512,919.08
 信用减值损失      454,293.41          -241,065.58        213,227.83
   投资收益    14,434,003.54       -13,157,129.53      1,276,874.01
 公允价值变动收
             -95,200.00        15,538,000.00     15,442,800.00
     益
 二、营业利润    71,049,296.97       -17,858,772.13    53,190,524.84
 三、利润总额    70,987,563.91       -17,858,772.13    53,128,791.78
 减:所得税费用    9,406,949.91         339,921.98       9,746,871.89
  四、净利润    61,580,614.00       -18,198,694.11    43,381,919.89
 归属于母公司股
  东的净利润
六、综合收益总额   61,819,215.92       -18,198,694.11    43,620,521.81
 归属于母公司股
 东的综合收益总   61,027,999.37       -18,198,694.11    42,829,305.26
     额
  报表项目
                  调整前              调整金额               调整后
   应收账款      108,278,462.47     -7,408,934.42    100,869,528.05
  其他应收款       17,170,305.58     42,027,000.00     59,197,305.58
 流动资产合计      400,310,961.49     34,618,065.58    434,929,027.07
 长期股权投资      229,101,218.66    -58,712,123.84    170,389,094.82
 递延所得税资产                         5,963,936.25      5,963,936.25
 非流动资产合计     237,831,352.15    -52,748,187.59    185,083,164.56
   资产总计      638,142,313.64    -18,130,122.01    620,012,191.63
  其他应付款       12,393,379.52       -682,210.90     11,711,168.62
 流动负债合计       93,894,901.38       -682,210.90     93,212,690.48
 递延所得税负债        265,796.08       6,304,050.00      6,569,846.08
 非流动负债合计        265,796.08       6,304,050.00      6,569,846.08
   负债合计       94,160,697.46      5,621,839.10     99,782,536.56
 未分配利润/(未
  弥补亏损)
 股东权益合计      543,981,616.18    -23,751,961.11    520,229,655.07
 负债和股东权益
    总计
  报表项目
                调整前             调整金额               调整后
 一、营业收入     228,658,455.44    -7,216,981.13    221,441,474.31
 减:营业成本     151,369,767.52     -249,192.03     151,120,575.49
 信用减值损失       -86,386.04       -241,065.58       -327,451.62
 资产减值损失                       13,512,919.08     13,512,919.08
加:公允价值变动
              -95,200.00      15,538,000.00    15,442,800.00
    收益
   投资收益     24,375,483.87    -13,157,129.53    11,218,354.34
 二、营业利润     45,283,459.67    -17,858,772.13    27,424,687.54
 三、利润总额     45,282,626.83    -17,858,772.13    27,423,854.70
减:所得税费用      1,023,529.22      339,921.98       1,363,451.20
  四、净利润     44,259,097.61    -18,198,694.11    26,060,403.50
六、综合收益总额    44,259,097.61    -18,198,694.11    26,060,403.50
(三) 对 2020 年半年度财务报表的影响(单位:元)
  报表项目
                 调整前             调整金额               调整后
   应收账款     215,287,545.32    -7,956,611.61    207,330,933.71
  其他应收款      19,986,850.70    42,027,000.00     62,013,850.70
 流动资产合计     601,238,350.43    34,070,388.39    635,308,738.82
 长期股权投资      96,067,997.94    -62,013,364.87    34,054,633.07
 递延所得税资产       696,743.52      5,968,432.96      6,665,176.48
 非流动资产合计    127,671,480.13    -56,044,931.91    71,626,548.22
   资产总计     728,909,830.56    -21,974,543.52   706,935,287.04
   应交税费      12,314,785.83      232,300.89      12,547,086.72
  其他应付款       1,591,000.51     1,666,742.36      3,257,742.87
 流动负债合计     111,665,096.13     1,899,043.25    113,564,139.38
 递延所得税负债       676,668.34      6,304,050.00      6,980,718.34
 非流动负债合计       676,668.34      6,304,050.00      6,980,718.34
   负债合计     112,341,764.47     8,203,093.25    120,544,857.72
  未分配利润     155,022,179.49    -30,177,636.77   124,844,542.72
 归属于母公司所
有者权益(或股东    609,086,086.94   -30,177,636.77    578,908,450.17
  权益)合计
所有者权益(或股
 东权益)合计
 负债和所有者权
益(或股东权益)    728,909,830.56   -21,974,543.52    706,935,287.04
    总计
  报表项目                       2020 年 1-6 月
                 调整前             调整金额               调整后
一、营业总收入      147,785,533.53    -3,318,584.07    144,466,949.46
其中:营业收入      147,785,533.53    -3,318,584.07    144,466,949.46
二、营业总成本      135,754,372.08     -219,630.81     135,534,741.27
其中:营业成本       90,446,215.84     -219,630.81      90,226,585.03
投资收益(损失
以“-”号填列)
其中:对联营企
业和合营企业的       1,679,131.91     -3,301,241.03    -1,622,109.12
    投资收益
  信用减值损失
 (损失以“-”     -2,137,504.50      -29,978.08      -2,167,482.58
    号填列)
三、营业利润(亏
损以“-”号填      13,897,807.45     -6,430,172.37     7,467,635.08
     列)
四、利润总额(亏
损总额以“-”      13,913,432.28     -6,430,172.37     7,483,259.91
    号填列)
减:所得税费用       1,233,112.89       -4,496.71       1,228,616.18
五、净利润(净
亏损以“-”号      12,680,319.39     -6,425,675.66     6,254,643.73
     填列)
  润(净亏损以     12,680,319.39     -6,425,675.66     6,254,643.73
“-”号填列)
  股东的净利润
(净亏损以“-”
    号填列)
七、综合收益总
      额
(一)归属于母
公司所有者的综      11,431,605.68     -6,425,675.66     5,005,930.02
   合收益总额
(一)基本每股
   收益(元/股)
(二)稀释每股
   收益(元/股)
  报表项目
                  调整前             调整金额               调整后
销售商品、提供劳
 务收到的现金
收到其他与经营
活动有关的现金
  报表项目
              调整前                 调整金额               调整后
  未分配利润   155,022,179.49       -30,177,636.77    124,844,542.72
 所有者权益合计  616,568,066.09       -30,177,636.77    586,390,429.32
  报表项目
                  调整前             调整金额                调整后
   应收账款      110,807,431.21    -7,956,611.61     102,850,819.60
  其他应收款       23,802,968.69    42,027,000.00      65,829,968.69
 流动资产合计      388,236,467.33    34,070,388.39     422,306,855.72
 长期股权投资      230,916,717.83    -62,013,364.87    168,903,352.96
 递延所得税资产                        5,968,432.96       5,968,432.96
 非流动资产合计     239,172,727.99    -56,044,931.91    183,127,796.08
   资产总计      627,409,195.32    -21,974,543.52    605,434,651.80
   应交税费        5,395,732.31      232,300.89        5,628,033.20
  其他应付款       12,347,251.41     1,666,742.36      14,013,993.77
 流动负债合计       80,098,624.45     1,899,043.25      81,997,667.70
 递延所得税负债        676,668.34      6,304,050.00       6,980,718.34
 非流动负债合计        676,668.34      6,304,050.00       6,980,718.34
   负债合计       80,775,292.79     8,203,093.25      88,978,386.04
  未分配利润       47,461,927.23    -30,177,636.77     17,284,290.46
所有者权益(或股
 东权益)合计
 负债和所有者权
益(或股东权益)     627,409,195.32   -21,974,543.52     605,434,651.80
    总计
  报表项目
                 调整前            调整金额               调整后
 一、营业收入      76,186,183.82    -3,318,584.07     72,867,599.75
 减:营业成本      49,829,480.36     -219,630.81      49,609,849.55
投资收益(损失
 以“-”号填      1,815,499.17     -3,301,241.03     -1,485,741.86
   列)
其中:对联营企
业和合营企业的      1,815,499.17     -3,301,241.03     -1,485,741.86
  投资收益
 信用减值损失
              -726,451.57      -29,978.08        -756,429.65
(损失以“-”号
   填列)
二、营业利润(亏
损以“-”号填   1,704,168.74        -6,430,172.37     -4,726,003.63
    列)
三、利润总额(亏
损总额以“-”   1,704,168.74        -6,430,172.37     -4,726,003.63
  号填列)
减:所得税费用    -948,117.61          -4,496.71        -952,614.32
四、净利润(净
亏损以“-”号   2,652,286.35        -6,425,675.66     -3,773,389.31
   填列)
六、综合收益总
     额
  报表项目
                 调整前             调整金额                调整后
销售商品、提供劳
 务收到的现金
收到其他与经营
活动有关的现金
  报表项目
                  调整前             调整金额               调整后
 未分配利润        47,461,927.23    -30,177,636.77     17,284,290.46
所有者权益合计      546,633,902.53    -30,177,636.77    516,456,265.76
(四)对 2020 年第三季度财务报表的影响(单位:元)
  报表项目
                  调整前             调整金额                调整后
  应收账款       216,547,884.46    -7,978,967.35     208,568,917.11
 其他应收款        38,169,551.16    42,027,000.00      80,196,551.16
流动资产合计      1,177,482,407.73   34,048,032.65    1,211,530,440.38
长期股权投资        85,072,994.04   -62,564,924.67      22,508,069.37
递延所得税资产         767,755.94      5,971,786.32       6,739,542.26
