幸福蓝海: 关于前期会计差错更正的公告

证券之星 2024-04-29 00:00:00
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证券代码:300528     证券简称:幸福蓝海       公告编号:2024-021
        幸福蓝海影视文化集团股份有限公司
  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。
  重要提示:2023 年 12 月,公司收到江苏省高级人民法院(2021)苏民终
让协议自始无效,公司不应将笛女传媒纳入合并报表范围,根据会计准则,公
司采用追溯调整法更正前期受影响的财务报表。公司将笛女传媒剥离出合并报
表范围,对公司整体业绩将起到改善提升作用,有利于公司今后年度的经营发
展。公司已支付的 3.6 亿元股权转让款最终无法收回的部分将形成损失,目前
已收回 1618.19 万元,公司将继续努力通过司法手段进行追讨,尽可能减少损
失,维护公司利益。
召开第五届董事会第六次会议、第五届监事会第五次会议,审议通过了《关于前
期会计差错更正的议案》。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》《深圳证券交易所上市公司自律监管指引第 2 号—创业板上
市公司规范运作》的相关规定,公司将笛女传媒剥离出合并报表范围、影城营业
成本和销售费用重分类调整,并相应追溯调整 2017-2022 年度财务报表。具体情
况如下:
  一、前期会计差错更正的主要原因及内容
  (一)将笛女传媒剥离出合并报表范围
以现金 7.2 亿元收购笛女传媒 80%股权,本次股权收购完成后,公司持有笛女传
媒 80%的股权,成为其控股股东。
   由于公司与笛女传媒各股权出让方签订《股权转让协议》时,傅晓阳未向公
司真实、完整、准确的披露笛女传媒的实际经营情况。2019 年 6 月公司向南京
市中级人民法院对傅晓阳、瑞嘉创投等十七名股东提起诉讼并申请诉讼财产保全。
请求依法撤销《股权转让协议》,并要求被告返还财产、赔偿损失。
司披露于巨潮资讯网的《2023-054 关于重大诉讼终审判决胜诉的进展公告》。
根据该判决书,股权转让协议自始无效,公司不应将笛女传媒纳入合并报表范围。
根据会计准则,公司采用追溯调整法更正前期受影响的财务报表,主要处理情况
如下:
度、2021 年度、2022 年度及 2023 年 1-9 月合并财务报表予以剥离;
权转让款的减值准备 3.24 亿元;
股东放弃股权转让款形成的营业外收入 2.35 亿元;
后对公司当期经营成果影响较小。
   公司已支付的 3.6 亿元股权转让款最终无法收回的部分将形成损失,目前已
收回 1618.19 万元,公司将继续努力通过司法手段进行追讨,尽可能减少损失,
维护公司利益。
   该事项对 2017 年度、2018 年度、2019 年度、2020 年度、2021 年度、2022
年度及 2023 年 1-9 月合并财务报表主要项目的影响如下:
                                                      单位:万元
  年度          财务指标        更正前金额         更正后金额         更正金额
              营业收入         151,723.01    151,029.41      -693.60
          归属于上市公司股东的净利润     11,246.33    -21,778.34    -33,024.67
             归属于上市公司股东的净资产   192,637.70   159,613.03   -33,024.67
                 营业收入        165,482.38   158,585.25   -6,897.13
             归属于上市公司股东的净资产   135,739.72   163,603.42   27,863.70
                 营业收入        213,808.79   211,884.70   -1,924.09
             归属于上市公司股东的净资产   136,391.83   176,641.07   40,249.24
                 营业收入         57,120.94    55,924.94   -1,196.00
             归属于上市公司股东的净资产    97,524.41   144,041.51   46,517.10
                 营业收入         94,741.95    94,402.91     -339.05
             归属于上市公司股东的净资产    57,754.70   108,225.93   50,471.23
                 营业收入         63,244.25    62,981.33     -262.92
             归属于上市公司股东的净资产    21,762.36    74,704.73   52,942.37
                 营业收入         81,668.36    81,410.22     -258.14
             归属于上市公司股东的净利润     1,752.79     3,855.88    2,103.09
   月
             归属于上市公司股东的净资产    23,517.27    78,562.73   55,045.46
    (二)营业成本和销售费用重分类调整
    根据财政部 2004 年印发《电影企业会计核算办法》及财政部 2006 年印发的
《企业会计准则——应用指南》,公司将影城经营相关的折旧摊销、人员薪酬、
物业保洁等费用计入销售费用。根据财政部发布的《关于修订印发<企业会计准
则第 14 号—收入>的通知》,2020 年 1 月 1 日起,公司执行了新的收入准则。
    为了更严谨地执行新收入准则,提高公司会计信息与同行业公司的可比性,
公司将旗下自有影城的房租物业、折旧与摊销、运营人员费用等费用从销售费用
重分类至计入营业成本。公司将 2020 年度、2021 年度、2022 年度及 2023 年 1-9
月财务报表的销售费用调整至营业成本,调整数据分别为:36,458.69 万元、
      二、本次会计差错更正对财务报表和经营成果的影响
     根据企业会计准则的规定,本公司前期会计差错采用追溯重述法,受影响的
年三季度财务报表项目及金额如下(以下如无特别说明,金额以人民币元为单
位):
     (一)对合并财务报表的影响
     (1)2017 年 12 月 31 日合并资产负债表
        项目名称             更正前金额              更正后金额               更正金额
货币资金                     788,467,268.45     714,170,859.27      -74,296,409.18
应收票据                       1,441,000.00       1,221,000.00         -220,000.00
应收账款                     559,253,528.22     283,302,756.78     -275,950,771.44
预付款项                     298,602,966.61     252,933,435.39      -45,669,531.22
应收利息                     32,369,443.28                  -       -32,369,443.28
其他应收款                    32,853,678.06      51,838,000.57        18,984,322.51
存货                       278,164,505.52     95,784,364.18      -182,380,141.34
其他流动资产                   149,273,955.80     21,940,800.00      -127,333,155.80
流动资产合计                 2,140,426,345.94   1,421,191,216.19     -719,235,129.75
可供出售金融资产                 21,950,000.00          200,000.00      -21,750,000.00
固定资产                     349,781,691.54     349,761,762.96          -19,928.58
商誉                       506,541,971.59     26,074,738.69      -480,467,232.90
递延所得税资产                  12,371,982.59        1,939,342.07      -10,432,640.52
非流动资产合计                1,218,749,260.56     706,079,458.56     -512,669,802.00
资产总计                   3,359,175,606.50   2,127,270,674.75   -1,231,904,931.75
短期借款                     24,133,600.00                  -       -24,133,600.00
应付账款                     174,735,824.13     156,330,348.77      -18,405,475.36
应付职工薪酬                   18,707,512.94      18,011,913.91          -695,599.03
应交税费                     42,741,971.82      11,420,374.06       -31,321,597.76
应付利息                     17,394,579.41                  -       -17,394,579.41
其他应付款                    916,277,072.86     168,222,056.01     -748,055,016.85
流动负债合计                 1,342,286,800.49     502,280,932.08     -840,005,868.41
递延所得税负债                      302,233.24                 -          -302,233.24
非流动负债合计                  10,699,234.41      10,397,001.17          -302,233.24
负债合计                   1,352,986,034.90     512,677,933.25     -840,308,101.65
未分配利润                    655,914,825.89     325,668,121.25     -330,246,704.64
归属于母公司所有者权益合计          1,926,377,044.67      1,596,130,340.03     -330,246,704.64
少数股东权益                   79,812,526.93         18,462,401.47        -61,350,125.46
所有者权益合计                2,006,189,571.60      1,614,592,741.50     -391,596,830.10
负债和所有者权益总计             3,359,175,606.50      2,127,270,674.75     1,231,904,931.75
     (2)2017 年度合并利润表
         项目名称               更正前金额                更正后金额               更正金额
一、营业收入                    1,517,230,070.94     1,510,294,087.92     -6,935,983.02
     减:营业成本                 829,177,984.51       828,460,863.16       -717,121.35
       税金及附加                 42,360,283.63        42,356,514.83         -3,768.80
       销售费用                 447,196,520.68       446,126,308.33     -1,070,212.35
       管理费用                 112,523,300.15       111,982,230.09       -541,070.06
       财务费用                  -4,107,564.40        -7,554,947.57     -3,447,383.17
       资产减值损失                20,423,275.14       346,765,617.65     326,342,342.51
       投资收益(损失以“-”
号填列)
       其他收益                  28,677,601.11        25,877,601.11     -2,800,000.00
二、营业利润(亏损以“-”号填列)           113,322,825.54      -218,277,986.13   -331,600,811.67
三、利润总额(亏损总额以“-”号
填列)
     减:所得税费用                  2,943,194.81         3,056,021.47         112,826.66
四、净利润(净亏损以“-”号填列)           114,696,166.93      -217,017,471.40   -331,713,638.33
    (一)按经营持续性分类
以“-”号填列)
    (二)按所有权归属分类
利润(净亏损以“-”号填列)
“-”号填列)
六、综合收益总额                    114,710,489.79      -217,003,148.54   -331,713,638.33
    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

