ST太重: 关于太原重工股份有限公司前期会计差错更正事项专项说明的鉴证报告

来源:证券之星 2025-12-12 19:08:45
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                                  利安达会计师事务所(特殊普通合伙)
        关于太原重工股份有限公司
前期会计差错更正事项专项说明的鉴证报告
                    目         录
                                         页次
一、鉴证报告                                    1-2
二、前期会计差错更正专项说明                           1- 18
委托单位:太原重工股份有限公司
审计单位:利安达会计师事务所(特殊普通合伙)
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                   太原重工股份有限公司
                   前期差错更正专项说明
  太原重工股份有限公司(以下简称“公司”)于第十届董事会第三次会议,审议通过《关
于前期会计差错更正及追溯调整的议案》,同意公司按照《企业会计准则第 28 号——会计
政策、会计估计变更和差错更正》、中国证券监督管理委员会《公开发行证券的公司信息披
露编报规则第 19 号——财务信息的更正及相关披露》有关规定,对公司相关年度财务报表
进行会计差错更正及追溯调整。
  一、前期会计差错更正概述
发的《立案告知书》。收到《立案告知书》后,公司高度重视,积极配合中国证监会的调查
工作。2025 年 10 月 31 日,公司收到中国证券监督管理委员会山西监管局下发的《行政处
罚事先告知书》。
  《行政处罚事先告知书》指出:公司 2014 年度、2016 年度营业收入存在跨期确认情形,
影响相关年度营业收入、营业成本、财务费用和净利润,以及各期应收账款、预付款项、其
他应收款、存货、合同资产、应付账款、合同负债等财务报表项目。据此,公司对前期会计
差错进行更正。具体如下:
  更正后公司 2014 年度营业收入减少 75,666.80 万元、营业成本减少 60,132.15 万元、
净利润减少 15,534.65 万元;
                                           营业成本增加 5,204.82
万元、财务费用增加 484.70 万元、净利润减少 1,302.87 万元;2016 年度营业收入减少
少 187.27 万元;2017 年度营业收入增加 18,521.44 万元、营业成本增加 17,964.25 万元、
财务费用增加 2,209.86 万元、净利润减少 1,652.66 万元;2018 年度营业收入增加 9,260.72
万元、营业成本增加 9,287.31 万元、财务费用增加 12,048.80 万元、净利润减少 12,075.39
万元;2019 年度营业收入增加 2,924.44 万元、营业成本增加 3,261.96 万元、财务费用增
加 1,823.73 万元、净利润减少 2,161.24 万元。上述年度累计影响营业收入减少 115,762.37
万元、营业成本减少 103,020.81 万元、财务费用增加 20,172.53 万元、净利润减少 32,914.08
万元。
  更正后公司 2020 年度营业收入增加 16,571.82 万元、营业成本增加 15,398.01 万元、
 净利润增加 1,173.81 万元;2021 年度营业收入增加 9,340.97 万元、营业成本增加 4,850.34
 万元、财务费用减少 69.95 万元、净利润增加 4,560.59 万元。上述年度累计影响营业收入
 增加 25,912.79 万元、营业成本增加 20,248.35 万元、财务费用减少 69.95 万元、净利润增
 加 5,734.40 万元。
     以上累计影响归母净资产减少 27,179.69 万元,同时公司对 2022 年度、2023 年度、2024
 年度及 2025 年一季度、半年度财务报表一并追溯调整。
     二、前期会计差错更正对公司财务状况和经营成果的影响
     本次会计差错更正后,公司 2014 年度、2018 年度财务报表由盈转亏,其余年度报表盈
 亏性质未发生改变。具体影响如下:
     (一)对 2014 年度财务报表的影响
                                                                   单位:元
          项目                 调整前               调整金额                调整后
应收账款                       8,853,691,842.34    51,679,105.76     8,905,370,948.10
预付账款                       1,594,771,956.38   -197,601,546.00    1,397,170,410.38
其他应收款                       147,139,072.17    291,903,623.99      439,042,696.16
存货                         6,663,086,666.17   -482,470,589.98    6,180,616,076.19
流动资产合计                    20,265,174,713.35   -336,489,406.23   19,928,685,307.12
资产合计                      27,600,712,956.24   -336,489,406.23   27,264,223,550.01
应付账款                       8,789,742,526.08   -181,142,877.56    8,608,599,648.52
流动负债合计                    18,315,355,482.43   -181,142,877.56   18,134,212,604.87
负债合计                      22,184,456,177.35   -181,142,877.56   22,003,313,299.79
未分配利润                      1,488,439,248.88   -155,346,528.67    1,333,092,720.21
归属于母公司所有者权益合计              5,412,821,516.04   -155,346,528.67    5,257,474,987.37
股东权益合计                     5,416,256,778.89   -155,346,528.67    5,260,910,250.22
负债和股东权益总计                 27,600,712,956.24   -336,489,406.23   27,264,223,550.01
                                                                   单位:元
          项目                 调整前               调整金额                调整后
营业收入                       9,023,321,688.96   -756,668,038.80    8,266,653,650.16
营业成本                       7,624,379,581.20   -601,321,510.13    7,023,058,071.07
利润总额                         20,336,185.09    -155,346,528.67     -135,010,343.58
净利润                           33,226,422.20    -155,346,528.67     -122,120,106.47
归属于母公司所有者的净利润                 32,134,979.94    -155,346,528.67     -123,211,548.73
                                                                    单位:元
          项目                  调整前               调整金额                调整后
应收账款                        7,543,796,284.83    51,679,105.76     7,595,475,390.59
预付账款                         991,283,079.35    -197,601,546.00     793,681,533.35
其他应收款                        674,671,546.81    291,903,623.99      966,575,170.80
存货                          5,454,699,953.80   -482,470,589.98    4,972,229,363.82
流动资产合计                  16,724,864,384.61      -336,489,406.23   16,388,374,978.38
资产合计                    22,789,496,978.65      -336,489,406.23   22,453,007,572.42
应付账款                        7,206,162,485.59   -181,142,877.56    7,025,019,608.03
流动负债合计                  14,687,914,793.61      -181,142,877.56   14,506,771,916.05
负债合计                    17,458,751,452.97      -181,142,877.56   17,277,608,575.41
未分配利润                       1,266,006,378.28   -155,346,528.67    1,110,659,849.61
