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鞍重股份:2021年年度报告更正公告

公告日期:2022-04-08

鞍重股份:2021年年度报告更正公告 PDF查看PDF原文

          鞍山重型矿山机器股份有限公司                                            更正公告

证券代码:002667              证券简称:鞍重股份          公告编号:2022—055
        鞍山重型矿山机器股份有限公司

          2021年年度报告更正公告

    本公司及董事会全体成员保证信息披露内容的真实、准确和完整,没有虚假记载、误导性陈述或重大遗漏。

    鞍山重型矿山机器股份有限公司(以下简称“公司”)于2022 年
3月25日在巨潮资讯网上披露了《2021年年度报告》。由于工作人员疏忽出现统计错误,现对《2021年年度报告》第十节财务报告七、合并财务报表项目注释12、固定资产内容进行更正,更正情况如下:更正前:

                                                                        单位:元

    项目      房屋及建  机器设备  电子设备  运输设备  其他设备      合计

                  筑物

一.  账面原值

1. 期初余额    98,102,980.26  118,537,646.04  7,304,920.81  8,032,096.60  6,625,568.76  238,603,212.47
2. 本期增加金                  13,274.34  1,415,683.26  2,837,468.96  473,263.80    4,739,690.36


  购置                                      1,415,683.26  2,837,468.96  396,263.80    4,649,416.02
  在建工程转入                    13,274.34                            77,000.00      90,274.34
  其他增加

3. 本期减少金  1,392,634.59    1,645,428.58  895,141.08  6,319,028.05  314,520.45  10,566,752.75


  处置或报废      1,392,634.59    1,645,428.58  895,141.08  6,319,028.05  174,520.45  10,426,752.75
  其他减少                                                          140,000.00    140,000.00
4. 期末余额    96,710,345.67  116,905,491.80  7,825,462.99  4,550,537.51  6,784,312.11  232,776,150.08
二.  累计折旧

1. 期初余额    36,598,195.19  73,572,633.73  6,218,777.21  5,809,876.90  4,287,687.34  126,487,170.37
2. 本期增加金  4,405,813.63    7,906,964.75  589,764.85    911,414.10  829,901.55  14,643,858.88


  本期计提        4,405,813.63    7,906,964.75  589,764.85    911,414.10  829,901.55  14,643,858.88
3. 本期减少金    176,607.30    1,496,712.84  681,938.07  4,793,984.31  225,784.11    7,375,026.63

          鞍山重型矿山机器股份有限公司                                            更正公告

    项目      房屋及建  机器设备  电子设备  运输设备  其他设备      合计

                  筑物



  处置或报废      176,607.30    1,496,712.84  681,938.07  4,793,984.31    92,784.11    7,242,026.63
  其他减少                                                          133,000.00    133,000.00
4. 期末余额    40,827,401.52  79,982,885.64  6,126,603.99  1,927,306.69  4,891,804.78  133,756,002.62
三.  减值准备

1. 期初余额      2,582,761.85    2,749,325.78    32,601.59    39,707.51    24,511.50    5,428,908.23
2. 本期增加金                  400,000.00                                          400,000.00


  本期计提                      400,000.00                                          400,000.00
3. 本期减少金    321,264.85      3,001.99    20,790.27    32,456.25    5,764.86    383,278.22


  处置或报废      321,264.85      3,001.99    20,790.27    32,456.25    5,764.86    383,278.22
  其他减少

4. 期末余额      2,261,497.00    3,146,323.79    11,811.32      7,251.26    18,746.64    5,445,630.01
四.  账面价值

1. 期末账面价  53,621,447.15  33,776,282.37  1,687,047.68  2,615,979.56  1,873,760.69  93,574,517.45


2. 期初账面价  58,922,023.22  42,215,686.53  1,053,542.01  2,182,512.19  2,313,369.92  106,687,133.87

更正后:

                                                                        单位:元

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

                    物

一.  账面原值

1. 期初余额      98,102,980.26  118,537,646.04  7,304,920.81  8,032,096.60  6,625,568.76  238,603,212.47
2. 本期增加金                    13,274.34  1,415,683.26  1,740,480.72  473,263.80    3,642,702.12


购置                                        1,415,683.26  1,740,480.72  396,263.80    3,552,427.78
在建工程转入                      13,274.34                            77,000.00      90,274.34
其他增加

3. 本期减少金    1,392,634.59    1,645,428.58  895,141.08  584,860.03  314,520.45    4,832,584.73


处置或报废        1,392,634.59    1,645,428.58  895,141.08  584,860.03  174,520.45    4,692,584.73
其他减少                                                              140,000.00    140,000.00
4. 期末余额      96,710,345.67  116,905,491.80  7,825,462.99  9,187,717.29  6,784,312.11  237,413,329.86
二.  累计折旧

1. 期初余额      36,598,195.19  73,572,633.73  6,218,777.21  5,809,876.90  4,287,687.34  126,487,170.37

          鞍山重型矿山机器股份有限公司                                            更正公告

2. 本期增加金    4,405,813.63    7,906,964.75  589,764.85  917,537.58  829,901.55  14,649,982.36


本期计提          4,405,813.63    7,906,964.75  589,764.85  917,537.58  829,901.55  14,649,982.36
3. 本期减少金      176,607.30    1,496,712.84  681,938.07  162,928.01  225,784.11    2,743,970.33


处置或报废          176,607.30    1,496,712.84  681,938.07  162,928.01    92,784.11    2,610,970.33
其他减少                                                              133,000.00    133,000.00
4. 期末余额      40,827,401.52  79,982,885.64  6,126,603.99  6,564,486.47  4,891,804.78  138,393,182.40
三.  减值准备

1. 期初余额      2,582,761.85    2,749,325.78    32,601.59    39,707.51    24,511.50    5,428,908.23
2. 本期增加金                    400,000.00                                        400,000.00


本期计提                          400,000.00                                        400,000.00
3. 本期减少金      321,264.85      3,001.99    20,790.27    32,456.25    5,764.86    383,278.22


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