    (一)基本每股收益(元/股)                  0.3018              -0.5845           -0.8863
    (二)稀释每股收益(元/股)                  0.3018              -0.5845           -0.8863
     (3)2017 年度合并现金流量表
          项目名称                 更正前金额                更正后金额             更正金额
销售商品、提供劳务收到的现金             1,682,519,719.22   1,620,709,515.46    -61,810,203.76
收到其他与经营活动有关的现金               102,739,359.36      99,919,384.43     -2,819,974.93
经营活动现金流入小计                 1,785,477,600.68   1,720,847,421.99    -64,630,178.69
购买商品、接受劳务支付的现金               927,848,050.51     914,854,300.04    -12,993,750.47
支付给职工以及为职工支付的现金              155,104,334.39     155,078,146.28        -26,188.11
支付的各项税费                       87,698,474.18      87,644,553.19        -53,920.99
支付其他与经营活动有关的现金               306,011,462.88     664,795,032.90    358,783,570.02
经营活动现金流出小计                 1,476,662,321.96   1,822,372,032.41    345,709,710.45
经营活动产生的现金流量净额                308,815,278.72    -101,524,610.42   -410,339,889.14
取得投资收益收到的现金                   13,170,641.15      12,843,189.10       -327,452.05
收到其他与投资活动有关的现金               103,010,738.64                  -   -103,010,738.64
投资活动现金流入小计                 1,316,900,208.36   1,213,562,017.67   -103,338,190.69
取得子公司及其他营业单位支付的现金
净额
支付其他与投资活动有关的现金                25,000,000.00                  -    -25,000,000.00
投资活动现金流出小计                 1,736,269,548.26   1,351,269,548.26   -385,000,000.00
投资活动产生的现金流量净额               -419,369,339.90    -137,707,530.59    281,661,809.31
收到其他与筹资活动有关的现金                21,657,534.25                  -    -21,657,534.25
筹资活动现金流入小计                    21,657,534.25                  -    -21,657,534.25
偿还债务支付的现金                      1,540,000.00                  -     -1,540,000.00
分配股利、利润或偿付利息支付的现金             44,667,199.41      33,667,994.51    -10,999,204.90
支付其他与筹资活动有关的现金                64,000,000.00                  -    -64,000,000.00
筹资活动现金流出小计                   110,207,199.41      33,667,994.51    -76,539,204.90
筹资活动产生的现金流量净额                -88,549,665.16     -33,667,994.51     54,881,670.65
五、现金及现金等价物净增加额              -199,099,698.34    -272,896,107.52    -73,796,409.18
六、期末现金及现金等价物余额               784,267,268.45     710,470,859.27    -73,796,409.18
     (1)2018 年 12 月 31 日合并资产负债表
         项目名称              更正前金额                更正后金额            更正影响金额
货币资金                       347,487,841.89       335,151,602.69   -12,336,239.20
应收票据及应收账款                  191,709,563.65       173,131,163.65   -18,578,400.00
预付款项                       464,715,870.02       443,760,270.44   -20,955,599.58
其他应收款                      61,793,290.22        54,608,819.13     -7,184,471.09
存货                         523,290,189.15       317,276,304.86   -206,013,884.29
其他流动资产                     53,350,795.32        48,350,795.32     -5,000,000.00
流动资产合计                   1,642,347,550.25     1,372,278,956.09   -270,068,594.16
可供出售金融资产                     3,871,592.94           200,000.00    -3,671,592.94
固定资产                       356,479,778.39       356,456,670.70       -23,107.69
递延所得税资产                   2,289,994.99        1,736,911.34         -553,083.65
非流动资产合计                 723,248,274.64      719,000,490.36       -4,247,784.28
资产总计                  2,365,595,824.89    2,091,279,446.45      -274,316,378.44
短期借款                      8,350,000.00                      -    -8,350,000.00
应付票据及应付账款               171,006,901.58      161,387,357.29       -9,619,544.29
应付职工薪酬                   17,687,931.84       16,697,214.94         -990,716.90
应交税费                      9,969,621.03       10,399,106.56          429,485.53
其他应付款                   661,713,634.86      102,551,377.10      -559,162,257.76
流动负债合计                  999,332,434.10      421,639,400.68      -577,693,033.42
预计负债                      4,372,103.00                      -    -4,372,103.00
递延所得税负债                     290,311.33                      -      -290,311.33
非流动负债合计                  16,600,071.04       11,937,656.71       -4,662,414.33
负债合计                  1,015,932,505.14      433,577,057.39      -582,355,447.75
未分配利润                    86,948,636.26      365,585,597.74      278,636,961.48
归属于母公司所有者权益合计         1,357,397,227.90    1,636,034,189.38      278,636,961.48
少数股东权益                   -7,733,908.15       21,668,199.68       29,402,107.83
所有者权益合计               1,349,663,319.75    1,657,702,389.06      308,039,069.31
负债和所有者权益总计            2,365,595,824.89    2,091,279,446.45      -274,316,378.44
  (2)2018 年度合并利润表
        项目名称           更正前金额               更正后金额                  更正金额
一、营业收入               1,654,823,836.35    1,585,852,534.86        -68,971,301.49
  减:营业成本               995,703,435.22      933,266,043.75        -62,437,391.47
       税金及附加            43,163,914.46       42,687,272.00           -476,642.46
       销售费用            473,920,834.78      466,322,980.71         -7,597,854.07
       管理费用            131,426,861.53      123,617,561.79         -7,809,299.74
       财务费用             36,770,541.09       -4,197,496.53        -40,968,037.62
        其中:利息费用         40,326,248.83                   -        -40,326,248.83
           利息收入          5,275,788.08        5,224,100.54            -51,687.54
       资产减值损失          857,546,473.32       -6,576,489.46       -864,122,962.78
  加:其他收益                39,330,111.21       37,142,111.21         -2,188,000.00
       投资收益(损失以“-”
号填列)
二、营业利润(亏损以“-”号填列)     -837,064,829.52       76,766,519.97        913,831,349.49
  加:营业外收入              237,434,164.07        2,841,664.02       -234,592,500.05
  减:营业外支出                9,879,650.02          332,204.04         -9,547,445.98
三、利润总额(亏损总额以“-”号
                      -609,510,315.47       79,275,979.95        688,786,295.42
填列)
  减:所得税费用               12,661,506.21        1,811,902.22        -10,849,603.99
四、净利润(净亏损以“-”号填列)     -622,171,821.68       77,464,077.73        699,635,899.41
    (一)按经营持续性分类
                         -622,171,821.68       77,464,077.73        699,635,899.41
以“-”号填列)
    (二)按所有权归属分类
                         -531,705,386.60       77,178,279.52        608,883,666.12
利润(净亏损以“-”号填列)
                         -90,466,435.08           285,798.21        90,752,233.29
“-”号填列)
六、综合收益总额                 -622,185,448.82       77,450,450.59        699,635,899.41
    归属于母公司所有者的综合收
                         -531,719,013.74       77,164,652.38        608,883,666.12
益总额
    归属于少数股东的综合收益总
                         -90,466,435.08           285,798.21        90,752,233.29

    (一)基本每股收益(元/股)              -1.4270               0.2071               1.6341
    (二)稀释每股收益(元/股)              -1.4270               0.2071               1.6341
     (3)2018 年度合并现金流量表