非流动资产合计      116,441,245.20   -56,593,138.35      59,848,106.85
  资产总计      1,293,923,652.93 -22,545,105.70     1,271,378,547.23
  应交税费        10,964,038.13      232,300.89       11,196,339.02
 其他应付款         1,385,110.29     1,665,648.36       3,050,758.65
流动负债合计       108,909,188.72     1,897,949.25     110,807,137.97
递延所得税负债        1,075,712.44     6,304,050.00       7,379,762.44
非流动负债合计        1,075,712.44     6,304,050.00       7,379,762.44
   负债合计   109,984,901.16       8,201,999.25     118,186,900.41
  未分配利润   161,856,426.16      -30,747,104.95    131,109,321.21
 归属于母公司所
有者权益(或股东 1,175,888,743.02     -30,747,104.95   1,145,141,638.07
  权益)合计
所有者权益(或股
 东权益)合计
 负债和所有者权
益(或股东权益) 1,293,923,652.93     -22,545,105.70   1,271,378,547.23
    总计
  报表项目
                 调整前            调整金额               调整后
 一、营业收入      227,177,073.09   -3,318,584.07    223,858,489.02
其中:营业收入      227,177,073.09   -3,318,584.07    223,858,489.02
二、营业总成本      210,841,494.89    -220,724.81     210,620,770.08
其中:营业成本      139,890,296.57    -220,724.81     139,669,571.76
投资收益(损失
      以       3,774,249.02    -3,852,800.83      -78,551.81
“-”号填列)
其中:对联营企
      业
和合营企业的投
    资收益
 信用减值损失
     (损
             -2,375,923.74     -52,333.82      -2,428,257.56
失以“-”号填
     列)
三、营业利润(亏
损以“-”号填      21,143,294.29    -7,002,993.91    14,140,300.38
     列)
四、利润总额(亏
损总额以“-”      20,862,722.78    -7,002,993.91    13,859,728.87
   号填列)
减:所得税费用        780,127.11       -7,850.07        772,277.04
五、净利润(净
亏损以“-”号      20,082,595.67    -6,995,143.84    13,087,451.83
    填列)
 润(净亏损以      20,082,595.67    -6,995,143.84    13,087,451.83
“-”号填列)
 股东的净利润      17,933,367.98    -6,995,143.84    10,938,224.14
(净亏损以“-”
   号填列)
七、综合收益总
     额
(一)归属于母
公司所有者的综   18,058,422.23       -6,995,143.84    11,063,278.39
  合收益总额
(一)基本每股
  收益(元/股)
(二)稀释每股
  收益(元/股)
  报表项目
                 调整前             调整金额               调整后
销售商品、提供劳
 务收到的现金
收到其他与经营
活动有关的现金
  报表项目
                   调整前             调整金额            调整后
   应收账款       108,568,626.17    -7,978,967.35 100,589,658.82
  其他应收款        41,927,985.98    42,027,000.00  83,954,985.98
 流动资产合计       960,627,685.06    34,048,032.65 994,675,717.71
 长期股权投资       219,871,820.38   -62,564,924.67 157,306,895.71
 递延所得税资产                         5,971,786.32   5,971,786.32
 非流动资产合计      227,677,007.20   -56,593,138.35 171,083,868.85
   资产总计      1,188,304,692.26 -22,545,105.70 1,165,759,586.56
   应交税费         3,642,863.78      232,300.89    3,875,164.67
  其他应付款        12,155,272.94     1,665,648.36  13,820,921.30
 流动负债合计        78,025,451.96     1,897,949.25  79,923,401.21
 递延所得税负债        1,075,712.44     6,304,050.00   7,379,762.44
 其他非流动负债        1,075,712.44     6,304,050.00   7,379,762.44
   负债合计        79,101,164.40     8,201,999.25  87,303,163.65
  未分配利润        49,628,788.68   -30,747,104.95  18,881,683.73
所有者权益(或股
 东权益)合计
 负债和所有者权
益(或股东权益) 1,188,304,692.26     -22,545,105.70   1,165,759,586.56
    总计
  报表项目
                调整前             调整金额              调整后
 一、营业收入  118,116,414.07       -3,318,584.07    114,797,830.00
 减:营业成本   77,866,689.41        -220,724.81      77,645,964.60
投资收益(损失
以“-”号填列)
其中:对联营企
业和合营企业的    1,810,601.72       -3,852,800.83    -2,042,199.11
  投资收益
 信用减值损失
(损失以“-”     -891,584.28        -52,333.82       -943,918.10
  号填列)
二、营业利润(亏
损以“-”号填    1,815,543.40       -7,002,993.91    -5,187,450.51
   列)
三、利润总额(亏
损总额以“-”    1,815,619.70       -7,002,993.91    -5,187,374.21
  号填列)
减:所得税费用   -3,003,528.10         -7,850.07      -3,011,378.17
四、净利润(净
亏损以“-”号    4,819,147.80       -6,995,143.84    -2,175,996.04
   填列)
(一)持续经营
净利润(净亏损    4,819,147.80       -6,995,143.84    -2,175,996.04
以“-”号填列)
六、综合收益总
    额
  报表项目
                 调整前             调整金额               调整后
销售商品、提供劳
 务收到的现金
收到其他与经营
活动有关的现金
(五)对 2020 年度财务报表的影响(单位:元)
  报表项目
                  调整前             调整金额              调整后
 衍生金融资产          67,000.00     31,698,000.00    31,765,000.00
   应收账款      265,575,684.10   -57,293,906.07   208,281,778.03
  其他应收款       10,846,901.90    76,127,996.17    86,974,898.07
    存货        23,175,338.52     1,804,610.05    24,979,948.57
 其他流动资产        4,479,199.52      424,528.30      4,903,727.82
 流动资产合计     1,241,266,518.80   52,761,228.45  1,294,027,747.25
    商誉       172,000,833.61    -120,006,968.25     51,993,865.36
 递延所得税资产       2,292,395.49        -44,235.40       2,248,160.09
 非流动资产合计     187,784,083.23    -120,051,203.65     67,732,879.58
   资产总计     1,429,050,602.03    -67,289,975.20   1,361,760,626.83
   应付账款      118,142,143.43      -6,909,037.73    111,233,105.70
   应交税费       26,696,676.11       -279,000.00      26,417,676.11
  其他应付款        6,199,121.53      38,930,454.23     45,129,575.76
 流动负债合计      166,356,860.60      31,742,416.50    198,099,277.10
 递延所得税负债       1,062,574.01      11,058,750.00     12,121,324.01
 非流动资产合计       1,062,574.01      11,058,750.00     12,121,324.01
   负债合计      167,419,434.61      42,801,166.50    210,220,601.11
  未分配利润      215,007,997.52     -87,059,172.41    127,948,825.11
 归属于母公司所
有者权益(或股东    1,231,214,111.34   -87,059,172.41    1,144,154,938.93
  权益)合计
 少数股东权益      30,417,056.08     -23,031,969.29      7,385,086.79
所有者权益(或股
 东权益)合计
 负债和所有者权
益(或股东权益)    1,429,050,602.03   -67,289,975.20    1,361,760,626.83
    总计
  报表项目
                 调整前              调整金额                调整后
 一、营业收入      389,342,428.64    -43,968,083.17     345,374,345.47
其中:营业收入      389,342,428.64    -43,968,083.17     345,374,345.47
二、营业总成本      336,327,965.31    -11,682,214.84     324,645,750.47
其中:营业成本      229,994,893.33    -11,682,214.84     218,312,678.49
投资收益(损失以
“-”号填列)
其中:对联营企业
和合营企业的投    2,915,746.97         -4,672,057.02     -1,756,310.05
   资收益
公允价值变动收
益(损失以“-”   5,114,996.96         31,698,000.00     36,812,996.96
  号填列)
信用减值损失(损
          -6,476,433.23          921,116.45       -5,555,316.78
失以“-”号填列)
资产减值损失(损
            -22,603.61         -56,622,787.39     -56,645,391.00
失以“-”号填列)
三、营业利润(亏
损以“-”号填列)
四、利润总额(亏 100,452,150.05        -60,961,596.29     39,490,553.76
损总额以“-”号
     填列)
 减:所得税费用      15,097,767.57    10,762,871.65    25,860,639.22
五、净利润(净亏
损以“-”号填列)
(净亏损以“-”      85,354,382.48    -71,724,467.94   13,629,914.54
    号填列)
东的净利润(净亏      73,701,204.45    -63,307,211.30   10,393,993.15
损以“-”号填列)
(净亏损以“-”      11,653,178.03    -8,417,256.64     3,235,921.39
    号填列)
七、综合收益总额      84,810,044.23    -71,724,467.94   13,085,576.29
(一)归属于母公
 司所有者的综合      73,156,866.20    -63,307,211.30    9,849,654.90
    收益总额
(二)归属于少数
 股东的综合收益      11,653,178.03    -8,417,256.64     3,235,921.39
      总额
(一)基本每股收
    益(元/股)
(二)稀释每股收
    益(元/股)
  报表项目
                  调整前             调整金额             调整后
销售商品、提供劳
 务收到的现金
收到其他与经营
活动有关的现金
购买商品、接受劳
 务支付的现金
支付其他与经营
活动有关的现金
  报表项目
                  调整前             调整金额             调整后
 未分配利润        215,007,997.52   -87,059,172.41  127,948,825.11
少数股东权益         30,417,056.08   -23,031,969.29   7,385,086.79
所有者权益合计      1,261,631,167.42 -110,091,141.70 1,151,540,025.72
  报表项目
                   调整前               调整金额           调整后
 衍生金融资产           67,000.00      31,698,000.00  31,765,000.00
   应收账款        84,778,628.47     -3,734,097.37  81,044,531.10
  其他应收款        12,214,492.02     42,027,000.00  54,241,492.02
 流动资产合计       925,129,388.61     69,990,902.63 995,120,291.24
