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首页 公告 铭普光磁:关于2023年半年度报告及摘要的更正公告

铭普光磁:关于2023年半年度报告及摘要的更正公告

公告日期:2023-08-18

铭普光磁:关于2023年半年度报告及摘要的更正公告 PDF查看PDF原文

证券代码:002902          证券简称:铭普光磁        公告编号:2023-115
            东莞铭普光磁股份有限公司

      关于 2023 年半年度报告及摘要的更正公告

    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。

    东莞铭普光磁股份有限公司(以下简称“公司”)于 2023 年 8 月 17 日在巨
潮资讯网披露了《2023 年半年度报告》及《2023 年半年度报告摘要》。经事后核查发现,由于工作人员的疏忽,导致上述定期报告及摘要中部分信息存在错误,现予以更正。以下更正不会对公司 2023 年半年度财务状况、经营成果和现金流量造成影响,具体情况如下:

  一、《2023 年半年度报告》“第二节、公司简介和主要财务指标”之“四、主要会计数据和财务指标”

  更正前:

                              本报告期末          上年度末      本报告期末比上年度末增减

总资产(元)                2,851,595,418.29    2,955,172,021.63                    -3.50%

归属于上市公司股东的净资    1,092,423,458.93    1,052,758,130.20                    3.77%
产(元)

  更正后:

                              本报告期末          上年度末      本报告期末比上年度末增减

总资产(元)                2,851,595,418.29  2,891,689,810.75                    -1.39%

归属于上市公司股东的净资    1,092,423,458.93  1,078,369,911.23                    1.30%
产(元)

  二、《2023 年半年度报告》“第三节 管理层讨论与分析”之“三、主营业务分析”

  更正前:

                                                                                    单位:元

                          本报告期          上年同期      同比增减        变动原因

经营活动产生的现金                                                      主要系购买商品、接受
流量净额                171,988,928.66    -80,267,157.86    314.16%  劳务支付的现金减少
                                                                        所致


                                                                        主要系购建固定资产、
投资活动产生的现金      -47,532,811.32    -109,311,177.90    -56.52%  无形资产和其他长期
流量净额                                                                资产支付的现金减少
                                                                        所致

                                                                        主要系取得借款收到
筹资活动产生的现金    -102,904,276.40    171,426,358.81    -160.03%  的现金、收到其他与筹
流量净额                                                                资活动有关的现金减
                                                                        少所致

现金及现金等价物净                                                      主要系经营活动产生
增加额                  22,554,795.46    -13,486,618.95    266.59%  的现金流净额增加所
                                                                        致

  更正后:

                                                                                    单位:元

                          本报告期          上年同期      同比增减        变动原因

经营活动产生的现金                                                      主要系购买商品、接受
流量净额                171,988,928.66    -80,267,157.86    314.27%  劳务支付的现金减少
                                                                        所致

                                                                        主要系购建固定资产、
投资活动产生的现金      -47,532,811.32    -109,311,177.90    -56.52%  无形资产和其他长期
流量净额                                                                资产支付的现金减少
                                                                        所致

                                                                        主要系取得借款收到
筹资活动产生的现金    -102,904,276.40    171,426,358.81    -160.03%  的现金、收到其他与筹
流量净额                                                                资活动有关的现金减
                                                                        少所致

现金及现金等价物净                                                      主要系经营活动产生
增加额                  22,554,795.46    -13,486,618.95    267.24%  的现金流净额增加所
                                                                        致

  三、《2023 年半年度报告》“第六节 重要事项”之“十二、重大合同及其履行情况”之“1、托管、承包、租赁事项情况”之“(3)租赁情况”

  更正前:

  31. 铭普光磁与海尔融资租赁股份有限公司于 2022 年 10 月 12 日签订《售
后回租合同》,合同约定将设备租赁给铭普光磁,租赁期间为 36 个月,租金约定为,每 3 个月租金为人民币 2,360,584.79 元。

  更正后:

  31. 铭庆电子与海尔融资租赁股份有限公司于 2022 年 10 月 12 日签订《售
后回租合同》,合同约定将设备租赁给铭庆电子,租赁期间为 36 个月,租金约定为,每 3 个月租金为人民币 2,360,584.79 元。

  四、《2023 年半年度报告》“第十节 财务报告”之“七、合并财务报表项目注释”之“5、应收账款”之“(1)应收账款分类披露”


  更正前:
按组合计提坏账准备:

                                                                                    单位:元

          名称                                        期末余额

                                  账面余额                  坏账准备            计提比例

1 年以内                            748,747,542.50              9,829,444.27        1.31%

1 至 2 年                            25,946,746.48              9,569,792.78      36.88%

2 至 3 年                            13,420,755.76              9,612,807.72      71.63%

3 年以上                              3,970,985.72              3,970,988.26      100.00%

合计                                792,086,030.46            32,983,033.03

  更正后:
按组合计提坏账准备:

                                                                                    单位:元

          名称                                        期末余额

                                  账面余额                  坏账准备          计提比例

1 年以内                            748,747,542.50              9,829,444.27      1.31%

1 至 2 年                              25,946,746.48              9,569,792.78    36.88%

2 至 3 年                              13,420,755.76              9,612,810.26    71.63%

3 年以上                              3,970,985.72    
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