          项目名称                更正前金额               更正后金额               更正金额
销售商品、提供劳务收到的现金             1,959,777,724.48    1,764,601,568.65    -195,176,155.83
收到其他与经营活动有关的现金               152,342,455.54      84,906,343.75      -67,436,111.79
经营活动现金流入小计                 2,112,122,020.21    1,849,509,752.59    -262,612,267.62
购买商品、接受劳务支付的现金             1,563,586,307.97    1,409,569,832.44    -154,016,475.53
支付给职工以及为职工支付的现金              165,353,098.75      160,839,019.74     -4,514,079.01
支付的各项税费                      100,269,007.29      77,409,120.72      -22,859,886.57
支付其他与经营活动有关的现金               432,115,794.67      379,580,429.61     -52,535,365.06
经营活动现金流出小计                 2,261,324,208.68    2,027,398,402.51    -233,925,806.17
经营活动产生的现金流量净额               -149,202,188.47    -177,888,649.92      -28,686,461.45
收回投资收到的现金                    105,071,365.15      100,000,000.00     -5,071,365.15
取得投资收益收到的现金                    5,977,772.62        5,574,289.17       -403,483.45
收到其他与投资活动有关的现金                             -     45,671,840.00      45,671,840.00
投资活动现金流入小计                   111,072,142.01      151,269,133.41     40,196,991.40
购建固定资产、无形资产和其他长期资产
支付的现金
支付其他与投资活动有关的现金                 9,000,000.00      53,900,000.00      44,900,000.00
投资活动现金流出小计                   260,269,019.35      305,143,019.35     44,874,000.00
投资活动产生的现金流量净额               -149,196,877.34    -153,873,885.94      -4,677,008.60
取得借款收到的现金                      8,900,000.00                    -    -8,900,000.00
收到其他与筹资活动有关的现金                66,227,000.00                    -    -66,227,000.00
筹资活动现金流入小计                    79,927,000.00        4,800,000.00     -75,127,000.00
偿还债务支付的现金                     24,683,600.00      12,116,054.80      -12,567,545.20
分配股利、利润或偿付利息支付的现金             69,105,714.07        39,140,803.03      -29,964,911.04
支付其他与筹资活动有关的现金               127,918,183.79                      -   -127,918,183.79
筹资活动现金流出小计                   221,707,497.86        51,256,857.83     -170,450,640.03
筹资活动产生的现金流量净额               -141,780,497.86       -46,456,857.83       95,323,640.03
五、现金及现金等价物净增加额              -440,179,426.56      -378,219,256.58       61,960,169.98
加:期初现金及现金等价物余额               784,267,268.45       710,470,859.27      -73,796,409.18
六、期末现金及现金等价物余额               344,087,841.89       332,251,602.69      -11,836,239.20
     (1)2019 年 12 月 31 日合并资产负债表
         项目名称             更正前金额                 更正后金额                  更正金额
货币资金                      448,177,443.68        446,746,536.50         -1,430,907.18
应收账款                      406,360,117.61        404,894,169.46         -1,465,948.15
预付款项                      270,033,899.30        265,211,439.24         -4,822,460.06
其他应收款                      59,663,028.55         66,440,885.23          6,777,856.68
存货                        575,581,459.83        451,444,454.80       -124,137,005.03
其他流动资产                     93,125,513.66         82,113,585.61        -11,011,928.05
流动资产合计                  1,863,039,234.89      1,726,948,843.10       -136,090,391.79
其他非流动金融资产                   3,787,010.58          1,114,282.95         -2,672,727.63
固定资产                      352,624,072.63        352,613,961.69            -10,110.94
非流动资产合计                   695,542,193.58        692,859,355.01         -2,682,838.57
资产总计                    2,558,581,428.47      2,419,808,198.11       -138,773,230.36
应付账款                      213,012,296.40        204,504,612.07         -8,507,684.33
预收款项                      152,802,140.92        151,484,593.75         -1,317,547.17
应付职工薪酬                     20,707,693.69         20,477,406.73           -230,286.96
应交税费                       11,421,989.71         10,934,056.00           -487,933.71
其他应付款                     748,407,238.67        166,594,681.24       -581,812,557.43
流动负债合计                  1,181,351,359.39        588,995,349.79       -592,356,009.60
预计负债                        9,193,016.28                     -         -9,193,016.28
递延所得税负债                        82,543.32                     -            -82,543.32
非流动负债合计                    50,975,357.51         41,699,797.91         -9,275,559.60
负债合计                    1,232,326,716.90        630,695,147.70       -601,631,569.20
未分配利润                      93,520,351.52        496,012,728.61        402,492,377.09
归属于母公司所有者权益合计           1,363,918,330.24      1,766,410,707.33        402,492,377.09
少数股东权益                    -37,663,618.67         22,702,343.08         60,365,961.75
所有者权益合计                 1,326,254,711.57      1,789,113,050.41        462,858,338.84
负债和所有者权益总计              2,558,581,428.47      2,419,808,198.11       -138,773,230.36
    (2)2019 年度合并利润表
          项目名称              更正前金额              更正后金额              更正金额
一、营业收入                    2,138,087,936.10   2,118,846,994.96   -19,240,941.14
      减:营业成本              1,328,097,112.08   1,234,953,198.55   -93,143,913.53
       税金及附加                 45,104,284.02     44,905,506.17      -198,777.85
       销售费用                 635,538,953.50     629,887,379.40   -5,651,574.10
       管理费用                 138,710,884.48     133,782,145.32   -4,928,739.16
       财务费用                  34,953,461.54       -991,058.88    -35,944,520.42
       其中:利息费用               37,194,828.04       1,384,538.54   -35,810,289.50
           利息收入               3,786,447.86       3,777,228.20       -9,219.66
     加:其他收益                  38,485,380.26     36,246,087.81    -2,239,292.45
       公允价值变动收益(损失以“-”
号填列)
       信用减值损失(损失以“-”号
                             -1,821,100.04     10,619,960.59    12,441,060.63
填列)
       资产减值损失(损失以“-”号
                            -29,050,467.63     -10,429,066.51   18,621,401.12
填列)
二、营业利润(亏损以“-”号填列)           -22,301,210.30     127,278,465.84   149,579,676.14
     减:营业外支出                  4,971,608.09         77,330.34    -4,894,277.75
三、利润总额(亏损总额以“-”号填列)         -24,888,992.98     129,584,960.91   154,473,953.89
     减:所得税费用                    707,498.01         362,182.37     -345,315.64
四、净利润(净亏损以“-”号填列)           -25,596,490.99     129,222,778.54   154,819,269.53
    (一)按经营持续性分类
                            -25,596,490.99     129,222,778.54   154,819,269.53
“-”号填列)
    (二)按所有权归属分类
(净亏损以“-”号填列)
                            -32,168,206.25     -1,204,352.33    30,963,853.92
号填列)
六、综合收益总额                    -25,647,103.91     129,172,165.62   154,819,269.53
     归属于母公司所有者的综合收益总

     归属于少数股东的综合收益总额         -32,168,206.25     -1,204,352.33    30,963,853.92
    (一)基本每股收益(元/股)                  0.0176             0.3500           0.3324
    (二)稀释每股收益(元/股)                  0.0176             0.3500           0.3324
    (3)2019 年度合并现金流量表
          项目名称              更正前金额               更正后金额             更正金额