 长期股权投资       318,173,778.78   -149,109,700.00 169,064,078.78
 递延所得税资产                            -44,235.40    -44,235.40
 非流动资产合计      326,454,049.63   -149,153,935.40 177,300,114.23
   资产总计      1,251,583,438.24 -79,163,032.77 1,172,420,405.47
   应交税费         6,158,927.94       -279,000.00   5,879,927.94
  其他应付款        30,839,269.26      6,578,855.91  37,418,125.17
 流动负债合计       119,973,833.08      6,299,855.91 126,273,688.99
 递延所得税负债        1,062,574.01     11,058,750.00  12,121,324.01
 非流动负债合计        1,062,574.01     11,058,750.00  12,121,324.01
   负债合计       121,036,407.09     17,358,605.91 138,395,013.00
  未分配利润        68,356,026.86    -96,521,638.68 -28,165,611.82
所有者权益(或股
 东权益)合计
 负债和所有者权
益(或股东权益) 1,251,583,438.24     -79,163,032.77   1,172,420,405.47
    总计
  报表项目
                 调整前            调整金额                调整后
 一、营业收入      176,396,350.00   -3,581,791.62     172,814,558.38
 减:营业成本      132,911,765.79    -220,724.81      132,691,040.98
投资收益(损失以
“-”号填列)
其中:对联营企业
和合营企业的投       2,786,383.81    -4,672,057.02     -1,885,673.21
   资收益
公允价值变动收
益(损失以“-”      5,114,996.96    31,698,000.00     36,812,996.96
  号填列)
信用减值损失(损
              -1,550,939.21     53,837.05       -1,497,102.16
失以“-”号填列)
资产减值损失(损
               -20,795.48     -85,725,519.14    -85,746,314.62
失以“-”号填列)
二、营业利润(亏
损以“-”号填列)
三、利润总额(亏      26,959,429.02   -62,006,805.92    -35,047,376.90
损总额以“-”号
   填列)
 减:所得税费用     796,777.93        10,762,871.65       11,559,649.58
四、净利润(净亏
损以“-”号填列)
(一)持续经营净
 利润(净亏损以   26,162,651.09       -72,769,677.57     -46,607,026.48
 “-”号填列)
六、综合收益总额   26,162,651.09       -72,769,677.57     -46,607,026.48
  报表项目
                 调整前              调整金额                调整后
销售商品、提供劳
 务收到的现金
 收到其他与经营
 活动有关的现金
  报表项目
                  调整前             调整金额             调整后
 未分配利润         68,356,026.86   -96,521,638.68  -28,165,611.82
所有者权益合计      1,130,547,031.15 -96,521,638.68 1,034,025,392.47
(六)对 2021 年第一季度财务报表的影响(单位:元)
 报表项目
             调整前                调整金额              调整后
衍生金融资产      67,000.00        31,698,000.00    31,765,000.00
 应收账款   268,482,787.66      -57,761,387.72   210,721,399.94
 其他应收款   14,966,887.25       76,127,996.17    91,094,883.42
  存货     27,264,474.70        1,804,610.04    29,069,084.74
其他流动资产    6,228,751.18         424,528.30      6,653,279.48
流动资产合计 1,197,871,043.05      52,293,746.79  1,250,164,789.84
  商誉    172,000,833.61     -120,006,968.25    51,993,865.36
递延所得税资
   产
非流动资产合
   计
 资产总计  1,388,901,457.57    -67,758,668.03      1,321,142,789.54
 应付账款    99,067,808.87      -6,836,867.92        92,230,940.95
 应交税费     8,976,959.90       -279,000.00          8,697,959.90
 其他应付款    5,921,529.37      38,858,284.41        44,779,813.78
流动负债合计 125,037,512.06       31,742,416.49       156,779,928.55
递延所得税负     668,577.80       11,058,750.00        11,727,327.80
    债
非流动负债合
    计
  负债合计   125,706,089.86         42,801,166.49      168,507,256.35
 未分配利润   213,877,913.88        -87,385,198.40      126,492,715.48
归属于母公司
 所有者权益
 (或股东权
  益)合计
少数股东权益    33,123,948.78        -23,174,636.12       9,949,312.66
 所有者权益
 (或股东权 1,263,195,367.71        -110,559,834.52    1,152,635,533.19
  益)合计
负债和所有者
权益(或股东 1,388,901,457.57        -67,758,668.03     1,321,142,789.54
 权益)总计
   报表项目
                  调整前                调整金额                调整后
信用减值损失(损
失以“-”号填列)
三、营业利润(亏
               -3,208,007.25        -467,481.65       -3,675,488.90
损以“-”号填列)
四、利润总额(亏
损总额以“-”号       -3,211,198.06        -467,481.65       -3,678,679.71
     填列)
 减:所得税费用       -1,438,007.09          1,211.17        -1,436,795.92
五、净利润(净亏
               -1,773,190.97        -468,692.82       -2,241,883.79
损以“-”号填列)
(净亏损以“-”       -1,773,190.97        -468,692.82       -2,241,883.79
    号填列)
东的净利润(净亏       -1,130,083.64        -326,025.99       -1,456,109.63
损以“-”号填列)
(净亏损以“-”        -643,107.33         -142,666.83        -785,774.16
    号填列)
七、综合收益总额       -1,785,799.74        -468,692.82       -2,254,492.56
(一)归属于母公
 司所有者的综合       -1,142,692.41        -326,025.99       -1,468,718.40
    收益总额
(二)归属于少数
                -643,107.33         -142,666.83        -785,774.16
 股东的综合收益
    总额
(一)基本每股收
                 -0.015           -0.005             -0.02
   益(元/股)
(二)稀释每股收
                 -0.015           -0.005             -0.02
   益(元/股)
  报表项目
                 调整前             调整金额                调整后
购买商品、接受劳
 务支付的现金
支付其他与经营
活动有关的现金
  报表项目
                   调整前              调整金额              调整后
 衍生金融资产           67,000.00     31,698,000.00     31,765,000.00
   应收账款        97,862,515.72    -3,726,022.92     94,136,492.80
  其他应收款        12,667,999.19    42,027,000.00     54,694,999.19
 流动资产合计       885,712,360.71    69,998,977.08    955,711,337.79
 长期股权投资       330,363,614.55  -149,109,700.00    181,253,914.55
 递延所得税资产                           -45,446.57       -45,446.57
 非流动资产合计      340,237,885.22  -149,155,146.57    191,082,738.65
   资产总计      1,225,950,245.93 -79,156,169.49    1,146,794,076.44
   应交税费         3,054,347.79      -279,000.00      2,775,347.79
  其他应付款        26,182,167.65     6,578,855.91     32,761,023.56
 流动负债合计        92,952,956.81     6,299,855.91     99,252,812.72
 递延所得税负债         668,577.80     11,058,750.00     11,727,327.80
 非流动负债合计         668,577.80     11,058,750.00     11,727,327.80
   负债合计        93,621,534.61    17,358,605.91    110,980,140.52
  未分配利润        70,137,707.03   -96,514,775.40    -26,377,068.37
所有者权益(或股
 东权益)合计
 负债和所有者权
益(或股东权益) 1,225,950,245.93     -79,156,169.49    1,146,794,076.44
    总计
  报表项目
                 调整前            调整金额               调整后
信用减值损失(损
              -686,354.61       8,074.45        -678,280.16
失以“-”号填列)
二、营业利润(亏
损以“-”号填列)
三、利润总额(亏
损总额以“-”号      1,387,683.96      8,074.45        1,395,758.41
   填列)
减:所得税费用       -393,996.21       1,211.17        -392,785.04
四、净利润(净亏
损以“-”号填列)
(一)持续经营净
利润(净亏损以       1,781,680.17      6,863.28        1,788,543.45
 “-”号填列)
六、综合收益总额      1,781,680.17      6,863.28        1,788,543.45
(七)对 2021 年半年度财务报表的影响(单位:元)
  报表项目
                   调整前              调整金额              调整后
 衍生金融资产           67,000.00     31,698,000.00     31,765,000.00
   应收账款       296,474,317.06   -57,545,593.22    238,928,723.84
  其他应收款        12,247,722.61    76,127,996.17     88,375,718.78
    存货         28,475,943.14     1,953,985.59     30,429,928.73
 其他流动资产                            401,886.79       401,886.79
 流动资产合计      1,234,279,541.97   52,636,275.33   1,286,915,817.30
    商誉        172,000,833.61  -120,006,968.25     51,993,865.36
递延所得税资产         3,602,095.30       -44,091.09      3,558,004.21
非流动资产合计       215,699,283.81  -120,051,059.34     95,648,224.47
   资产总计      1,449,978,825.78 -67,414,784.01    1,382,564,041.77
   应付账款       115,019,169.65    -5,618,943.40    109,400,226.25
   合同负债         7,105,669.56       732,075.47      7,837,745.03
   应交税费        12,851,556.10      -279,000.00     12,572,556.10
  其他应付款        10,532,960.38    37,640,360.08     48,173,320.46
 流动负债合计       153,292,296.44    32,474,492.15    185,766,788.59
递延所得税负债          269,870.97     11,058,750.00     11,328,620.97
非流动负债合计        21,785,244.18    11,058,750.00     32,843,994.18
   负债合计       175,077,540.62    43,533,242.15    218,610,782.77
  未分配利润       221,626,003.71   -87,659,236.85    133,966,766.86
归属于母公司所
有者权益(或股东 1,237,482,713.53     -87,659,236.85    1,149,823,476.68