股东权益合计                      5,330,745,525.68   -155,346,528.67    5,175,398,997.01
负债和股东权益总计               22,789,496,978.65      -336,489,406.23   22,453,007,572.42
                                                                    单位:元
          项目                  调整前               调整金额                调整后
营业收入                        7,097,769,722.28   -756,668,038.80    6,341,101,683.48
营业成本                        6,065,539,582.58   -601,321,510.13    5,464,218,072.45
利润总额                          -35,540,818.49   -155,346,528.67     -190,887,347.16
净利润                           -15,766,466.16   -155,346,528.67     -171,112,994.83
      (二)对 2015 年度财务报表的影响
                                                                    单位:元
          项目                  调整前               调整金额                调整后
应收账款                        8,797,149,439.27   -181,516,743.08    8,615,632,696.19
预付账款                        2,017,769,876.99   -402,945,284.77    1,614,824,592.22
其他应收款                        143,859,233.12    511,341,623.99      655,200,857.11
存货                          7,071,206,319.44   -246,559,921.20    6,824,646,398.24
流动资产合计             20,558,898,620.90   -319,680,325.06   20,239,218,295.84
资产合计               28,399,857,294.05   -319,680,325.06   28,080,176,968.99
应付账款                7,910,371,044.07   -151,305,103.08    7,759,065,940.99
流动负债合计             18,521,405,936.54   -151,305,103.08   18,370,100,833.46
负债合计               22,960,192,359.40   -151,305,103.08   22,808,887,256.32
未分配利润               1,510,551,270.33   -168,375,221.98    1,342,176,048.35
归属于母公司所有者权益合计       5,435,486,714.11   -168,375,221.98    5,267,111,492.13
股东权益合计              5,439,664,934.65   -168,375,221.98    5,271,289,712.67
负债和股东权益总计          28,399,857,294.05   -319,680,325.06   28,080,176,968.99
                                                            单位:元
          项目          调整前               调整金额                调整后
营业收入                6,861,101,805.42    43,866,575.90     6,904,968,381.32
营业成本                5,443,836,768.79    52,048,229.21     5,495,884,998.00
财务费用                 494,648,308.84      4,847,040.00      499,495,348.84
利润总额                  37,406,503.68     -13,028,693.31      24,377,810.37
净利润                   23,023,399.57     -13,028,693.31        9,994,706.26
归属于母公司所有者的净利润         22,112,021.45     -13,028,693.31        9,083,328.14
                                                            单位:元
          项目          调整前               调整金额                调整后
应收账款                7,810,604,508.54   -181,516,743.08    7,629,087,765.46
预付账款                1,337,683,049.11   -402,945,284.77     934,737,764.34
其他应收款                254,119,601.80    511,341,623.99      765,461,225.79
存货                  5,907,548,377.90   -246,559,921.20    5,660,988,456.70
流动资产合计             16,328,033,927.32   -319,680,325.06   16,008,353,602.26
资产合计               22,610,584,735.13   -319,680,325.06   22,290,904,410.07
应付账款                7,227,707,797.26   -151,305,103.08    7,076,402,694.18
流动负债合计             14,834,110,601.20   -151,305,103.08   14,682,805,498.12
负债合计               17,359,233,400.30   -151,305,103.08   17,207,928,297.22
未分配利润               1,186,612,187.43   -168,375,221.98    1,018,236,965.45
股东权益合计              5,251,351,334.83   -168,375,221.98    5,082,976,112.85
负债和股东权益总计               22,610,584,735.13      -319,680,325.06   22,290,904,410.07
                                                                    单位:元
          项目                  调整前               调整金额                调整后
营业收入                        5,290,612,498.49    43,866,575.90     5,334,479,074.39
营业成本                        4,469,325,887.21    52,048,229.21     4,521,374,116.42
财务费用                         436,900,122.01      4,847,040.00      441,747,162.01
利润总额                          -79,969,942.31    -13,028,693.31      -92,998,635.62
净利润                           -79,394,190.85    -13,028,693.31      -92,422,884.16
      (三)对 2016 年度财务报表的影响
                                                                    单位:元
          项目                  调整前               调整金额                调整后
应收账款                        7,800,159,052.90   -611,080,079.73    7,189,078,973.17
预付账款                        1,939,317,019.12   -195,815,486.66    1,743,501,532.46
其他应收款                        193,831,017.47    854,496,389.78     1,048,327,407.25
存货                          7,329,052,566.26   -130,011,426.22    7,199,041,140.04
流动资产合计                  20,540,146,187.28       -82,410,602.83   20,457,735,584.45
资产合计                    29,064,093,613.15       -82,410,602.83   28,981,683,010.32
应付账款                        7,851,670,502.76   -142,402,177.33    7,709,268,325.43