销售商品、提供劳务收到的现金            2,013,164,345.14   1,982,889,187.06   -30,275,158.08
收到的税费返还                          431,906.02           399,028.24        -32,877.78
收到其他与经营活动有关的现金               195,448,579.92       164,678,674.24     -30,769,905.68
经营活动现金流入小计                 2,209,044,831.08     2,147,966,889.54     -61,077,941.54
购买商品、接受劳务支付的现金             1,278,899,932.12     1,262,719,108.62     -16,180,823.50
支付给职工以及为职工支付的现金              171,237,186.99       166,025,344.32     -5,211,842.67
支付的各项税费                       75,437,329.94        68,587,346.26     -6,849,983.68
支付其他与经营活动有关的现金               424,319,863.24       411,315,017.44     -13,004,845.80
经营活动现金流出小计                 1,949,894,312.29     1,908,646,816.64     -41,247,495.65
经营活动产生的现金流量净额                259,150,518.79       239,320,072.90     -19,830,445.89
收回投资收到的现金                        868,942.39                      -     -868,942.39
投资活动现金流入小计                    11,032,788.83        10,163,846.44       -868,942.39
投资活动产生的现金流量净额               -155,973,320.71      -156,842,263.10       -868,942.39
收到其他与筹资活动有关的现金                22,435,665.40                      -   -22,435,665.40
筹资活动现金流入小计                    92,335,665.40        69,900,000.00     -22,435,665.40
偿还债务支付的现金                     38,350,000.00        30,000,000.00     -8,350,000.00
分配股利、利润或偿付利息支付的现金             13,461,965.15        10,222,923.08     -3,239,042.07
支付其他与筹资活动有关的现金                43,180,000.00           980,000.00     -42,200,000.00
筹资活动现金流出小计                    94,991,965.15        41,202,923.08     -53,789,042.07
筹资活动产生的现金流量净额                 -2,656,299.75        28,697,076.92     31,353,376.67
五、现金及现金等价物净增加额               100,520,945.42       111,174,933.81     10,653,988.39
加:期初现金及现金等价物余额               344,087,841.89       332,251,602.69     -11,836,239.20
六、期末现金及现金等价物余额               444,608,787.31       443,426,536.50     -1,182,250.81
     (1)2020 年 12 月 31 日合并资产负债表
        项目名称             更正前金额                  更正后金额                 更正金额
货币资金                     565,083,139.85         563,558,767.87       -1,524,371.98
应收账款                     379,122,348.33         377,503,338.33       -1,619,010.00
预付款项                     116,434,402.86         116,235,226.14         -199,176.72
其他应收款                    24,447,288.68          61,487,123.27        37,039,834.59
存货                       531,403,087.16         462,193,949.99       -69,209,137.17
其他流动资产                   92,594,583.56          81,237,508.60        -11,357,074.96
流动资产合计                 1,730,181,750.44       1,683,312,814.20       -46,868,936.24
其他非流动金融资产                  3,806,026.82           1,003,376.27       -2,802,650.55
固定资产                     336,532,442.30         336,530,998.12           -1,444.18
非流动资产合计                  629,346,222.05         626,542,127.32       -2,804,094.73
资产总计                   2,359,527,972.49       2,309,854,941.52       -49,673,030.97
应付账款                     348,247,777.06         344,416,386.99       -3,831,390.07
合同负债                     174,948,971.75         172,777,141.57       -2,171,830.18
应付职工薪酬                    24,925,126.76         24,755,754.00          -169,372.76
应交税费                       6,094,900.64           5,606,966.93         -487,933.71
其他应付款                    808,486,984.09         226,247,745.08     -582,239,239.01
流动负债合计              1,368,245,557.29            779,345,791.56     -588,899,765.73
预计负债                      21,085,413.63         17,393,000.00        -3,692,413.63
非流动负债合计                   79,617,981.20         75,925,567.57        -3,692,413.63
负债合计                1,447,863,538.49            855,271,359.13     -592,592,179.36
未分配利润                   -294,987,086.68         170,183,938.05      465,171,024.73
归属于母公司所有者权益合计            975,244,061.35       1,440,415,086.08      465,171,024.73
少数股东权益                   -63,579,627.35         14,168,496.31        77,748,123.66
所有者权益合计                  911,664,434.00       1,454,583,582.39      542,919,148.39
负债和所有者权益总计          2,359,527,972.49          2,309,854,941.52      -49,673,030.97
  (2)2020 年度合并利润表
          项目名称                更正前金额                更正后金额              更正金额
一、营业收入                       571,209,354.31       559,249,446.41    -11,959,907.90
      减:营业成本                 273,402,007.10       603,641,945.57    330,239,938.47
        税金及附加                  9,258,027.54         9,247,022.70        -11,004.84
        销售费用                 462,362,993.68        96,544,545.30   -365,818,448.38
        管理费用                 120,382,392.62       115,293,884.56     -5,088,508.06
        财务费用                  29,983,378.63        -2,016,673.07    -32,000,051.70
        其中:利息费用               32,890,256.67           894,891.78    -31,995,364.89
           利息收入                3,563,888.01         3,561,147.96         -2,740.05
  加:其他收益                      29,697,297.07        29,691,106.89         -6,190.18
       公允价值变动收益(损失以“-”
号填列)
       信用减值损失(损失以“-”号
填列)
       资产减值损失(损失以“-”号
                            -103,845,484.22       -71,372,057.46     32,473,426.76
填列)
二、营业利润(亏损以“-”号填列)           -385,039,543.71      -318,321,218.80     66,718,324.91
  加:营业外收入                      1,062,408.96         1,062,408.94             -0.02
  减:营业外支出                     33,007,339.92        19,582,311.94    -13,425,027.98
三、利润总额(亏损总额以“-”号填列)         -416,984,474.67      -336,841,121.80     80,143,352.87
  减:所得税费用                     -3,525,524.98        -3,442,981.66         82,543.32
四、净利润(净亏损以“-”号填列)           -413,458,949.69      -333,398,140.14     80,060,809.55
 (一)按经营持续性分类
                            -413,458,949.69      -333,398,140.14     80,060,809.55
“-”号填列)
 (二)按所有权归属分类
(净亏损以“-”号填列)
                               -24,951,511.49          -7,569,349.58     17,382,161.91
号填列)
六、综合收益总额                      -413,625,780.38        -333,564,970.83     80,060,809.55
     归属于母公司所有者的综合收益总
                              -388,674,268.89        -325,995,621.25     62,678,647.64

     归属于少数股东的综合收益总额            -24,951,511.49          -7,569,349.58     17,382,161.91
     (一)基本每股收益(元/股)                      -1.0427             -0.8745            0.1682
     (二)稀释每股收益(元/股)                      -1.0427             -0.8745            0.1682
     (3)2020 年度合并现金流量表
          项目名称                 更正前金额                   更正后金额              更正金额
销售商品、提供劳务收到的现金                 911,619,037.03         905,792,127.03    -5,826,910.00
收到其他与经营活动有关的现金                 137,859,936.15         135,310,202.50    -2,549,733.65
经营活动现金流入小计                   1,052,854,317.89       1,044,477,674.24    -8,376,643.65