  权益)合计
 少数股东权益    37,418,571.63      -23,288,789.31     14,129,782.32
所有者权益(或股
 东权益)合计
负债和所有者权
益(或股东权益)
   总计
  报表项目
                调整前            调整金额              调整后
  一、营业收入    206,512,691.34    -354,717.00    206,157,974.34
 其中:营业收入    206,512,691.34    -354,717.00    206,157,974.34
 二、营业总成本    198,376,086.08    -149,375.38    198,226,710.70
 其中:营业成本    132,631,995.79    -149,375.38    132,482,620.41
信用减值损失(损
      失以    -1,801,299.36     -651,687.15    -2,452,986.51
 “-”号填列)
三、营业利润(亏
损以“-”号填列)
四、利润总额(亏
损总额以“-”号    16,001,725.85     -857,028.77    15,144,697.08
     填列)
 减:所得税费用      754,753.11        -144.31        754,608.80
五、净利润(净亏
损以“-”号填列)
(净亏损以“-”号   15,246,972.74     -856,884.46    14,390,088.28
     填列)
东的净利润(净亏    14,045,457.19     -600,064.44    13,445,392.75
损以“-”号填列)
(净亏损以“-”号    1,201,515.55     -256,820.02      944,695.53
     填列)
七、综合收益总额    14,897,568.74     -856,884.46    14,040,684.28
(一)归属于母公
 司所有者的综合    13,696,053.19     -600,064.44    13,095,988.75
    收益总额
(二)归属于少数
 股东的综合收益     1,201,515.55     -256,820.02      944,695.53
      总额
(一)基本每股收
   益(元/股)
(二)稀释每股收
   益(元/股)
  报表项目
                调整前            调整金额              调整后
购买商品、接受劳    125,173,120.10   -1,407,195.59   123,765,924.51
务支付的现金
支付其他与经营
活动有关的现金
   报表项目
                调整前              调整金额              调整后
  未分配利润    221,626,003.71   -87,659,236.85     133,966,766.86
 少数股东权益     37,418,571.63   -23,288,789.31      14,129,782.32
 所有者权益合计 1,274,901,285.16 -110,948,026.16     1,163,953,259.00
  报表项目
                调整前              调整金额               调整后
 衍生金融资产        67,000.00     31,698,000.00      31,765,000.00
   应收账款    108,459,364.43    -3,735,059.42     104,724,305.01
  其他应收款     17,061,695.30    42,027,000.00      59,088,695.30
 流动资产合计    904,140,911.75    69,989,940.58     974,130,852.33
 长期股权投资    332,871,234.88  -149,109,700.00     183,761,534.88
 递延所得税资产                        -44,091.09        -44,091.09
 非流动资产合计   352,843,507.54  -149,153,791.09     203,689,716.45
   资产总计   1,256,984,419.29 -79,163,850.51     1,177,820,568.78
   应交税费      5,065,527.60      -279,000.00       4,786,527.60
  其他应付款     32,513,656.82     6,578,855.91      39,092,512.73
 流动负债合计    118,279,868.43     6,299,855.91     124,579,724.34
 递延所得税负债      269,870.97     11,058,750.00      11,328,620.97
 非流动负债合计     8,134,522.38    11,058,750.00      19,193,272.38
   负债合计    126,414,390.81    17,358,605.91     143,772,996.72
  未分配利润     68,379,024.19   -96,522,456.42     -28,143,432.23
所有者权益(或股
 东权益)合计
 负债和所有者权
益(或股东权益) 1,256,984,419.29 -79,163,850.51      1,177,820,568.78
    总计
   报表项目
                 调整前             调整金额              调整后
信用减值损失(损
    失以      -1,660,883.32         -962.05      -1,661,845.37
 “-”号填列)
二、营业利润(亏
损以“-”号填列)
三、利润总额(亏
损总额以“-”号
   填列)
 减:所得税费用   -792,703.04            -144.31         -792,847.35
四、净利润(亏损
以“-”号填列)
六、综合收益总额  7,450,448.33            -817.74         7,449,630.59
  报表项目
                  调整前             调整金额               调整后
 未分配利润         68,379,024.19   -96,522,456.42    -28,143,432.23
所有者权益合计      1,130,570,028.48 -96,522,456.42    1,034,047,572.06
(八)对 2021 年第三季度财务报表的影响(单位:元)
  报表项目
                   调整前              调整金额              调整后
 衍生金融资产           67,000.00     31,698,000.00     31,765,000.00
   应收账款       330,446,857.63   -63,211,416.33    267,235,441.30
  其他应收款        13,289,905.92    76,127,996.17     89,417,902.09
    存货         36,724,006.60     6,046,591.98     42,770,598.58
 其他流动资产         6,151,300.00       806,603.77      6,957,903.77
 流动资产合计      1,246,510,075.27   51,467,775.59   1,297,977,850.86
    商誉        184,443,964.12  -120,006,968.25     64,436,995.87
递延所得税资产         4,981,572.07       -44,934.84      4,936,637.23
非流动资产合计       235,124,054.67  -120,051,903.09    115,072,151.58
   资产总计      1,481,634,129.94 -68,584,127.50    1,413,050,002.44
   应付账款       127,919,049.60    -5,618,943.40    122,300,106.20
   合同负债         7,906,978.33       732,075.28      8,639,053.61
   应交税费        15,330,314.37      -279,000.00     15,051,314.37
  其他应付款         4,289,590.23    41,225,360.08     45,514,950.31
 流动负债合计       170,280,974.11    36,059,491.96    206,340,466.07
递延所得税负债          767,829.20     11,058,750.00     11,826,579.20
非流动负债合计        21,318,060.44    11,058,750.00     32,376,810.44
   负债合计       191,599,034.55    47,118,241.96    238,717,276.51
  未分配利润       229,600,438.70   -90,985,842.79    138,614,595.91
归属于母公司所
有者权益(或股东 1,245,781,914.42     -90,985,842.79    1,154,796,071.63
  权益)合计
 少数股东权益    44,253,180.97      -24,716,526.67     19,536,654.30
所有者权益(或股
 东权益)合计
负债和所有者权
益(或股东权益) 1,481,634,129.94     -68,584,127.50    1,413,050,002.44
    总计
  报表项目
                  调整前           调整金额              调整后
 一、营业总收入     330,403,125.37   -7,099,999.83   323,303,125.54
 其中:营业收入     330,403,125.37   -7,099,999.83   323,303,125.54
 二、营业总成本     313,584,917.71   -4,241,981.77   309,342,935.94
 其中:营业成本     206,144,031.43   -4,241,981.77   201,902,049.66
  信用减值损失      -2,990,624.61   -2,752,510.26    -5,743,134.87
三、营业利润(亏
损以“-”号填列)
四、利润总额(亏
损总额以“-”号     26,523,937.67    -5,610,528.32   20,913,409.35
     填列)
 减:所得税费用      2,152,756.01       699.44        2,153,455.45
五、净利润(净亏
   损以“-”     24,371,181.66    -5,611,227.76   18,759,953.90
    号填列)
(净亏损以“-”     24,371,181.66    -5,611,227.76   18,759,953.90
    号填列)
东的净利润(净亏
   损以“-”
    号填列)
(净亏损以“-”      2,351,289.48    -1,684,557.38     666,732.10
    号填列)
七、综合收益总额     24,519,542.23    -5,611,227.76   18,908,314.47
(一)归属于母公
 司所有者的综合     22,168,252.75    -3,926,670.38   18,241,582.37
    收益总额
(二)归属于少数
 股东的综合收益      2,351,289.48    -1,684,557.38     666,732.10
      总额
(一)基本每股收
    益(元/股)
(二)稀释每股收
    益(元/股)
  报表项目
                 调整前            调整金额             调整后
销售商品、提供劳
 务收到的现金
收到其他与经营
活动有关的现金
购买商品、接受劳
 务支付的现金
支付其他与经营
活动有关的现金
(九)对 2021 年度财务报表的影响(单位:元)
  报表项目
                  调整前             调整金额              调整后
   应收账款      275,120,768.82   -63,575,428.18   211,545,340.64
  其他应收款       10,076,444.77    76,127,996.17    86,204,440.94
    存货        39,166,547.67     6,046,591.98    45,213,139.65
 其他流动资产        2,761,724.32      591,509.41      3,353,233.73
 流动资产合计     1,213,201,207.10   19,190,669.38  1,232,391,876.48
 其他非流动金融
    资产
    商誉       133,449,765.83    -98,631,137.33     34,818,628.50
 递延所得税资产      16,127,277.88     -5,587,109.37     10,540,168.51
 非流动资产合计     237,300,402.40    -70,690,976.12    166,609,426.28
   资产总计     1,450,501,609.50   -51,500,306.74   1,399,001,302.76
   应付账款      142,944,045.62     -6,744,098.12    136,199,947.50
   合同负债       15,521,844.06      4,316,981.33     19,838,825.39
   应交税费       19,914,181.67       -279,000.00     19,635,181.67
  其他应付款        9,421,399.76     38,569,196.76     47,990,596.52
 流动负债合计      222,320,219.98     35,863,079.97    258,183,299.95
 递延所得税负债                        11,333,140.59     11,333,140.59
 非流动负债合计      7,985,992.52      11,333,140.59     19,319,133.11
   负债合计      230,306,212.50     47,196,220.56    277,502,433.06
  未分配利润      169,377,694.06    -72,059,953.13     97,317,740.93
 归属于母公司所
有者权益(或股东    1,180,791,573.02   -72,059,953.13   1,108,731,619.89
  权益)合计
 少数股东权益      39,403,823.98     -26,636,574.17    12,767,249.81
所有者权益(或股
 东权益)合计
 负债和所有者权
益(或股东权益)    1,450,501,609.50   -51,500,306.74   1,399,001,302.76