预收账款                        1,163,962,479.79   230,239,461.88     1,394,201,941.67
流动负债合计                  21,862,351,831.83       87,837,284.55    21,950,189,116.38
负债合计                    24,952,679,247.71       87,837,284.55    25,040,516,532.26
未分配利润                        -409,760,714.89   -170,247,887.38     -580,008,602.27
归属于母公司所有者权益合计               4,076,478,767.93   -170,247,887.38    3,906,230,880.55
股东权益合计                      4,111,414,365.44   -170,247,887.38    3,941,166,478.06
负债和股东权益总计               29,064,093,613.15       -82,410,602.83   28,981,683,010.32
                                                                    单位:元
          项目                  调整前               调整金额                调整后
营业收入                        4,277,405,819.78   -751,888,249.64    3,525,517,570.14
营业成本                        4,208,838,006.70   -786,069,965.00    3,422,768,041.70
财务费用                         554,546,848.78     36,054,380.76      590,601,229.54
利润总额                    -1,943,266,684.64        -1,872,665.40   -1,945,139,350.04
净利润                     -1,919,681,323.66        -1,872,665.40   -1,921,553,989.06
归属于母公司所有者的净利润           -1,920,311,985.22        -1,872,665.40   -1,922,184,650.62
                                                                    单位:元
          项目                  调整前               调整金额                调整后
应收账款                        6,862,038,896.08   -611,080,079.73    6,250,958,816.35
预付账款                        1,146,718,331.95   -195,815,486.66     950,902,845.29
其他应收款                        341,114,613.08    854,496,389.78     1,195,611,002.86
存货                          5,917,077,556.03   -130,011,426.22    5,787,066,129.81
流动资产合计                  15,759,537,703.52       -82,410,602.83   15,677,127,100.69
资产合计                    23,133,979,325.14       -82,410,602.83   23,051,568,722.31
应付账款                        6,815,605,988.91   -142,402,177.33    6,673,203,811.58
预收账款                         749,910,168.56    230,239,461.88      980,149,630.44
流动负债合计                  18,455,959,351.59       87,837,284.55    18,543,796,636.14
负债合计                    19,085,726,139.96       87,837,284.55    19,173,563,424.51
未分配利润                        -577,613,224.17   -170,247,887.38     -747,861,111.55
股东权益合计                      4,048,253,185.18   -170,247,887.38    3,878,005,297.80
负债和股东权益总计               23,133,979,325.14       -82,410,602.83   23,051,568,722.31
                                                                    单位:元
          项目                  调整前               调整金额                调整后
营业收入                        3,069,170,504.67   -751,888,249.64    2,317,282,255.03
营业成本                        3,401,856,839.53   -786,069,965.00    2,615,786,874.53
财务费用                         484,379,587.52     36,054,380.76      520,433,968.28
利润总额                    -1,795,117,609.60        -1,872,665.40   -1,796,990,275.00
净利润                     -1,764,225,411.60        -1,872,665.40   -1,766,098,077.00
      (四)对 2017 年度财务报表的影响
                                                                    单位:元
          项目                 调整前                调整金额                调整后
应收账款                7,447,986,433.88   -574,851,851.10    6,873,134,582.78
预付账款                1,888,775,774.94   -224,235,486.66    1,664,540,288.28
其他应收款                305,685,018.69    993,145,686.84     1,298,830,705.53
存货                  8,230,794,190.42   -319,562,430.12    7,911,231,760.30
流动资产合计             21,708,366,307.07   -125,504,081.04   21,582,862,226.03
资产合计               30,405,677,802.55   -125,504,081.04   30,280,173,721.51
应付账款                7,146,503,095.47   -100,776,743.21    7,045,726,352.26
预收账款                1,556,187,154.37   162,047,154.19     1,718,234,308.56
流动负债合计             21,061,618,278.27    61,270,410.98    21,122,888,689.25
负债合计               26,241,722,938.08    61,270,410.98    26,302,993,349.06
未分配利润                -357,558,764.42   -186,774,492.02     -544,333,256.44
归属于母公司所有者权益合计       4,129,450,382.09   -186,774,492.02    3,942,675,890.07
股东权益合计              4,163,954,864.47   -186,774,492.02    3,977,180,372.45
负债和股东权益总计          30,405,677,802.55   -125,504,081.04   30,280,173,721.51
                                                            单位:元
          项目           调整前              调整金额                调整后
营业收入                7,177,096,665.70   185,214,431.58     7,362,311,097.28
营业成本                5,459,517,362.67   179,642,456.98     5,639,159,819.65
财务费用                  728,437,215.16    22,098,579.24      750,535,794.40
利润总额                   60,385,221.77    -16,526,604.64      43,858,617.13
净利润                    51,417,488.81    -16,526,604.64      34,890,884.17
