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亚联发展:关于2019年年度报告的更正公告

公告日期:2021-06-30

亚联发展:关于2019年年度报告的更正公告 PDF查看PDF原文

    证券代码:002316        证券简称:亚联发展        公告编号:2021-065

              深圳亚联发展科技股份有限公司

              关于 2019 年年度报告的更正公告

        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。

        深圳亚联发展科技股份有限公司(以下简称“公司”)于2020年4月30日在指

    定信息披露媒体巨潮资讯网(网址为:http://www.cninfo.com.cn)披露了《2019

    年年度报告》。因工作人员填列疏忽,部分内容披露有误,现将更正内容披露如

    下:

        更正内容为《2019年年度报告全文》中第十二节“财务报告”之“七、合并

    财务报表项目注释”11、固定资产。

        更正前:

    11、固定资产

                                                                            单位:元

            项目                        期末余额                      期初余额

固定资产                                      383,295,668.63                373,304,964.19

合计                                          383,295,668.63                373,304,964.19

    (1)固定资产情况

                                                                            单位:元

  项目    房屋及建筑  电子设备  机器设备  运输设备  其他设备  运营机具    合计

              物

一、账面原
值:

  1.期初余  81,847,305.1 34,221,296.0 15,814,562.9 11,810,941.7 76,050,383.2 301,864,593. 521,609,082.
额                  4          9          9          1          1        64        78

  2.本期增            1,615,230.84 17,713,232.2 1,803,507.03  988,330.56 164,567,046. 186,687,346.
加金额                                    2                              00        65

  (1)购            1,464,196.40 17,713,232.2 1,803,507.03  203,971.54 164,088,753. 185,273,660.
置                                        2                              06        25

  (2)在            151,034.44                        784,359.02  478,292.94 1,413,686.40
建工程转入

  (3)企            280,308.46            899,512.05    8,118.90  234,839.27 1,422,778.68
业合并增加

                        280,308.46            899,512.05    8,118.90  234,839.27 1,422,778.68

  3.本期减
少金额

  (1)处 81,847,305.1 35,556,218.4 33,527,795.2 12,714,936.6 77,030,594.8 466,196,800. 706,873,650.
置或报废            4          7          1          9          7        37        75

  4.期末余  30,266,853.4 20,737,502.7 7,587,527.34 7,537,610.67 42,734,919.7 39,439,704.6 148,304,118.
额                  7          8                                3          0        59

二、累计折 3,533,554.09 3,905,961.49 4,410,402.19 1,284,178.30 25,214,630.6 137,972,144. 176,320,871.
旧                                                                9        24        00

  1.期初余  3,533,554.09 3,820,881.50 4,410,402.19 1,284,178.30 24,640,672.6 137,945,572. 175,635,261.
额                                                                0        40        08

  2.本期增                85,079.99                        573,958.09  26,571.84  685,609.92
加金额

  (1)计            151,663.33            809,560.84    7,307.01  78,476.29 1,047,007.47

(2)企业合
并增加

  3.本期减
少金额

  (1)处
置或报废
(2)企业合
并减少

  4.期末余

三、减值准


  1.期初余


  2.本期增
加金额

  (1)计


  3.本期减
少金额

  (1)处
置或报废

  4.期末余  33,800,407.5 24,491,800.9 11,997,929.5 8,012,228.13 67,942,243.4 177,333,372. 323,577,982.
额                  6          4          3                    1        55        12

四、账面价


  1.期末账  48,046,897.5 11,064,417.5 21,529,865.6 4,702,708.56 9,088,351.46 288,863,427. 383,295,668.
面价值              8          3          8                              82        63

  2.期初账  30,266,853.4 20,737,502.7 7,587,527.34 7,537,610.67 42,734,919.7 39,439,704.6 148,304,118.
面价值              7          8                                3          0        59

        更正后:

    11、固定资产

                                                                            单位:元

            项目                        期末余额                      期初余额

固定资产                                      383,295,668.63                373,304,964.19

合计                                          383,295,668.63                373,304,964.19

    (1)固定资产情况

                                                                            单位:元

  项目    房屋及建筑  电子设备  机器设备  运输设备  其他设备  运营机具    合计

              物

一、账面原
值:

  1.期初余  81,847,305.1 34,221,296.0 15,814,562.9 11,810,941.7 76,050,383.2 301,864,593. 521,609,082.
额                  4          9          9          1          1        64        78

  2.本期增            1,615,230.84 17,713,232.2 1,803,507.03  988,330.56 164,567,046. 186,687,346.
加金额                                    2                              00        65

  (1)购            1,464,196.40 17,713,232.2 1,803,507.03  203,971.54 164,088,753. 185,273,660.
置                                        2                              06        25

  (2)在
建工程转入

  (3)企            151,034.44                        784,359.02  478,292.94 1,413,686.40
业合并增加

  3.本期减              280,308.46            899,512.05    8,118.90  234,839.27 1,422,778.68
少金额

  (1)处            280,308.46            899,512.05    8,118.90  234,839.27 1,422,778.68
置或报废

  4.期末余  81,847,305.1 35,556,218.4 33,527,795.2 12,714,936.6 77,030,594.8 466,196,800. 706,873,650.
额                  4          7          1          9          7        37        75

二、累计折


  1.期初余  30,266,853.4 20,737,50
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