    总计
  报表项目
                 调整前             调整金额                调整后
 一、营业总收入     475,981,997.26   -24,241,284.12   451,740,713.14
 其中:营业收入     475,981,997.26   -24,241,284.12   451,740,713.14
 二、营业总成本     470,747,215.94   -7,013,583.08    463,733,632.86
  其中营业成本     309,980,068.25   -7,013,583.08    302,966,485.17
 公允价值变动收
益(损失以“-”     32,966,785.93     1,829,270.58    34,796,056.51
    号填列)
信用减值损失(损
             -41,329,910.67   11,234,478.50    -30,095,432.17
失以“-”号填列)
资产减值损失(损
             -51,966,333.63   21,375,830.92    -30,590,502.71
失以“-”号填列)
三、营业利润(亏
             -50,069,289.03   17,211,878.96    -32,857,410.07
损以“-”号填列)
四、利润总额(亏
损总额以“-”号     -47,217,364.71   17,211,878.96    -30,005,485.75
     填列)
 减:所得税费用     -8,319,195.18     5,817,264.56    -2,501,930.62
五、净利润(净亏
             -38,898,169.53   11,394,614.40    -27,503,555.13
损以“-”号填列)
(净亏损以“-”     -38,898,169.53   11,394,614.40    -27,503,555.13
    号填列)
东的净利润(净亏     -38,202,852.46   14,999,219.28    -23,203,633.18
损以“-”号填列)
(净亏损以“-”号     -695,317.07     -3,604,604.88    -4,299,921.95
     填列)
七、综合收益总额     -39,144,433.31   11,394,614.40    -27,749,818.91
(一)归属于母公
 司所有者的综合     -38,449,116.24   14,999,219.28    -23,449,896.96
    收益总额
(二)归属于少数
 股东的综合收益      -695,317.07     -3,604,604.88    -4,299,921.95
      总额
(一)基本每股收
                 -0.514           0.202            -0.312
    益(元/股)
(二)稀释每股收
                 -0.514           0.202            -0.312
    益(元/股)
  报表项目
                 调整前             调整金额              调整后
销售商品、提供劳     465,847,885.19   -4,024,999.27    461,822,885.92
 务收到的现金
收到其他与经营
活动有关的现金
购买商品、接受劳
 务支付的现金
支付其他与经营
活动有关的现金
   报表项目
               调整前               调整金额           调整后
   未分配利润  169,377,694.06    -72,059,953.13  97,317,740.93
  少数股东权益   39,403,823.98    -26,636,574.17  12,767,249.81
 所有者权益合计 1,220,195,397.00 -98,696,527.30 1,121,498,869.70
   报表项目
               调整前              调整金额            调整后
   应收账款   101,284,889.38     -3,170,270.23  98,114,619.15
  其他应收款    18,949,039.80     42,027,000.00  60,976,039.80
 流动资产合计   877,192,278.28     38,856,729.77 916,049,008.05
 长期股权投资   306,986,534.92   -132,159,789.35 174,826,745.57
 其他非流动金融
     资产
 递延所得税资产    6,431,167.41       -128,809.47   6,302,357.94
 非流动资产合计  357,789,768.86    -98,761,328.24 259,028,440.62
   资产总计  1,234,982,047.14 -59,904,598.47 1,175,077,448.67
   应交税费     6,507,702.06       -279,000.00   6,228,702.06
  其他应付款    27,736,305.56      6,578,855.91  34,315,161.47
 流动负债合计   139,226,918.05      6,299,855.91 145,526,773.96
 递延所得税负债                     11,333,140.59  11,333,140.59
 非流动负债合计    1,538,307.56     11,333,140.59  12,871,448.15
   负债合计   140,765,225.61     17,632,996.50 158,398,222.11
  未分配利润    32,025,817.24    -77,537,594.97 -45,511,777.73
所有者权益(或股
 东权益)合计
 负债和所有者权
益(或股东权益) 1,234,982,047.14 -59,904,598.47 1,175,077,448.67
     总计
    报表项目
               调整前               调整金额           调整后
 公允价值变动收
益(损失以“-”
    号填列)
信用减值损失(损
           -7,905,227.75         563,827.14      -7,341,400.61
失以“-”号填列)
资产减值损失(损
          -48,440,419.68       16,949,910.65     -31,490,509.03
失以“-”号填列)
二、营业利润(亏
          -39,303,092.35       19,343,008.37     -19,960,083.98
损以“-”号填列)
三、利润总额(亏
损总额以“-”号 -36,396,500.04        19,343,008.37     -17,053,491.67
     填列)
 减:所得税费用   -7,493,741.42         358,964.66      -7,134,776.76
四、净利润(净亏
          -28,902,758.62       18,984,043.71     -9,918,714.91
损以“-”号填列)
   (净亏损以  -28,902,758.62       18,984,043.71     -9,918,714.91
 “-”号填列)
六、综合收益总额 -28,902,758.62        18,984,043.71     -9,918,714.91
  报表项目
                 调整前             调整金额             调整后
 未分配利润        32,025,817.24   -77,537,594.97  -45,511,777.73
所有者权益合计     1,094,216,821.53 -77,537,594.97 1,016,679,226.56
(十)对 2022 年第一季度财务报表的影响(单位:元)
  报表项目
                 调整前              调整金额             调整后
  应收账款       270,167,399.33   -50,381,529.51  219,785,869.82
 其他应收款        14,393,252.76    76,127,996.17   90,521,248.93
   存货         44,085,205.83     6,046,591.98   50,131,797.81
其他流动资产                           591,509.41      591,509.41
流动资产合计      1,154,872,609.71   32,384,568.05 1,187,257,177.76
其他非流动金融
   资产
   商誉        133,449,765.83    -98,631,137.33     34,818,628.50
递延所得税资产       17,115,833.82     -5,945,442.91     11,170,390.91
非流动资产合计      238,095,559.07    -71,049,309.66    167,046,249.41
  资产总计      1,392,968,168.78   -38,664,741.61   1,354,303,427.17
  应付账款       118,265,533.53     -4,263,645.29    114,001,888.24
  合同负债        14,278,657.91      4,316,981.33     18,595,639.24
  应交税费         9,009,428.01       -279,000.00      8,730,428.01
 其他应付款         4,093,133.39     48,118,744.84     52,211,878.23
流动负债合计       172,695,120.51     47,893,080.88    220,588,201.39
 递延所得税负债                       11,333,140.59     11,333,140.59
 非流动负债合计    5,203,346.94       11,333,140.59     16,536,487.53
   负债合计   177,898,467.45       59,226,221.47    237,124,688.92
  未分配利润   166,646,228.85      -71,590,682.85     95,055,546.00
 归属于母公司所
有者权益(或股东 1,177,778,008.50     -71,590,682.85   1,106,187,325.65
  权益)合计
 少数股东权益    37,291,692.83      -26,300,280.23    10,991,412.60
所有者权益(或股
 东权益)合计
 负债和所有者权
益(或股东权益) 1,392,968,168.78     -38,664,741.61   1,354,303,427.17
    总计
  报表项目
                 调整前            调整金额                调整后
信用减值损失(净
     亏损以       -80,321.13      1,163,897.76      1,083,576.63
 “-”号填列)
三、营业利润(亏
              -3,464,143.09    1,163,897.76     -2,300,245.33
损以“-”号填列)
四、利润总额(亏
损总额以“-”号      -3,518,298.65    1,163,897.76     -2,354,400.89
     填列)
 减:所得税费用       -376,585.25      358,333.54        -18,251.71
五、净利润(净亏
              -3,141,713.40     805,564.22      -2,336,149.18
损以“-”号填列)
(净亏损以“-”      -3,141,713.40     805,564.22      -2,336,149.18
    号填列)
东的净利润(净亏      -2,538,509.38     469,270.28      -2,069,239.10
损以“-”号填列)
(净亏损以“-”       -603,204.02      336,293.94       -266,910.08
    号填列)
七、综合收益总额      -3,423,812.71     805,564.22      -2,618,248.49
(一)归属于母公
 司所有者的综合      -2,820,608.69     469,270.28      -2,351,338.41
    收益总额
(二)归属于少数
 股东的综合收益       -603,204.02      336,293.94       -266,910.08
      总额
(一)基本每股收
                 -0.034            0.006             -0.028
   益(元/股)
(二)稀释每股收
                 -0.034            0.006             -0.028
   益(元/股)
  报表项目
                  调整前            调整金额                调整后
销售商品、提供劳
 务收到的现金
收到其他与经营
活动有关的现金
购买商品、接受劳
 务支付的现金
支付其他与经营
活动有关的现金
(十一)对 2022 年半年度财务报表的影响(单位:元)
  报表项目
                   调整前             调整金额               调整后
   应收账款       286,487,446.21   -42,414,752.50    244,072,693.71
  其他应收款        12,365,797.01    76,127,996.17     88,493,793.18
    存货         49,485,936.19     6,046,591.98     55,532,528.17
 其他流动资产         2,115,395.80      591,509.41       2,706,905.21
 流动资产合计      1,169,345,835.27   40,351,345.06   1,209,697,180.33
其他非流动金融
    资产
    商誉    133,449,765.83       -98,631,137.33     34,818,628.50
递延所得税资产    26,023,424.07        -9,114,377.96     16,909,046.11
非流动资产合计   246,303,745.49       -74,218,244.71    172,085,500.78
   资产总计  1,415,649,580.76      -33,866,899.65   1,381,782,681.11
   应付账款   130,863,867.79        -3,993,007.73    126,870,860.06
   合同负债    20,398,834.81         4,316,981.33     24,715,816.14
   应交税费    15,961,527.87          -279,000.00     15,682,527.87