归属于母公司所有者的净利润          52,201,950.47    -16,526,604.64      35,675,345.83
                                                            单位:元
          项目          调整前               调整金额                调整后
应收账款                6,948,802,407.20   -574,851,851.10    6,373,950,556.10
预付账款                1,446,238,362.44   -224,235,486.66    1,222,002,875.78
其他应收款                296,701,453.85    993,145,686.84     1,289,847,140.69
存货                  6,781,324,512.14   -319,562,430.12    6,461,762,082.02
流动资产合计             16,714,144,152.03   -125,504,081.04   16,588,640,070.99
资产合计               24,284,253,689.55   -125,504,081.04   24,158,749,608.51
应付账款                     7,161,104,386.79       -100,776,743.21    7,060,327,643.58
预收账款                     1,195,943,588.01       162,047,154.19     1,357,990,742.20
流动负债合计                  18,723,759,186.29        61,270,410.98    18,785,029,597.27
负债合计                    20,201,955,998.88        61,270,410.98    20,263,226,409.86
未分配利润                       -543,885,252.23     -186,774,492.02     -730,659,744.25
股东权益合计                   4,082,297,690.67       -186,774,492.02    3,895,523,198.65
负债和股东权益总计               24,284,253,689.55       -125,504,081.04   24,158,749,608.51
                                                                     单位:元
          项目                  调整前                调整金额                调整后
营业收入                        5,410,200,317.22    185,214,431.58     5,595,414,748.80
营业成本                        4,187,080,544.45    179,642,456.98     4,366,723,001.43
财务费用                         531,176,959.67      22,098,579.24      553,275,538.91
利润总额                          31,388,915.11      -16,526,604.64      14,862,310.47
净利润                           33,727,971.94      -16,526,604.64      17,201,367.30
      (五)对 2018 年度财务报表的影响
                                                                     单位:元
          项目                 调整前                 调整金额                调整后
应收账款                     6,625,905,742.80       -656,197,735.89    5,969,708,006.91
预付账款                     1,271,602,375.76       -337,134,279.40     934,468,096.36
其他应收款                        335,616,848.05    1,163,625,906.77    1,499,242,754.82
存货                       9,783,382,639.86       -363,416,285.24    9,419,966,354.62
流动资产合计                  22,487,339,643.61       -193,122,393.76   22,294,217,249.85
资产合计                    31,563,400,354.26       -193,122,393.76   31,370,277,960.50
应付账款                     6,164,323,291.08        21,250,000.00     6,185,573,291.08
预收账款                     1,502,955,221.32        93,156,000.34     1,596,111,221.66
流动负债合计                  22,285,096,788.91       114,406,000.34    22,399,502,789.25
负债合计                    27,359,620,932.02       114,406,000.34    27,474,026,932.36
未分配利润                       -319,612,600.21     -307,528,394.10     -627,140,994.31
归属于母公司所有者权益合计            4,167,218,437.54       -307,528,394.10    3,859,690,043.44
股东权益合计                   4,203,779,422.24       -307,528,394.10    3,896,251,028.14
负债和股东权益总计          31,563,400,354.26    -193,122,393.76   31,370,277,960.50
                                                             单位:元
          项目           调整前               调整金额                调整后
营业收入                6,428,175,733.35     92,607,215.80     6,520,782,949.15
营业成本                4,503,351,453.74     92,873,085.91     4,596,224,539.65
财务费用                  813,127,117.12    120,488,031.97      933,615,149.09
利润总额                   63,633,934.72    -120,753,902.08      -57,119,967.36
净利润                    39,964,537.21    -120,753,902.08      -80,789,364.87
归属于母公司所有者的净利润          37,946,164.21    -120,753,902.08      -82,807,737.87
                                                             单位:元
          项目          调整前                调整金额                调整后
应收账款                6,193,341,041.82    -656,197,735.89    5,537,143,305.93
预付账款                 840,083,505.63     -337,134,279.40     502,949,226.23
其他应收款                395,747,518.95    1,163,625,906.77    1,559,373,425.72
存货                  6,897,810,128.24    -363,416,285.24    6,534,393,843.00
流动资产合计             16,277,183,309.02    -193,122,393.76   16,084,060,915.26
资产合计               23,676,646,684.71    -193,122,393.76   23,483,524,290.95
应付账款                5,661,945,438.84     21,250,000.00     5,683,195,438.84
预收账款                 976,866,528.31      93,156,000.34     1,070,022,528.65
流动负债合计             17,598,467,577.96    114,406,000.34    17,712,873,578.30
负债合计               19,578,602,364.78    114,406,000.34    19,693,008,365.12
未分配利润                -526,494,478.67    -307,528,394.10     -834,022,872.77
股东权益合计              4,098,044,319.93    -307,528,394.10    3,790,515,925.83