购买商品、接受劳务支付的现金                 348,862,689.78         513,301,737.64   164,439,047.86
支付给职工以及为职工支付的现金                132,135,074.74         130,381,321.56    -1,753,753.18
支付的各项税费                         20,981,433.28          20,873,264.82      -108,168.46
支付其他与经营活动有关的现金                 311,232,852.84         140,026,929.50   -171,205,923.34
经营活动现金流出小计                     813,212,050.64         804,583,253.52    -8,628,797.12
经营活动产生的现金流量净额                  239,642,267.25         239,894,420.72       252,153.47
五、现金及现金等价物净增加额                 109,083,130.00         109,335,283.47       252,153.47
加:期初现金及现金等价物余额                 444,608,787.31         443,426,536.50    -1,182,250.81
六、期末现金及现金等价物余额                 553,691,917.31         552,761,819.97      -930,097.34
     (1)2021 年 12 月 31 日合并资产负债表
       项目名称            更正前金额                       更正后金额                更正金额
货币资金                    403,242,899.54             401,491,309.41        -1,751,590.13
应收账款                    224,231,903.25             222,864,565.25        -1,367,338.00
预付款项                    114,761,676.26             114,629,185.34          -132,490.92
其他应收款                   32,879,414.48              68,223,290.69         35,343,876.21
存货                      344,729,753.82             344,541,068.57          -188,685.25
其他流动资产                  89,372,460.36              83,256,428.43         -6,116,031.93
流动资产合计                1,294,907,616.51         1,320,695,356.49          25,787,739.98
其他非流动金融资产                 2,993,950.60                 991,300.05        -2,002,650.55
非流动资产合计               1,818,804,977.03         1,816,802,326.48          -2,002,650.55
资产总计                  3,113,712,593.54         3,137,497,682.97          23,785,089.43
应付账款                    308,982,799.47             305,070,153.42        -3,912,646.05
合同负债                   173,012,468.33        170,688,600.35            -2,323,867.98
应付职工薪酬                  20,620,269.23            20,475,750.23           -144,519.00
应交税费                     3,003,302.44             2,514,928.73           -488,373.71
其他应付款                  692,319,274.73        131,002,049.47          -561,317,225.26
流动负债合计             1,293,013,354.68          724,826,722.68          -568,186,632.00
预计负债                    13,008,917.38            12,635,000.00           -373,917.38
非流动负债合计            1,320,775,867.21        1,320,401,949.83              -373,917.38
负债合计               2,613,789,221.89        2,045,228,672.51          -568,560,549.38
未分配利润                 -692,610,281.31       -187,898,064.25           504,712,217.06
归属于母公司所有者权益合

少数股东权益                 -77,623,673.86            10,009,747.89         87,633,421.75
所有者权益合计                499,923,371.65      1,092,269,010.46           592,345,638.81
负债和所有者权益总计         3,113,712,593.54        3,137,497,682.97            23,785,089.43
    (2)2021 年度合并利润表
           项目名称                  更正前金额               更正后金额              更正金额
一、营业收入                          947,419,514.65      944,029,054.18    -3,390,460.47
      减:营业成本                    382,905,226.55      803,760,553.74   420,855,327.19
        税金及附加                    29,952,032.80       29,949,116.90        -2,915.90
        销售费用                    490,414,311.86       68,588,070.65   -421,826,241.21
        管理费用                    132,480,460.57      130,145,917.49    -2,334,543.08
        财务费用                     77,116,184.58       50,308,655.19   -26,807,529.39
        其中:利息费用                  80,717,966.92       53,916,369.07   -26,801,597.85
            利息收入                  4,760,967.98        4,754,297.32        -6,670.66
     加:其他收益                      36,614,440.09       36,613,323.68        -1,116.41
       信用减值损失(损失以“-”号填列)            -96,566.46       -2,555,029.37    -2,458,462.91
       资产减值损失(损失以“-”号填列)        -47,631,761.90      -37,862,217.86     9,769,544.04
二、营业利润(亏损以“-”号填列)              -170,105,106.09     -136,069,699.45    34,035,406.64
     加:营业外收入                      1,447,297.35        1,384,143.49       -63,153.86
     减:营业外支出                     16,130,907.54          676,669.90   -15,454,237.64
三、利润总额(亏损总额以“-”号填列)            -184,788,716.28     -135,362,225.86    49,426,490.42
四、净利润(净亏损以“-”号填列)              -184,174,474.10     -134,747,983.68    49,426,490.42
    (一)按经营持续性分类
                               -184,174,474.10     -134,747,983.68    49,426,490.42
号填列)
    (二)按所有权归属分类
                               -170,400,107.72     -130,858,915.39    39,541,192.33
损以“-”号填列)
                                -13,774,366.38       -3,889,068.29     9,885,298.09
填列)
六、综合收益总额                     -184,248,295.31    -134,821,804.89     49,426,490.42
     (一)归属于母公司所有者的综合收益总
                             -170,473,928.93    -130,932,736.60     39,541,192.33

     (二)归属于少数股东的综合收益总额        -13,774,366.38      -3,889,068.29      9,885,298.09
     (一)基本每股收益(元/股)                  -0.4573             -0.3512           0.1061
     (二)稀释每股收益(元/股)                  -0.4573             -0.3512           0.1061
     (3)2021 年度合并现金流量表
           项目名称               更正前金额               更正后金额               更正金额
销售商品、提供劳务收到的现金             1,629,643,747.75    1,625,968,427.75     -3,675,320.00
收到其他与经营活动有关的现金               127,773,312.88      128,726,340.67        953,027.79
经营活动现金流入小计                 1,759,480,121.94    1,756,757,829.73     -2,722,292.21
购买商品、接受劳务支付的现金               916,217,110.30    1,035,472,814.03    119,255,703.73
支付给职工以及为职工支付的现金              169,319,001.43      167,960,429.21     -1,358,572.22
支付其他与经营活动有关的现金               415,552,878.25      294,397,968.75    -121,154,909.50
经营活动现金流出小计                 1,539,650,676.28    1,536,392,898.29     -3,257,777.99
经营活动产生的现金流量净额                219,829,445.66      220,364,931.44        535,485.78
收回投资收到的现金                    163,320,000.00      162,520,000.00       -800,000.00
投资活动现金流入小计                   176,379,599.34      175,579,599.34       -800,000.00
投资活动产生的现金流量净额               -280,590,666.80     -281,390,666.80       -800,000.00
支付其他与筹资活动有关的现金               106,541,501.63      106,539,778.27         -1,723.36
筹资活动现金流出小计                   106,841,501.63      106,839,778.27         -1,723.36
筹资活动产生的现金流量净额               -103,291,501.63     -103,289,778.27          1,723.36
五、现金及现金等价物净增加额              -164,052,717.36     -164,315,508.22       -262,790.86
加:期初现金及现金等价物余额               553,691,917.31      552,761,819.97       -930,097.34
六、期末现金及现金等价物余额               389,639,199.95      388,446,311.75     -1,192,888.20
     (1)2022 年 12 月 31 日合并资产负债表
         项目名称             更正前金额                 更正后金额                 更正金额
货币资金                      277,837,154.71        276,606,599.22       -1,230,555.49