  其他应付款     5,433,868.54        47,848,107.28     53,281,975.82
 流动负债合计   192,827,971.15        47,893,080.88    240,721,052.03
递延所得税负债                         11,333,140.59     11,333,140.59
非流动负债合计     9,148,869.18        11,333,140.59     20,482,009.77
   负债合计   201,976,840.33        59,226,221.47    261,203,061.80
  未分配利润   165,263,198.30       -68,258,955.18     97,004,243.12
归属于母公司所
有者权益(或股东
  权益)合计
 少数股东权益    37,070,478.53    -24,834,165.94    12,236,312.59
所有者权益(或股
 东权益)合计
 负债和所有者权
益(或股东权益) 1,415,649,580.76   -33,866,899.65   1,381,782,681.11
   总计
   报表项目
                 调整前          调整金额                调整后
信用减值损失(损
      失以   -15,529,553.34    9,130,674.77     -6,398,878.57
 “-”号填列)
三、营业利润(亏
           -16,649,659.26    9,130,674.77     -7,518,984.49
损以“-”号填列)
四、利润总额(亏
损总额以“-”号 -13,703,412.98      9,130,674.77     -4,572,738.21
     填列)
 减:所得税费用    -8,017,454.75    3,527,268.59     -4,490,186.16
五、净利润(净亏
            -5,685,958.23    5,603,406.18       -82,552.05
损以“-”号填列)
(净亏损以“-”    -5,685,958.23    5,603,406.18       -82,552.05
    号填列)
东的净利润(净亏    -3,921,539.93    3,800,997.95      -120,541.98
损以“-”号填列)
(净亏损以“-”    -1,764,418.30    1,802,408.23       37,989.93
    号填列)
七、综合收益总额    -5,760,773.59    5,603,406.18      -157,367.41
(一)归属于母公
 司所有者的综合    -3,996,355.29    3,800,997.95      -195,357.34
    收益总额
(二)归属于少数
 股东的综合收益    -1,764,418.30    1,802,408.23       37,989.93
      总额
(一)基本每股收
                -0.053          0.051             -0.002
    益(元/股)
(二)稀释每股收
                -0.053          0.051             -0.002
    益(元/股)
    报表项目                    2022 年 1-6 月
                  调整前            调整金额                调整后
销售商品、提供劳
 务收到的现金
收到其他与经营
活动有关的现金
购买商品、接受劳
 务支付的现金
支付其他与经营
活动有关的现金
   报表项目
               调整前              调整金额                 调整后
  未分配利润   165,263,198.30   -68,258,955.18         97,004,243.12
 少数股东权益    37,070,478.53   -24,834,165.94         12,236,312.59
 所有者权益合计 1,213,672,740.43 -93,093,121.12        1,120,579,619.31
  报表项目
               调整前              调整金额                 调整后
   应收账款   120,594,593.56    -3,646,295.20        116,948,298.36
  其他应收款    26,823,025.73    42,027,000.00         68,850,025.73
 流动资产合计   878,320,260.76    38,380,704.80        916,700,965.56
 长期股权投资   311,294,717.76  -132,159,789.35        179,134,928.41
 其他非流动金融
    资产
 递延所得税资产   11,651,729.54       -57,405.72         11,594,323.82
 非流动资产合计  365,392,640.90   -98,689,924.49        266,702,716.41
   资产总计  1,243,712,901.66 -60,309,219.69        1,183,403,681.97
   应交税费     6,836,473.57      -279,000.00          6,557,473.57
  其他应付款    34,292,893.99     6,578,855.91         40,871,749.90
 流动负债合计   144,593,269.34     6,299,855.91        150,893,125.25
 递延所得税负债                    11,333,140.59         11,333,140.59
 非流动负债合计     459,828.45     11,333,140.59         11,792,969.04
   负债合计   145,053,097.79    17,632,996.50        162,686,094.29
  未分配利润    36,468,799.58   -77,942,216.19        -41,473,416.61
所有者权益(或股
 东权益)合计
 负债和所有者权
益(或股东权益) 1,243,712,901.66 -60,309,219.69        1,183,403,681.97
    总计
  报表项目
              调整前             调整金额                 调整后
信用减值损失(损
          -4,216,819.42        -476,024.97      -4,692,844.39
失以“-”号填列
二、营业利润(亏
          -3,777,579.79        -476,024.97      -4,253,604.76
损以“-”号填列)
三、利润总额(亏
损总额以“-”号    -777,579.79        -476,024.97      -1,253,604.76
   填列)
 减:所得税费用  -5,220,562.13        -71,403.75       -5,291,965.88
四、净利润(净亏
损以“-”号填列)
(一)持续经营净
 利润(净亏损以   4,442,982.34        -404,621.22      4,038,361.12
 “-”号填列)
六、综合收益总额   4,442,982.34        -404,621.22      4,038,361.12
  报表项目
                 调整前             调整金额                调整后
 未分配利润        36,468,799.58   -77,942,216.19     -41,473,416.61
所有者权益合计     1,098,659,803.87 -77,942,216.19     1,020,717,587.68
(十二)对 2022 年第三季度财务报表的影响(单位:元)
  报表项目
                  调整前             调整金额             调整后
  应收账款       273,622,455.55   -40,076,922.03  233,545,533.52
 其他应收款        11,951,259.24    76,127,996.17   88,079,255.41
   存货         49,334,780.82     6,046,591.98   55,381,372.80
其他流动资产         2,115,395.80      591,509.41     2,706,905.21
流动资产合计      1,100,495,831.27   42,689,175.53 1,143,185,006.80
其他非流动金融
   资产
   商誉        133,449,765.83    -98,631,137.33     34,818,628.50
递延所得税资产       29,240,885.56    -10,522,860.69     18,718,024.87
非流动资产合计      251,960,381.95    -75,626,727.44    176,333,654.51
  资产总计      1,352,456,213.22   -32,937,551.91   1,319,518,661.31
  应付账款       128,706,802.57     -3,993,007.73    124,713,794.84
  合同负债        24,831,831.97      4,316,981.33     29,148,813.30
  应交税费        15,068,661.82       -279,000.00     14,789,661.82
 其他应付款         3,867,244.82     47,848,107.28     51,715,352.10
流动负债合计       196,203,448.74     47,893,080.88    244,096,529.62
递延所得税负债                         11,333,140.59     11,333,140.59
非流动负债合计       7,404,465.00      11,333,140.59     18,737,605.59
  负债合计       203,607,913.74     59,226,221.47    262,834,135.21
  未分配利润   160,023,351.60      -67,608,411.75    92,414,939.85
 归属于母公司所
有者权益(或股东 1,124,820,493.22     -67,608,411.75   1,057,212,081.47
  权益)合计
 少数股东权益    24,027,806.26      -24,555,361.63     -527,555.37
所有者权益(或股
 东权益)合计
 负债和所有者权
益(或股东权益) 1,352,456,213.22     -32,937,551.91   1,319,518,661.31
    总计
  报表项目
                 调整前            调整金额                调整后
信用减值损失(损
             -22,865,052.20   11,468,505.24     -11,396,546.96
失以“-”号填列)
三、营业利润(亏
             -25,228,666.15   11,468,505.24     -13,760,160.91
损以“-”号填列)
四、利润总额(亏
损总额以“-”号     -22,328,849.89   11,468,505.24     -10,860,344.65
     填列)
 减:所得税费用     -10,157,650.49    4,935,751.32     -5,221,899.17
五、净利润(净亏
             -12,171,199.40    6,532,753.92     -5,638,445.48
损以“-”号填列)
(净亏损以“-”     -12,171,199.40    6,532,753.92     -5,638,445.48
    号填列)
东的净利润(净亏      -9,161,386.64    4,451,541.38     -4,709,845.26
损以“-”号填列)
(净亏损以“-”      -3,009,812.76    2,081,212.54      -928,600.22
    号填列)
七、综合收益总额     -11,381,891.13    6,532,753.92     -4,849,137.21
(一)归属于母公
 司所有者的综合      -8,372,078.37    4,451,541.38     -3,920,536.99
    收益总额
(二)归属于少数
 股东的综合收益      -3,009,812.76    2,081,212.54      -928,600.22
      总额
(一)基本每股收
                 -0.124            0.06             -0.064
    益(元/股)
(二)稀释每股收
                 -0.124            0.06             -0.064
    益(元/股)
  报表项目
                  调整前            调整金额               调整后
销售商品、提供劳
 务收到的现金
收到其他与经营
活动有关的现金
购买商品、接受劳
 务支付的现金
支付其他与经营
活动有关的现金
(十三)对 2022 年度财务报表的影响(单位:元)
  报表项目
                   调整前              调整金额             调整后
   应收账款       223,715,463.08   -10,837,274.77   212,878,188.31
  其他应收款        11,562,511.69    76,127,996.17    87,690,507.86
    存货         30,025,439.32     5,785,727.61    35,811,166.93
 其他流动资产         4,510,232.65       543,396.21     5,053,628.86
 流动资产合计      1,082,595,395.97   71,619,845.22  1,154,215,241.19
 递延所得税资产       23,045,531.59      -813,974.97    22,231,556.62
 非流动资产合计      132,048,447.01      -813,974.97   131,234,472.04
   资产总计      1,214,643,842.98   70,805,870.25  1,285,449,713.23
   应付账款       170,818,536.29    -3,993,007.73   166,825,528.56
   合同负债        17,407,962.22     5,118,868.14    22,526,830.36
   应交税费        16,278,166.19      -279,000.00    15,999,166.19
  其他应付款         9,949,297.65    47,587,242.60    57,536,540.25