负债和股东权益总计          23,676,646,684.71    -193,122,393.76   23,483,524,290.95
                                                             单位:元
          项目           调整前               调整金额                调整后
营业收入                4,837,216,218.05     92,607,215.80     4,929,823,433.85
营业成本                3,611,300,867.31     92,873,085.91     3,704,173,953.22
财务费用                  602,595,851.11    120,488,031.97      723,083,883.08
利润总额                          20,349,475.16     -120,753,902.08     -100,404,426.92
净利润                           17,390,773.56     -120,753,902.08     -103,363,128.52
      (六)对 2019 年度财务报表的影响
                                                                     单位:元
          项目                 调整前                 调整金额                调整后
应收账款                     6,155,802,819.42       -680,300,654.69    5,475,502,164.73
预付账款                     1,229,989,707.37       -213,271,197.45    1,016,718,509.92
其他应收款                        277,298,392.38    1,295,599,712.35    1,572,898,104.73
存货                      10,889,237,374.93       -410,358,850.01   10,478,878,524.92
流动资产合计                  24,223,645,529.23         -8,330,989.80   24,215,314,539.43
资产合计                    33,641,576,052.51         -8,330,989.80   33,633,245,062.71
预收账款                     2,092,093,095.89       320,809,846.61     2,412,902,942.50
流动负债合计                  24,864,941,917.35       320,809,846.61    25,185,751,763.96
负债合计                    30,266,361,279.97       320,809,846.61    30,587,171,126.58
未分配利润                   -1,148,559,193.94       -329,140,836.41   -1,477,700,030.35
归属于母公司所有者权益合计            3,337,163,686.58       -329,140,836.41    3,008,022,850.17
股东权益合计                   3,375,214,772.54       -329,140,836.41    3,046,073,936.13
负债和股东权益总计               33,641,576,052.51         -8,330,989.80   33,633,245,062.71
                                                                     单位:元
          项目                  调整前                调整金额                调整后
营业收入                        7,037,718,395.40     29,244,383.94     7,066,962,779.34
营业成本                        5,203,301,720.38     32,619,561.90     5,235,921,282.28
财务费用                         888,306,994.88      18,237,264.35      906,544,259.23
利润总额                         -803,207,273.59     -21,612,442.31     -824,819,715.90
净利润                          -812,073,886.06     -21,612,442.31     -833,686,328.37
归属于母公司所有者的净利润                -814,342,850.90     -21,612,442.31     -835,955,293.21
                                                                     单位:元
          项目                 调整前                 调整金额                调整后
应收账款                     4,860,157,913.73       -680,300,654.69    4,179,857,259.04
预付账款                         875,189,054.59     -213,271,197.45      661,917,857.14
其他应收款                        678,431,607.97    1,295,599,712.35     1,974,031,320.32
存货                       7,835,771,497.50       -410,358,850.01     7,425,412,647.49
流动资产合计                  17,257,569,125.37         -8,330,989.80    17,249,238,135.57
资产合计                    24,848,415,751.96         -8,330,989.80    24,840,084,762.16
预收账款                     1,425,369,676.97        320,809,846.61     1,746,179,523.58
流动负债合计                  18,080,332,839.38        320,809,846.61    18,401,142,685.99
负债合计                    20,679,302,873.50        320,809,846.61    21,000,112,720.11
未分配利润                       -455,003,729.87     -329,140,836.41      -784,144,566.28
股东权益合计                   4,169,112,878.46       -329,140,836.41     3,839,972,042.05
负债和股东权益总计               24,848,415,751.96         -8,330,989.80    24,840,084,762.16
                                                                      单位:元
          项目                  调整前                调整金额                 调整后
营业收入                        4,881,049,093.90      29,244,383.94     4,910,293,477.84
营业成本                        3,817,479,285.95      32,619,561.90     3,850,098,847.85
财务费用                         623,257,579.79       18,237,264.35      641,494,844.14
利润总额                          31,297,420.43      -21,612,442.31         9,684,978.12
净利润                           50,177,469.94      -21,612,442.31       28,565,027.63
      (七)对 2020 年度财务报表的影响
                                                                      单位:元
          项目                 调整前                 调整金额                 调整后
应收账款                     3,627,713,717.31         35,614,212.39     3,663,327,929.70
预付账款                     1,091,638,494.29       -205,139,303.17      886,499,191.12
其他应收款                       220,459,082.78     1,295,362,861.17     1,515,821,943.95