应收账款                      183,783,199.48        183,542,019.48         -241,180.00
预付款项                       96,328,739.90        96,212,231.50          -116,508.40
其他应收款                      38,759,099.43        72,364,794.57        33,605,695.14
存货                        299,378,166.91        299,378,160.91               -6.00
其他流动资产                     68,915,633.33        63,336,504.54        -5,579,128.79
流动资产合计                    975,101,993.76      1,001,540,310.22       26,438,316.46
资产总计                    2,760,245,317.52      2,786,683,633.98       26,438,316.46
应付账款                      193,362,314.70        189,349,699.97       -4,012,614.73
合同负债                      205,080,756.17         203,908,775.04      -1,171,981.13
应付职工薪酬                      24,505,560.05        24,269,109.44         -236,450.61
应交税费                        2,341,948.05           1,843,967.68        -497,980.37
其他应付款                     711,122,973.04         117,874,702.65    -593,248,270.39
流动负债合计                  1,247,242,495.49         648,075,198.26    -599,167,297.23
预计负债                        13,000,437.93        12,635,000.00         -365,437.93
非流动负债合计                 1,387,061,206.16       1,386,695,768.23        -365,437.93
负债合计                    2,634,303,701.65       2,034,770,966.49    -599,532,735.16
未分配利润                   -1,052,483,716.75      -523,060,108.00      529,423,608.75
归属于母公司所有者权益合计             217,623,644.43         747,047,253.18     529,423,608.75
少数股东权益                    -91,682,028.56           4,865,414.31      96,547,442.87
所有者权益合计                   125,941,615.87         751,912,667.49     625,971,051.62
负债和所有者权益总计              2,760,245,317.52       2,786,683,633.98      26,438,316.46
  (2)2022 年度合并利润表
          项目名称                 更正前金额               更正后金额              更正金额
一、营业收入                        632,442,525.78      629,813,283.26    -2,629,242.52
      减:营业成本                  343,274,436.19      728,019,928.50    384,745,492.31
        税金及附加                 21,545,816.85        21,543,033.83        -2,783.02
                                                                   -385,910,554.13
        销售费用                  403,843,596.69       17,933,042.56
        管理费用                  128,500,556.54      126,805,991.34    -1,694,565.20
        财务费用                  80,005,981.12        51,846,246.17    -28,159,734.95
        其中:利息费用               83,282,700.08        55,412,630.37    -27,870,069.71
           利息收入                 4,076,603.42        4,360,642.36        284,038.94
  加:其他收益                      24,992,704.31        24,798,677.00      -194,027.31
       信用减值损失(损失以“-”号
                              -9,539,999.55       -20,609,740.56    -11,069,741.01
填列)
       资产减值损失(损失以“-”号
                              -33,024,293.44      -32,494,008.89        530,284.55
填列)
二、营业利润(亏损以“-”号填列)           -356,886,003.78      -339,226,585.08    17,659,418.70
       减:营业外支出                16,183,626.77           217,632.66    -15,965,994.11
三、利润总额(亏损总额以“-”号填列)         -371,320,035.69      -337,694,622.88    33,625,412.81
四、净利润(净亏损以“-”号填列)           -374,345,318.18      -340,719,905.37    33,625,412.81
 (一)按经营持续性分类
                            -374,345,318.18      -340,719,905.37    33,625,412.81
“-”号填列)
 (二)按所有权归属分类
                            -359,873,435.44      -335,162,043.75    24,711,391.69
(净亏损以“-”号填列)
号填列)
六、综合收益总额                     -374,395,283.82      -340,769,871.01       33,625,412.81
     (一)归属于母公司所有者的综合收
                             -359,923,401.08      -335,212,009.39       24,711,391.69
益总额
     (二)归属于少数股东的综合收益总
                              -14,471,882.74        -5,557,861.62         8,914,021.12

     (一)基本每股收益(元/股)                  -0.9658              -0.8995               0.0663
     (二)稀释每股收益(元/股)                  -0.9658              -0.8995               0.0663
     (3)2022 年度合并现金流量表
           项目名称                  更正前金额               更正后金额                更正金额
销售商品、提供劳务收到的现金                1,029,317,937.02     1,027,381,827.02     -1,936,110.00
收到的税费返还                          49,074,979.69       48,585,941.40        -489,038.29
收到其他与经营活动有关的现金                   88,326,563.53       88,264,365.82         -62,197.71
经营活动现金流入小计                    1,166,719,480.24     1,164,232,134.24     -2,487,346.00
购买商品、接受劳务支付的现金                  763,916,483.27      873,065,869.60      109,149,386.33
支付给职工以及为职工支付的现金                 156,441,678.16      155,235,391.18      -1,206,286.98
支付的各项税费                          36,658,311.98       36,651,744.44          -6,567.54
支付其他与经营活动有关的现金                  183,095,736.54       83,136,277.00      -99,959,459.54
经营活动现金流出小计                    1,140,112,209.95     1,148,089,282.22      7,977,072.27
经营活动产生的现金流量净额                    26,607,270.29       16,142,852.02      -10,464,418.27
偿还债务支付的现金                        11,003,700.00                      -   -11,003,700.00
筹资活动现金流出小计                      102,801,776.51       91,798,076.51      -11,003,700.00
筹资活动产生的现金流量净额                  -102,321,776.51      -91,318,076.51      11,003,700.00
五、现金及现金等价物净增加额                 -125,798,994.26     -125,259,712.53         539,281.73
加:期初现金及现金等价物余额                  389,639,199.95      388,446,311.75      -1,192,888.20
六、期末现金及现金等价物余额                  263,840,205.69      263,186,599.22        -653,606.47
     (1)2023 年 9 月 31 日合并资产负债表
        项目名称           更正前金额                     更正后金额                    更正金额
货币资金                    400,550,016.12             400,186,625.55         -363,390.57
应收账款                    163,405,680.22             162,667,669.22         -738,011.00
预付款项                    54,875,338.89              54,823,193.05            -52,145.84
其他应收款                   38,239,981.04              72,277,055.16        34,037,074.12
存货                      369,955,555.31             369,955,549.31               -6.00
其他流动资产                  52,934,919.71              47,452,890.55        -5,482,029.16
流动资产合计                1,093,961,491.29           1,121,362,982.84       27,401,491.55
资产总计                2,661,864,301.05           2,689,265,792.60    27,401,491.55
应付账款                  168,660,974.64             164,956,393.12    -3,704,581.52
合同负债                  260,337,296.82             259,048,594.95    -1,288,701.87
应付职工薪酬                  2,842,950.10               2,610,320.69      -232,629.41
应交税费                    1,691,556.31               1,183,928.99      -507,627.32
其他应付款                 738,242,563.19             119,408,550.46   -618,834,012.73
流动负债合计              1,288,480,852.13             663,913,299.28   -624,567,552.85