 流动负债合计       256,893,577.72    48,434,103.01   305,327,680.73
 递延所得税负债                         6,304,050.00     6,304,050.00
 非流动负债合计        3,505,450.83     6,304,050.00     9,809,500.83
   负债合计       260,399,028.55    54,738,153.01   315,137,181.56
  未分配利润       -19,759,588.46    30,479,686.60    10,720,098.14
 归属于母公司所
有者权益(或股东 944,691,092.01        30,479,686.60    975,170,778.61
  权益)合计
 少数股东权益    9,553,722.42        -14,411,969.36    -4,858,246.94
所有者权益(或股
 东权益)合计
 负债和所有者权
益(或股东权益) 1,214,643,842.98      70,805,870.25    1,285,449,713.23
    总计
   报表项目                          2022 年度
                 调整前             调整金额               调整后
 公允价值变动收
益(损失以“-”      11,107,718.14    -33,527,270.58   -22,419,552.44
    号填列)
信用减值损失(损
             -72,516,464.55    39,858,152.80    -32,658,311.75
失以“-”号填列)
资产减值损失(损
             -111,639,436.41   98,631,137.33    -13,008,299.08
失以“-”号填列)
三、营业利润(亏
             -213,137,070.09   104,962,019.55   -108,175,050.54
损以“-”号填列)
四、利润总额(亏
损总额以“-”号     -210,579,136.32   104,962,019.55   -105,617,116.77
     填列)
 减:所得税费用      -3,464,541.73    -9,802,224.99    -13,266,766.72
五、净利润(净亏
             -207,114,594.59   114,764,244.54   -92,350,350.05
损以“-”号填列)
(净亏损以“-”     -207,114,594.59   114,764,244.54   -92,350,350.05
    号填列)
东的净利润(净亏     -189,137,282.52   102,539,639.73   -86,597,642.79
损以“-”号填列)
(净亏损以“-”     -17,977,312.07    12,224,604.81     -5,752,707.26
    号填列)
七、综合收益总额     -206,047,963.07   114,764,244.54   -91,283,718.53
(一)归属于母公
 司所有者的综合     -188,070,651.00   102,539,639.73   -85,531,011.27
    收益总额
(二)归属于少数股
 东的综合收益总     -17,977,312.07    12,224,604.81     -5,752,707.26
       额
(一)基本每股收
                 -2.549            1.382            -1.167
    益(元/股)
(二)稀释每股收益
                 -2.549            1.382            -1.167
     (元/股)
  报表项目
                 调整前              调整金额              调整后
销售商品、提供劳
 务收到的现金
收到其他与经营
活动有关的现金
购买商品、接受劳     294,332,577.84    -2,587,653.80    291,744,924.04
务支付的现金
支付其他与经营
活动有关的现金
  报表项目
              调整前                 调整金额                调整后
  未分配利润   -19,759,588.46        30,479,686.60      10,720,098.14
 少数股东权益    9,553,722.42        -14,411,969.36      -4,858,246.94
 所有者权益合计  954,244,814.43        16,067,717.24     970,312,531.67
  报表项目
                   调整前             调整金额              调整后
   应收账款       103,472,365.37     1,397,499.79   104,869,865.16
  其他应收款        29,895,156.74    42,027,000.00    71,922,156.74
 流动资产合计       846,483,147.93    43,424,499.79   889,907,647.72
 递延所得税资产       15,827,816.44      -813,974.97    15,013,841.47
 非流动资产合计      280,138,008.52      -813,974.97   279,324,033.55
   资产总计      1,126,621,156.45   42,610,524.82  1,169,231,681.27
   应交税费         6,687,999.41      -279,000.00     6,408,999.41
  其他应付款        18,293,547.13     6,578,855.91    24,872,403.04
 流动负债合计       154,769,809.96     6,299,855.91   161,069,665.87
 递延所得税负债                         6,304,050.00     6,304,050.00
 非流动负债合计        1,703,806.00     6,304,050.00     8,007,856.00
   负债合计       156,473,615.96    12,603,905.91   169,077,521.87
  未分配利润       -86,606,355.99    30,006,618.91   -56,599,737.08
所有者权益(或股
 东权益)合计
 负债和所有者权
益(或股东权益) 1,126,621,156.45      42,610,524.82     1,169,231,681.27
    总计
  报表项目
                 调整前            调整金额                调整后
公允价值变动收
 益(损失以       11,107,718.14    -33,527,270.58     -22,419,552.44
“-”号填列)
 信用减值损失
(损失以“-”号     -26,154,561.35    4,567,770.02      -21,586,791.33
  填列)
 资产减值损失
(损失以“-”号    -147,754,486.31   132,159,789.35     -15,594,696.96
  填列)
二、营业利润(亏
损以“-”号填 -131,028,822.26       103,200,288.79    -27,828,533.47
    列)
三、利润总额(亏
损总额以“-” -128,028,822.26       103,200,288.79    -24,828,533.47
  号填列)
减:所得税费用   -9,396,649.03       -4,343,925.09     -13,740,574.12
四、净利润(净
亏损以“-”号 -118,632,173.23       107,544,213.88    -11,087,959.35
   填列)
(一)持续经营
净利润(净亏损 -118,632,173.23       107,544,213.88    -11,087,959.35
以“-”号填列)
六、综合收益总
         -118,632,173.23      107,544,213.88    -11,087,959.35
     额
  报表项目
                 调整前              调整金额              调整后
 未分配利润       -86,606,355.99     30,006,618.91   -56,599,737.08
所有者权益合计      970,147,540.49     30,006,618.91  1,000,154,159.40
(十四)对 2023 年第一季度财务报表的影响(单位:元)
  报表项目
                   调整前             调整金额               调整后
  应收账款        174,103,953.29    9,750,635.88     183,854,589.17
 其他应收款          9,757,298.63   76,127,996.17      85,885,294.80
   存货          32,657,391.92    5,785,727.61      38,443,119.53
其他流动资产          4,765,580.29      474,905.64       5,240,485.93
流动资产合计       1,011,269,861.06  92,139,265.30    1,103,409,126.36
递延所得税资产        24,497,376.26     -691,309.47      23,806,066.79
非流动资产合计       129,441,938.65     -691,309.47     128,750,629.18
  资产总计       1,140,711,799.71  91,447,955.83    1,232,159,755.54
  应付账款        136,854,306.02   -3,993,007.63     132,861,298.39
  合同负债         17,897,089.25    6,260,377.57      24,157,466.82
  应交税费         13,422,290.90     -279,000.00      13,143,290.90
 其他应付款          6,897,105.24   47,887,242.50      54,784,347.74
流动负债合计        219,233,310.41   49,875,612.44     269,108,922.85
递延所得税负债                         6,304,050.00       6,304,050.00
非流动负债合计         4,307,561.31    6,304,050.00      10,611,611.31
  负债合计        223,540,871.72   56,179,662.44     279,720,534.16
 未分配利润        -37,311,678.61   43,711,558.54       6,399,879.93
归属于母公司所       908,857,169.78   43,711,558.54     952,568,728.32
 有者权益(或
 股东权益)合计
 少数股东权益    8,313,758.21       -8,443,265.15      -129,506.94
所有者权益(或股
 东权益)合计
 负债和所有者权
益(或股东权益) 1,140,711,799.71     91,447,955.83    1,232,159,755.54
   总计
  报表项目
                 调整前            调整金额                调整后
信用减值损失(损
失以“-”号填列)
三、营业利润(亏
             -21,125,620.41   19,077,910.65     -2,047,709.76
损以“-”号填列)
四、利润总额(亏
损总额以“-”号     -21,151,856.68   19,077,910.65     -2,073,946.03
     填列)
 减:所得税费用      -1,268,802.32    -122,665.50      -1,391,467.82
五、净利润(净亏
             -19,883,054.36   19,200,576.15      -682,478.21
损以“-”号填列)
(净亏损以“-”号    -19,883,054.36   19,200,576.15      -682,478.21
     填列)
东的净利润(净亏     -17,561,367.90   13,231,871.95     -4,329,495.95
损以“-”号填列)
(净亏损以“-”号     -2,321,686.46    5,968,704.20      3,647,017.74
     填列)
七、综合收益总额     -20,250,912.57   19,200,576.15     -1,050,336.42
(一)归属于母公
 司所有者的综合     -17,929,226.11   13,231,871.95     -4,697,354.16
    收益总额
(二)归属于少数
 股东的综合收益      -2,321,686.46    5,968,704.20      3,647,017.74
      总额
(一)基本每股收
                 -0.240           0.181             -0.059
    益(元/股)
(二)稀释每股(元
                 -0.240           0.181             -0.059
    /股)收益
    报表项目                      2023 年 1-3 月
                 调整前             调整金额               调整后
销售商品、提供劳
 务收到的现金
收到其他与经营
活动有关的现金
(十五)对 2023 年半年度财务报表的影响(单位:元)
  报表项目
                   调整前             调整金额             调整后
   应收账款       181,489,206.73   11,747,301.54   193,236,508.27
  其他应收款        12,973,857.68   76,127,996.17    89,101,853.85
    存货         30,400,406.39    5,785,727.62    36,186,134.01
 其他流动资产         4,350,808.73      474,905.64     4,825,714.37
 流动资产合计       995,380,840.58   94,135,930.97  1,089,516,771.55
 递延所得税资产       28,233,814.98     -691,309.47    27,542,505.51
 非流动资产合计      128,820,642.00     -691,309.47   128,129,332.53
   资产总计      1,124,201,482.58  93,444,621.50  1,217,646,104.08