存货                      11,409,661,079.18        -50,255,682.37    11,359,405,396.81
合同资产                     2,637,575,794.99      -1,235,636,557.01    1,401,939,237.98
流动资产合计                  24,854,086,016.40       -160,054,468.99    24,694,031,547.41
资产合计                    35,430,683,350.58       -160,054,468.99    35,270,628,881.59
合同负债                     2,218,923,316.81        157,348,308.15     2,376,271,624.96
流动负债合计                  25,016,974,900.97        157,348,308.15    25,174,323,209.12
负债合计                    30,344,404,382.68        157,348,308.15    30,501,752,690.83
未分配利润              -1,141,335,335.10     -317,402,777.14    -1,458,738,112.24
归属于母公司所有者权益合计       4,548,437,153.93     -317,402,777.14     4,231,034,376.79
股东权益合计              5,086,278,967.90     -317,402,777.14     4,768,876,190.76
负债和股东权益总计          35,430,683,350.58     -160,054,468.99    35,270,628,881.59
                                                               单位:元
          项目           调整前                 调整金额                调整后
营业收入                 8,610,886,342.52     165,718,175.63     8,776,604,518.15
营业成本                 6,975,414,308.28     153,980,116.36     7,129,394,424.64
利润总额                    75,628,115.83      11,738,059.27       87,366,175.10
净利润                     31,782,019.05      11,738,059.27       43,520,078.32
归属于母公司所有者的净利润           33,723,319.36      11,738,059.27       45,461,378.63
                                                               单位:元
          项目          调整前                 调整金额                 调整后
应收账款                3,127,568,088.96       35,614,212.39     3,163,182,301.35
预付账款                  849,274,933.46     -205,139,303.17      644,135,630.29
其他应收款               1,106,592,836.52    1,295,362,861.17     2,401,955,697.69
存货                  7,951,763,233.47      -50,255,682.37     7,901,507,551.10
合同资产                2,203,207,426.79    -1,235,636,557.01     967,570,869.78
流动资产合计             18,922,286,601.80     -160,054,468.99    18,762,232,132.81
资产合计               27,523,313,471.78     -160,054,468.99    27,363,259,002.79
合同负债                1,438,810,724.73      157,348,308.15     1,596,159,032.88
流动负债合计             19,010,694,407.84      157,348,308.15    19,168,042,715.99
负债合计               21,880,415,157.47      157,348,308.15    22,037,763,465.62
未分配利润                -219,985,483.61     -317,402,777.14      -537,388,260.75
股东权益合计              5,642,898,314.31     -317,402,777.14     5,325,495,537.17
负债和股东权益总计          27,523,313,471.78     -160,054,468.99    27,363,259,002.79
                                                               单位:元
          项目           调整前                 调整金额                调整后
营业收入                 5,150,819,563.19     165,718,175.63     5,316,537,738.82
营业成本                        4,280,558,602.86     153,980,116.36     4,434,538,719.22
利润总额                         237,653,856.22       11,738,059.27      249,391,915.49
净利润                          244,596,218.44       11,738,059.27      256,334,277.71
      (八)对 2021 年度财务报表的影响
                                                                      单位:元
          项目                 调整前                 调整金额                 调整后
应收账款                     4,913,930,659.92         90,480,336.28     5,004,410,996.20
预付账款                        750,884,500.21       -80,139,303.17      670,745,197.04
其他应收款                       139,675,924.41     1,299,112,861.17     1,438,788,785.58
存货                       9,422,879,072.79       -206,057,127.52     9,216,821,945.27
合同资产                     2,636,341,555.06      -1,375,193,648.25    1,261,147,906.81
流动资产合计                  22,818,281,078.35       -271,796,881.49    22,546,484,196.86
资产合计                    31,174,229,939.62       -271,796,881.49    30,902,433,058.13
未分配利润                       -977,335,638.34     -271,796,881.49    -1,249,132,519.83
归属于母公司所有者权益合计            4,798,512,629.18       -271,796,881.49     4,526,715,747.69
股东权益合计                   5,820,048,144.49       -271,796,881.49     5,548,251,263.00
负债和股东权益总计               31,174,229,939.62       -271,796,881.49    30,902,433,058.13
                                                                      单位:元
          项目                  调整前                调整金额                 调整后
营业收入                        8,320,369,713.95      93,409,749.70     8,413,779,463.65
营业成本                        6,606,822,346.30      48,503,394.90     6,655,325,741.20
财务费用                         735,646,442.78         -699,540.85      734,946,901.93
利润总额                         180,250,829.56       45,605,895.65      225,856,725.21
净利润                          173,579,248.11       45,605,895.65      219,185,143.76