预计负债                   13,000,437.93             12,635,000.00       -365,437.93
非流动负债合计             1,233,086,435.56           1,232,720,997.63      -365,437.93
负债合计                2,521,567,287.69           1,896,634,296.91   -624,932,990.78
未分配利润              -1,034,955,820.90           -484,501,273.93     550,454,546.97
归属于母公司所有者权益合计         235,172,736.99             785,627,283.96    550,454,546.97
少数股东权益                -94,875,723.63               7,004,211.73    101,879,935.36
所有者权益合计               140,297,013.36             792,631,495.69    652,334,482.33
负债和所有者权益总计          2,661,864,301.05           2,689,265,792.60    27,401,491.55
  (2)2023 年 1-9 月合并利润表
          项目名称                 更正前金额               更正后金额             更正金额
一、营业收入                        816,683,615.00     814,102,199.92    -2,581,415.08
       减:营业成本                 328,666,916.57     643,931,534.54    315,264,617.97
           税金及附加               14,112,575.79      14,112,314.57          -261.22
           销售费用               329,545,788.05      13,468,554.72   -316,077,233.33
           管理费用                86,519,621.76      85,714,335.12      -805,286.64
           财务费用                58,480,962.28      37,316,059.29    -21,164,902.99
       其中:利息费用                 60,138,412.85      38,977,789.43    -21,160,623.42
          利息收入                  2,929,153.31       2,928,190.83          -962.48
       加:其他收益                   9,441,232.30       9,440,244.81          -987.49
         信用减值损失(损失以“-”号
填列)
         资产减值损失(损失以“-”号
填列)
二、营业利润(亏损以“-”号填列)              21,050,472.63      38,670,798.70    17,620,326.07
       减:营业外支出                  8,912,860.74         169,756.10    -8,743,104.64
三、利润总额(亏损总额以“-”号填列)            13,693,134.75      40,056,565.46    26,363,430.71
四、净利润(净亏损以“-”号填列)              14,334,200.78      40,697,631.49    26,363,430.71
  (一)按经营持续性分类
号填列)
  (二)按所有权归属分类
亏损以“-”号填列)
                               -3,193,695.07       2,138,797.42         5,332,492.49
以“-”号填列)
六、综合收益总额                       14,325,986.75      40,689,417.46        26,363,430.71
     (一)归属于母公司所有者的综合收益
总额
     (二)归属于少数股东的综合收益总额         -3,193,695.07       2,138,797.42         5,332,492.49
     (一)基本每股收益(元/股)                   0.0470             0.1035               0.0565
     (二)稀释每股收益(元/股)                   0.0470             0.1035               0.0565
     (3)2023 年 1-9 月合并现金流量表
           项目名称               更正前金额               更正后金额                  更正金额
销售商品、提供劳务收到的现金            1,378,476,479.81      1,377,162,879.81       -1,313,600.00
收到的税费返还                        7,812,218.55         7,812,218.52               -0.03
收到其他与经营活动有关的现金                31,292,559.58        30,941,742.91         -350,816.67
经营活动现金流入小计                1,417,581,257.94      1,415,916,841.24       -1,664,416.70
购买商品、接受劳务支付的现金              845,767,760.72         908,322,897.6       62,555,136.88
支付给职工以及为职工支付的现金             126,768,786.84        125,843,516.09         -925,270.75
支付的各项税费                       32,297,961.86        32,297,700.64             -261.22
支付其他与经营活动有关的现金              133,066,946.02         69,515,171.75       -63,551,774.27
经营活动现金流出小计                1,137,901,455.44      1,135,979,286.08       -1,922,169.36
经营活动产生的现金流量净额               279,679,802.50        279,937,555.16          257,752.66
分配股利、利润或偿付利息支付的现金                372,982.58                       -      -372,982.58
筹资活动现金流出小计                    91,158,580.66        90,785,598.08         -372,982.58
筹资活动产生的现金流量净额               -91,158,580.66        -90,785,598.08          372,982.58
五、现金及现金等价物净增加额              130,229,291.09        130,860,026.33          630,735.24
加:期初现金及现金等价物余额              263,840,205.69        263,186,599.22         -653,606.47
六、期末现金及现金等价物余额              394,069,496.78        394,046,625.55          -22,871.23
     (二)对母公司财务报表的影响
     (1)2017 年 12 月 31 日母公司资产负债表
项目名称                    更正前金额                 更正后金额                   更正金额
其他应收款                     591,625,750.89        627,246,780.97          35,621,030.08
流动资产合计                  1,406,701,004.59      1,442,322,034.67          35,621,030.08
长期股权投资                    885,800,659.37        165,800,659.37        -720,000,000.00
非流动资产合计                   886,864,520.45        166,864,520.45        -720,000,000.00
资产总计                    2,293,565,525.04      1,609,186,555.12        -684,378,969.92
其他应付款                     690,027,320.77        330,027,320.77     -360,000,000.00
流动负债合计                    710,763,266.50        350,763,266.50     -360,000,000.00
负债合计                      714,950,080.44        354,950,080.44     -360,000,000.00
未分配利润                     309,981,812.13        -14,397,157.79     -324,378,969.92
所有者权益(或股东权益)合计          1,578,615,444.60      1,254,236,474.68     -324,378,969.92
负债和所有者权益(或股东权益)总

    (2)2017 年度母公司利润表
          项目名称                 更正前金额              更正后金额               更正金额
       资产减值损失                 14,599,961.32       338,978,931.24    324,378,969.92
二、营业利润(亏损以“-”号填列)             22,879,832.67      -301,499,137.25   -324,378,969.92
三、利润总额(亏损总额以“-”号填列)           22,879,826.38      -301,499,143.54   -324,378,969.92
四、净利润(净亏损以“-”号填列)             22,879,826.38      -301,499,143.54   -324,378,969.92
六、综合收益总额
    归属于母公司所有者的综合收益总额          22,879,826.38      -301,499,143.54   -324,378,969.92
    (3)2017 年度母公司现金流量表
          项目名称                更正前金额               更正后金额               更正金额
支付其他与经营活动有关的现金               140,606,517.98      500,606,517.98    360,000,000.00
经营活动现金流出小计                   348,210,012.34      708,210,012.34    360,000,000.00
经营活动产生的现金流量净额                107,920,283.66     -252,079,716.34    -360,000,000.00
投资支付的现金                    1,560,000,000.00    1,200,000,000.00    -360,000,000.00
投资活动现金流出小计                 1,560,726,133.52    1,200,726,133.52    -360,000,000.00
投资活动产生的现金流量净额               -346,220,243.10       13,779,756.90    360,000,000.00
    (1)2018 年 12 月 31 日母公司资产负债表
        项目名称             更正前金额                  更正后金额                更正金额
其他应收款                    587,161,825.37         622,782,855.45       35,621,030.08
流动资产合计                 1,316,057,669.00       1,351,678,699.08       35,621,030.08
资产总计                   1,489,179,122.64       1,524,800,152.72       35,621,030.08
其他应付款                    402,799,966.05         277,392,466.05     -125,407,500.00
                                                                   -125,407,500.00
流动负债合计                   424,162,584.25         298,755,084.25
负债合计                     428,539,407.93         303,131,907.93     -125,407,500.00
未分配利润                  -207,993,917.76          -46,965,387.68      161,028,530.08