   应付账款       146,793,898.03   -3,993,007.72   142,800,890.31
   合同负债        21,331,228.97    6,260,377.57    27,591,606.54
   应交税费        15,779,998.81     -279,000.00    15,500,998.81
  其他应付款         6,556,150.56   47,987,242.59    54,543,393.15
 流动负债合计       233,183,515.88   49,975,612.44   283,159,128.32
 递延所得税负债                        6,304,050.00     6,304,050.00
 非流动负债合计        2,812,437.25    6,304,050.00     9,116,487.25
   负债合计       235,995,953.13   56,279,662.44   292,275,615.57
  未分配利润       -48,373,839.30   45,039,224.51    -3,334,614.79
 归属于母公司所
   有者权益
(或股东权益)合
     计
 少数股东权益    5,974,825.71        -7,874,265.45    -1,899,439.74
所有者权益(或股
 东权益)合计
 负债和所有者权
益(或股东权益) 1,124,201,482.58      93,444,621.50   1,217,646,104.08
    总计
  报表项目
                 调整前             调整金额               调整后
信用减值损失(损
          -11,377,655.71       20,974,576.31     9,596,920.60
失以“-”号填列)
三、营业利润(亏
             -36,371,212.76    20,974,576.31    -15,396,636.45
损以“-”号填列)
四、利润总额(亏
损总额以“-”号     -36,411,889.27    20,974,576.31    -15,437,312.96
     填列)
 减:所得税费用      -4,218,741.72     -122,665.50     -4,341,407.22
五、净利润(净亏
             -32,193,147.55    21,097,241.81    -11,095,905.74
损以“-”号填列)
(净亏损以“-”     -32,193,147.55    21,097,241.81    -11,095,905.74
    号填列)
东的净利润(净亏     -28,614,250.84    14,559,537.91    -14,054,712.93
损以“-”号填列)
(净亏损以“-”号     -3,578,896.71    6,537,703.90      2,958,807.19
     填列)
七、综合收益总额     -31,454,304.33    21,097,241.81    -10,357,062.52
(一)归属于母公
 司所有者的综合     -27,875,407.62    14,559,537.91    -13,315,869.71
    收益总额
(二)归属于少数
 股东的综合收益      -3,578,896.71    6,537,703.90      2,958,807.19
      总额
(一)基本每股收
                 -0.391            0.199            -0.192
    益(元/股)
(二)稀释每股收
                 -0.391            0.199            -0.192
    益(元/股)
  报表项目
                 调整前             调整金额              调整后
销售商品、提供劳
 务收到的现金
收到其他与经营
活动有关的现金
  报表项目
              调整前                 调整金额              调整后
  未分配利润   -48,373,839.30       45,039,224.51     -3,334,614.79
 少数股东权益    5,974,825.71        -7,874,265.45     -1,899,439.74
 所有者权益合计  888,205,529.45       37,164,959.06    925,370,488.51
  报表项目
                    调整前            调整金额             调整后
   应收账款         95,873,259.80     579,729.77    96,452,989.57
  其他应收款         30,598,801.56  42,027,000.00    72,625,801.56
 流动资产合计        779,577,858.71  42,606,729.77   822,184,588.48
 递延所得税资产        20,871,368.56    -691,309.47    20,180,059.09
 非流动资产合计       293,322,764.24    -691,309.47   292,631,454.77
   资产总计      1,072,900,622.95  41,915,420.30  1,114,816,043.25
   应交税费          7,308,157.59    -279,000.00     7,029,157.59
  其他应付款         12,153,486.84   6,578,855.91    18,732,342.75
 流动负债合计        151,350,446.70   6,299,855.91   157,650,302.61
 递延所得税负债                        6,304,050.00     6,304,050.00
 非流动负债合计         1,232,443.77   6,304,050.00     7,536,493.77
   负债合计        152,582,890.47  12,603,905.91   165,186,796.38
  未分配利润       -101,851,183.35  29,311,514.39   -72,539,668.96
所有者权益(或股
 东权益)合计
 负债和所有者权
益(或股东权益) 1,072,900,622.95       41,915,420.30    1,114,816,043.25
    总计
  报表项目
                调整前              调整金额               调整后
信用减值损失(损
           -5,982,284.99       -817,770.02       -6,800,055.01
失以“-”号填列)
二、营业利润(亏
          -20,288,379.48       -817,770.02       -21,106,149.50
损以“-”号填列)
三、利润总额(亏
损总额以“-”号 -20,288,379.48        -817,770.02       -21,106,149.50
   填列)
 减:所得税费用   -5,043,552.12       -122,665.50       -5,166,217.62
四、净利润(净亏
          -15,244,827.36       -695,104.52       -15,939,931.88
损以“-”号填列)
(一)持续经营净
 利润(净亏损以  -15,244,827.36       -695,104.52       -15,939,931.88
 “-”号填列)
六、综合收益总额 -15,244,827.36        -695,104.52       -15,939,931.88
  报表项目
                  调整前              调整金额               调整后
 未分配利润       -101,851,183.35    29,311,514.39     -72,539,668.96
所有者权益合计       920,317,732.48    29,311,514.39     949,629,246.87
(十六)对 2023 年第三季度财务报表的影响(单位:元)
  报表项目
                   调整前             调整金额             调整后
   应收账款       190,572,042.49   11,759,612.44   202,331,654.93
  其他应收款        14,294,061.30   76,127,996.17    90,422,057.47
    存货         34,203,706.37    5,785,727.62    39,989,433.99
 其他流动资产         4,897,639.51      474,905.64     5,372,545.15
 流动资产合计       981,658,753.84   94,148,241.87  1,075,806,995.71
 递延所得税资产       30,198,774.34     -691,309.47    29,507,464.87
 非流动资产合计      129,105,497.80     -691,309.47   128,414,188.33
   资产总计      1,110,764,251.64  93,456,932.40  1,204,221,184.04
   应付账款       144,336,145.99   -3,993,007.72   140,343,138.27
   合同负债        24,109,344.61    6,260,377.57    30,369,722.18
   应交税费        14,497,226.04     -279,000.00    14,218,226.04
  其他应付款         7,252,932.93   47,987,242.58    55,240,175.51
 流动负债合计       228,687,130.40   49,975,612.43   278,662,742.83
 递延所得税负债                        6,304,050.00     6,304,050.00
 非流动负债合计       11,064,377.61    6,304,050.00    17,368,427.61
   负债合计       239,751,508.01   56,279,662.43   296,031,170.44
  未分配利润       -60,768,838.29   45,047,842.15   -15,720,996.14
 归属于母公司所
有者权益(或股东
     权
   益)合计
 少数股东权益    6,182,780.72        -7,870,572.18    -1,687,791.46
所有者权益(或股
 东权益)合计
 负债和所有者权
益(或股东权益) 1,110,764,251.64      93,456,932.40   1,204,221,184.04
    总计
  报表项目
                 调整前             调整金额               调整后
信用减值损失(损
    失以     -9,214,882.26       20,986,887.21    11,772,004.95
“-”号填列)
三、营业利润(亏
          -51,007,477.42       20,986,887.21    -30,020,590.21
损以“-”号填列)
四、利润总额(亏
损总额以“-”号 -51,048,158.98        20,986,887.21    -30,061,271.77
   填列)
减:所得税费用    -6,667,967.46        -122,665.50     -6,790,632.96
五、净利润(净亏
             -44,380,191.52   21,109,552.71   -23,270,638.81
损以“-”号填列)
(净亏损以“-”     -44,380,191.52   21,109,552.71   -23,270,638.81
    号填列)
东的净利润(净亏     -41,009,249.82   14,568,155.54   -26,441,094.28
损以“-”号填列)
(净亏损以“-”     -3,370,941.70    6,541,397.17     3,170,455.47
    号填列)
七、综合收益总额     -43,640,183.91   21,109,552.71   -22,530,631.20
(一)归属于母公
 司所有者的综合     -40,269,242.21   14,568,155.54   -25,701,086.67
    收益总额
(二)归属于少数
 股东的综合收益     -3,370,941.70    6,541,397.17     3,170,455.47
     总额
(一)基本每股收
                 -0.563           0.200           -0.363
    益(元/股)
(二)稀释每股收
                 -0.563           0.200           -0.363
    益(元/股)
  报表项目
                 调整前            调整金额             调整后
销售商品、提供劳
 务收到的现金
收到其他与经营
活动有关的现金
三、 专项意见
(一)监事会意见
  监事会认为,公司本次对前期会计差错更正及追溯调整符合《企业会计准则
第 28 号——会计政策、会计估计变更和差错更正》和《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, 更正后
的信息能够真实、准确反映公司财务状况和经营成果,不存在损害公司及全体股
东利益的情形。监事会同意公司本次对前期会计差错更正及追溯调整的事项。
(二)独立董事意见
  公司本次会计差错更正和对相关期间会计报表的调整,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》的相关规定,更正后的
财务数据及财务报表能够更加客观、准确、真实地反映公司财务状况和经营成果。
公司本次前期会计差错更正及追溯调整的决策程序符合法律、法规和《公司章程》
等相关规定,不存在损害公司及股东利益的情形。独立董事一致同意公司本次前
期会计差错更正及追溯调整的事项。
(三)审计委员会意见
  审计委员会认为,公司本次会计差错更正及追溯调整符合《企业会计准则第
披露编报规则第 19 号——财务信息的更正及相关披露》的相关规定,更正后的
财务数据及财务报表能更加客观、公允地反映公司财务状况及经营成果,审计委
员会同意公司本次会计差错更正及追溯调整事项。
(四)会计师事务所鉴证意见
  根据《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,公司还需取得会计师事务所对本次更正事项出具的专
项鉴证报告及相关年度的审计报告,公司正在积极推进相关工作,将在本公告披
露之日起两个月内披露会计师事务所对本次更正事项出具的专项鉴证报告和审
计报告。敬请广大投资者注意投资风险。
  公司对本次会计差错更正给投资者带来的影响致以诚挚的歉意,并将加强对
信息披露文件的编制和审核,保证各项报告披露的准确性,不断提高信息披露质
量。
  特此公告。
                   北京慧辰资道资讯股份有限公司董事会

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