归属于母公司所有者的净利润                163,999,696.76       45,605,895.65      209,605,592.41
                                                                      单位:元
          项目                 调整前                  调整金额                调整后
应收账款                     4,577,042,762.54          90,480,336.28    4,667,523,098.82
预付账款                         557,394,735.91       -80,139,303.17     477,255,432.74
其他应收款                        386,077,300.75   1,299,112,861.17     1,685,190,161.92
存货                       8,303,376,198.43      -206,057,127.52     8,097,319,070.91
合同资产                     2,258,801,332.92     -1,375,193,648.25     883,607,684.67
流动资产合计                  20,008,479,010.75      -271,796,881.49    19,736,682,129.26
资产合计                    27,174,651,655.31      -271,796,881.49    26,902,854,773.82
未分配利润                       -363,661,868.49    -271,796,881.49      -635,458,749.98
股东权益合计                   5,492,487,832.03      -271,796,881.49     5,220,690,950.54
负债和股东权益总计               27,174,651,655.31      -271,796,881.49    26,902,854,773.82
                                                                     单位:元
          项目                 调整前                调整金额                 调整后
营业收入                    7,331,884,799.34         93,409,749.70     7,425,294,549.04
营业成本                    6,013,870,371.04         48,503,394.90     6,062,373,765.94
财务费用                        583,275,573.11         -699,540.85      582,576,032.26
利润总额                        -143,675,424.88      45,605,895.65       -98,069,529.23
净利润                         -143,676,384.88      45,605,895.65       -98,070,489.23
      (九)对 2022 年度财务报表的影响
                                                                     单位:元
          项目                 调整前                调整金额                 调整后
应收账款                     6,203,542,416.62      -536,465,837.17     5,667,076,579.45
预付账款                         798,729,295.44     -80,139,303.17      718,589,992.27
其他应收款                        116,078,696.99   1,299,112,861.17     1,415,191,558.16
存货                       9,847,301,608.87      -200,388,658.67     9,646,912,950.20
合同资产                     2,284,256,725.55      -753,915,943.65     1,530,340,781.90
流动资产合计                  22,709,076,936.63      -271,796,881.49    22,437,280,055.14
资产合计                    31,586,301,256.83      -271,796,881.49    31,314,504,375.34
未分配利润                       -762,342,687.84    -271,796,881.49    -1,034,139,569.33
归属于母公司所有者权益合计            5,086,533,122.93      -271,796,881.49     4,814,736,241.44
股东权益合计                   6,389,551,229.45      -271,796,881.49     6,117,754,347.96
负债和股东权益总计               31,586,301,256.83      -271,796,881.49    31,314,504,375.34
                                                                    单位:元
         项目                 调整前                调整金额                 调整后
应收账款                    5,929,338,398.90      -536,465,837.17     5,392,872,561.73
预付账款                       608,209,366.05      -80,139,303.17      528,070,062.88
其他应收款                      503,689,113.99    1,299,112,861.17     1,802,801,975.16
存货                      8,566,056,005.31      -200,388,658.67     8,365,667,346.64
合同资产                    1,945,615,678.65      -753,915,943.65     1,191,699,735.00
流动资产合计                 19,883,858,689.52      -271,796,881.49    19,612,061,808.03
资产合计                   27,116,446,659.01      -271,796,881.49    26,844,649,777.52
未分配利润                      -180,414,383.35    -271,796,881.49      -452,211,264.84
股东权益合计                  5,732,238,605.90      -271,796,881.49     5,460,441,724.41
负债和股东权益总计              27,116,446,659.01      -271,796,881.49    26,844,649,777.52
     (十)对 2023 年度财务报表的影响
                                                                    单位:元
         项目                调整前                 调整金额                 调整后
应收账款                   6,574,977,555.53      -1,290,381,780.82    5,284,595,774.71
预付账款                       760,569,664.72      -80,139,303.17      680,430,361.55
其他应收款                      693,633,337.64    1,299,112,861.17     1,992,746,198.81
存货                     9,988,033,790.61       -200,388,658.67     9,787,645,131.94
流动资产合计                22,214,059,969.53       -271,796,881.49    21,942,263,088.04
资产合计                  32,047,879,283.24       -271,796,881.49    31,776,082,401.75
未分配利润                   -576,371,777.50       -271,796,881.49      -848,168,658.99
归属于母公司所有者权益合计          5,225,474,000.43       -271,796,881.49     4,953,677,118.94
股东权益合计                 6,510,380,436.62       -271,796,881.49     6,238,583,555.13
负债和股东权益总计             32,047,879,283.24       -271,796,881.49    31,776,082,401.75
                                                                    单位:元