所有者权益(或股东权益)合计         1,060,639,714.71       1,221,668,244.79      161,028,530.08
负债和所有者权益(或股东权益)
总计
     (2)2018 年度母公司利润表
        项目名称             更正前金额                更正后金额               更正金额
     资产减值损失              724,972,503.65         4,972,503.65   -720,000,000.00
二、营业利润(亏损以“-”号填         -715,331,890.17
列)
                                                               -234,592,500.00
     加:营业外收入             234,693,100.00           100,600.00
三、利润总额(亏损总额以“-”         -480,714,926.86
号填列)
四、净利润(净亏损以“-”号填
                        -480,714,926.86         4,692,573.14    485,407,500.00
列)
    (一)按经营持续性分类         -480,714,926.86         4,692,573.14    485,407,500.00
六、综合收益总额                -480,714,926.86         4,692,573.14    485,407,500.00
     (1)2019 年 12 月 31 日母公司资产负债表
         项目名称              更正前金额              更正后金额              更正金额
其他应收款                      589,412,888.37     625,033,918.45     35,621,030.08
流动资产合计                   1,587,553,666.58   1,623,174,696.66     35,621,030.08
资产总计                     1,758,608,764.97   1,794,229,795.05     35,621,030.08
                                                               -125,407,500.00
其他应付款                      502,732,116.58     377,324,616.58
                                                               -125,407,500.00
流动负债合计                     623,121,178.32     497,713,678.32
                                                               -125,407,500.00
负债合计                       624,915,254.02     499,507,754.02
未分配利润                     -134,940,121.52      26,088,408.56    161,028,530.08
所有者权益(或股东权益)合计           1,133,693,510.95   1,294,722,041.03    161,028,530.08
负债和所有者权益(或股东权益)总

     (1)2020 年 12 月 31 日母公司资产负债表
        项目名称              更正前金额               更正后金额               更正金额
其他应收款                     669,861,042.29      698,632,072.37      28,771,030.08
流动资产合计                  1,587,577,202.51      1,616,348,232.59          28,771,030.08
资产总计                    1,756,738,914.09      1,785,509,944.17          28,771,030.08
                                                                      -125,407,500.00
其他应付款                     585,846,050.75          460,438,550.75
                                                                      -125,407,500.00
流动负债合计                    623,409,595.55          498,002,095.55
                                                                      -125,407,500.00
负债合计                      633,209,701.30          507,802,201.30
未分配利润                   -145,104,419.68             9,074,110.40       154,178,530.08
所有者权益(或股东权益)合计          1,123,529,212.79      1,277,707,742.87         154,178,530.08
负债和所有者权益(或股东权益)
总计
     (2)2020 年度母公司利润表
           项目名称                  更正前金额                更正后金额             更正金额
     信用减值损失(损失以“-”号填列)             3,796,242.32      -3,053,757.68    -6,850,000.00
二、营业利润(亏损以“-”号填列)                -10,200,535.72     -17,050,535.72    -6,850,000.00
三、利润总额(亏损总额以“-”号填列)              -10,164,298.16     -17,014,298.16    -6,850,000.00
四、净利润(净亏损以“-”号填列)                -10,164,298.16     -17,014,298.16    -6,850,000.00
 (一)按经营持续性分类                     -10,164,298.16     -17,014,298.16    -6,850,000.00
六、综合收益总额                         -10,164,298.16     -17,014,298.16    -6,850,000.00
     (1)2021 年 12 月 31 日母公司资产负债表
          项目名称                更正前金额                更正后金额               更正金额
其他应收款                        754,193,294.15       782,964,324.23      28,771,030.08
流动资产合计                     1,498,264,584.22   1,527,035,614.30        28,771,030.08
资产总计                       1,715,553,672.59   1,744,324,702.67        28,771,030.08
                                                                     -125,407,500.00
其他应付款                        548,842,793.49       423,435,293.49
                                                                     -125,407,500.00
流动负债合计                       583,171,537.95       457,764,037.95
                                                                     -125,407,500.00
负债合计                         592,850,971.92       467,443,471.92
未分配利润                       -145,930,931.80         8,247,598.28     154,178,530.08
所有者权益(或股东权益)合计             1,122,702,700.67   1,276,881,230.75       154,178,530.08
负债和所有者权益(或股东权益)总计          1,715,553,672.59   1,744,324,702.67        28,771,030.08
    (1)2022 年 12 月 31 日母公司资产负债表
         项目名称            更正前金额                  更正后金额                 更正金额
其他应收款                    743,526,737.61         761,353,074.90        17,826,337.29
流动资产合计                 1,315,319,936.69    1,333,146,273.98           17,826,337.29
资产总计                   1,532,142,975.68    1,549,969,312.97           17,826,337.29
                                                                    -125,407,500.00
其他应付款                    445,859,498.49         320,451,998.49
流动负债合计                   488,526,690.71         363,119,190.71      -125,407,500.00
负债合计                     499,620,985.57         374,213,485.57      -125,407,500.00
未分配利润                   -236,111,642.36         -92,877,805.07      143,233,837.29
所有者权益(或股东权益)合计         1,032,521,990.11    1,175,755,827.40         143,233,837.29
负债和所有者权益(或股东权益)总

    (2)2022 年度母公司利润表
           项目名称                  更正前金额              更正后金额              更正金额
                                                                    -10,944,692.79
    信用减值损失(损失以“-”号填列)           -6,466,792.90      -17,411,485.69
二、营业利润(亏损以“-”号填列)              -90,128,799.26     -101,073,492.05   -10,944,692.79
三、利润总额(亏损总额以“-”号填列)            -90,180,710.56     -101,125,403.35   -10,944,692.79
四、净利润(净亏损以“-”号填列)              -90,180,710.56     -101,125,403.35   -10,944,692.79
    (一)按经营持续性分类                -90,180,710.56     -101,125,403.35   -10,944,692.79
六、综合收益总额                       -90,180,710.56     -101,125,403.35   -10,944,692.79
     三、董事会、独立董事、监事会的意见
     (一)董事会意见
     董事会经审议认为:因笛女传媒管理层股东涉嫌欺诈,法院终审判决撤销公
司与笛女传媒原股东签订的《股权转让协议》,《股权转让协议》自始无效。公
司将笛女传媒剥离出并报表范围,并对相关年度财务报表进行追溯调整。为更加
客观地反映公司经营成果,公司将部分费用从销售费用重分类至营业成本,按照
《企业会计准则第 28 号——会计政策、会计估计变更和会计差错更正》的规定,
本次调整采用追溯调整,对以前年度会计报表进行追溯调整。董事会同意本次事
项。
     (二)独立董事意见
     独立董事专门会议经审议认为:公司本次会计差错更正符合《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》《深圳证券交易所上市公司
自律监管指引第 2 号—创业板上市公司规范运作》等相关文件的规定,有利于提
高公司会计信息质量,对公司实际经营状况的反映更为准确,没有损害公司和全
体股东的合法权益。独立董事同意本次事项。
  (三)监事会意见
  监事会经审议认为:公司本次会计差错更正符合《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》《深圳证券交易所上市公司自律监管指
引第 2 号—创业板上市公司规范运作》等相关文件的规定,有利于提高公司会计
信息质量,对公司实际经营状况的反映更为准确,没有损害公司和全体股东的合
法权益。公司董事会关于该会计差错更正事项的审议和表决程序符合法律、法规
和《公司章程》等相关制度的规定。监事会同意本次事项。
  四、备查文件
  特此公告。
                   幸福蓝海影视文化集团股份有限公司董事会

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