         项目                调整前                 调整金额                 调整后
应收账款                   6,547,976,986.58      -1,290,381,780.82    5,257,595,205.76
预付账款                       544,717,093.79      -80,139,303.17      464,577,790.62
其他应收款                  1,208,692,491.87      1,299,112,861.17     2,507,805,353.04
存货                     8,312,184,264.92   -200,388,658.67    8,111,795,606.25
流动资产合计                19,507,383,224.80   -271,796,881.49   19,235,586,343.31
资产合计                  26,692,556,821.15   -271,796,881.49   26,420,759,939.66
未分配利润                   -684,804,606.52   -271,796,881.49     -956,601,488.01
股东权益合计                 5,179,853,218.71   -271,796,881.49    4,908,056,337.22
负债和股东权益总计             26,692,556,821.15   -271,796,881.49   26,420,759,939.66
     (十一)对 2024 年度财务报表的影响
                                                               单位:元
         项目              调整前              调整金额                 调整后
预付账款                    537,874,059.96     -80,139,303.17     457,734,756.79
其他应收款                   686,274,359.28      8,731,080.35      695,005,439.63
存货                     8,918,832,438.52   -200,388,658.67    8,718,443,779.85
流动资产合计                20,857,200,269.09   -271,796,881.49   20,585,403,387.60
资产合计                  31,247,956,478.27   -271,796,881.49   30,976,159,596.78
未分配利润                   -387,922,442.27   -271,796,881.49     -659,719,323.76
归属于母公司所有者权益合计          5,259,438,095.03   -271,796,881.49    4,987,641,213.54
股东权益合计                 5,915,060,797.46   -271,796,881.49    5,643,263,915.97
负债和股东权益总计             31,247,956,478.27   -271,796,881.49   30,976,159,596.78
                                                               单位:元
         项目              调整前              调整金额                 调整后
预付账款                    442,853,652.83     -80,139,303.17     362,714,349.66
其他应收款                   874,224,668.12      8,731,080.35      882,955,748.47
存货                     7,817,902,876.36   -200,388,658.67    7,617,514,217.69
流动资产合计                18,587,017,523.31   -271,796,881.49   18,315,220,641.82
资产合计                  26,143,850,312.62   -271,796,881.49   25,872,053,431.13
未分配利润                 -1,181,761,103.18   -271,796,881.49   -1,453,557,984.67
股东权益合计                 4,542,933,694.15   -271,796,881.49    4,271,136,812.66
负债和股东权益总计             26,143,850,312.62   -271,796,881.49   25,872,053,431.13
     (十二)对 2025 年一季度财务报表的影响
                                                               单位:元
         项目              调整前              调整金额                 调整后
预付账款                    699,053,233.25     -80,139,303.17     618,913,930.08
其他应收款                   314,257,163.88      8,731,080.35      322,988,244.23
存货                     8,991,203,775.49   -200,388,658.67    8,790,815,116.82
流动资产合计                22,546,540,098.84   -271,796,881.49   22,274,743,217.35
资产合计                  32,996,659,169.88   -271,796,881.49   32,724,862,288.39
未分配利润                   -365,947,543.18   -271,796,881.49     -637,744,424.67
归属于母公司所有者权益合计          5,282,639,949.23   -271,796,881.49    5,010,843,067.74
股东权益合计                 5,958,668,358.42   -271,796,881.49    5,686,871,476.93
负债和股东权益总计             32,996,659,169.88   -271,796,881.49   32,724,862,288.39
     (十三)对 2025 年半年度财务报表的影响
                                                               单位:元
         项目              调整前              调整金额                 调整后
预付账款                    698,918,145.81     -80,139,303.17     618,778,842.64
其他应收款                    89,675,364.80     21,622,175.14      111,297,539.94
存货                     9,399,560,853.52   -200,388,658.67    9,199,172,194.85
流动资产合计                21,901,251,104.85   -258,905,786.70   21,642,345,318.15
资产合计                  32,418,329,371.82   -258,905,786.70   32,159,423,585.12
其他应付款                   210,934,994.59     12,891,094.79      223,826,089.38
流动负债合计                16,252,669,632.51    12,891,094.79    16,265,560,727.30
负债合计                  26,416,333,008.10    12,891,094.79    26,429,224,102.89
未分配利润                   -344,074,152.51   -271,796,881.49     -615,871,034.00
归属于母公司所有者权益合计          5,306,289,930.30   -271,796,881.49    5,034,493,048.81
股东权益合计                 6,001,996,363.72   -271,796,881.49    5,730,199,482.23
负债和股东权益总计             32,418,329,371.82   -258,905,786.70   32,159,423,585.12
                                                               单位:元
         项目              调整前              调整金额                 调整后
预付账款                    512,337,721.83     -80,139,303.17     432,198,418.66
其他应收款                   469,584,735.60     21,622,175.14      491,206,910.74

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