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创世纪:关于2021年年度报告的更正公告

公告日期:2022-03-07

创世纪:关于2021年年度报告的更正公告 PDF查看PDF原文

证券代码:300083          证券简称:创世纪            公告编号:2022-033
        广东创世纪智能装备集团股份有限公司

          关于2021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。

  广东创世纪智能装备集团股份有限公司(以下简称“公司”),于 2022 年2 月 19 日在巨潮资讯网(www.cninfo.com.cn)披露了《2021 年年度报告》,经事后核查,因工作人员疏忽,公司《2021 年年度报告》全文中部分披露事项存在填报错误,现对报告部分内容进行更正。以下更正不会对公司 2021 年度财务状况和经营成果造成影响。

  更正情况如下:

  一、《2021 年年度报告》全文“第三节 管理层讨论与分析”之“六、资产及负债状况分析”2、以公允价值计量的资产和负债


  更正前:

                                                                                                                            单位:元

      项目            期初数      本期公允价值  计入权益的累计  本期计提    本期购买金额        本期出售金额        其他变动          期末数

                                      变动损益      公允价值变动    的减值

金融资产
1.交易性金融资产(不

含衍生金融资产)      20,000,000.00                                                  9,565,950,235.90      9,565,950,235.90                        20,000,000.00

2.其他权益工具投资      3,250,373.61                    -3,433,596.07                  39,947,000.00        1,686,403.93      -1,563,969.68      39,947,000.00

金融资产小计          23,250,373.61                    -3,433,596.07                9,605,897,235.90      9,567,636,639.83      -1,563,969.68      59,947,000.00

投资性房地产        202,242,450.00                                                                                          308,973,183.43    511,215,633.43

上述合计            225,492,823.61                    -3,433,596.07                9,605,897,235.90      9,567,636,639.83      307,409,213.75    571,162,633.43

金融负债                      0.00                            0.00                                                                                    0.00

  更正后:

                                                                                                                            单位:元

      项目            期初数      本期公允价  计入权益的累计  本期计提    本期购买金额        本期出售金额        其他变动          期末数

                                      值变动损益    公允价值变动    的减值

金融资产
1.交易性金融资产(不

含衍生金融资产)      20,000,000.00  1,137,539.68                                  9,555,760,878.12      9,555,760,878.12                        20,000,000.00

2.其他权益工具投资      3,250,373.61                    -3,433,596.07                  39,947,000.00        1,686,403.93      -1,563,969.68      39,947,000.00

金融资产小计          23,250,373.61  1,137,539.68      -3,433,596.07                9,595,707,878.12      9,557,447,282.05      -1,563,969.68      59,947,000.00

投资性房地产          202,242,450.00  4,357,401.77                                                                          304,615,781.66    511,215,633.43

上述合计              225,492,823.61  5,494,941.45      -3,433,596.07                9,595,707,878.12      9,557,447,282.05      303,051,811.98    571,162,633.43

金融负债                      0.00                          0.00                                                                                    0.00


  二、《2021 年年度报告》全文“第三节 管理层讨论与分析”之“七、投资状况分析” 4、以公允价值计量的金融资产

  更正前:

                                                                                                                            单位:元

 资产类别    初始投资成本    本期公允价值  计入权益的累计公    报告期内购入金额    报告期内售出金额      累计投资收益        期末金额      资金来源
                              变动损益      允价值变动

其他          45,067,000.00                      -3,433,596.07                  0.00          1,686,403.93                0.00    39,947,000.00  自有资金

其他          20,000,000.00                            0.00        9,565,950,235.90      9,565,950,235.90        12,797,194.82    20,000,000.00  自有资金

合计          65,067,000.00          0.00      -3,433,596.07        9,565,950,235.90      9,567,636,639.83        12,797,194.82    59,947,000.00      --

  更正后:

                                                                                                                            单位:元

 资产类别    初始投资成本    本期公允价值  计入权益的累计    报告期内购入金额      报告期内售出金额      累计投资收益        期末金额      资金来源
                                变动损益      公允价值变动

其他          45,067,000.00                      -3,433,596.07          39,947,000.00          1,686,403.93                0.00    39,947,000.00  自有资金

其他          20,000,000.00    1,137,539.68              0.00        9,555,760,878.12        9,555,760,878.12        12,797,194.82    20,000,000.00  自有资金

合计          65,067,000.00    1,137,539.68      -3,433,596.07        9,595,707,878.12        9,557,447,282.05        12,797,194.82    59,947,000.00      --


  三、《2021 年年度报告》全文“第十节 财务报告”之“二、财务报表” 注
释 5、合并现金流量表

  更正前:

                                                                      单位:元

 二、投资活动产生的现金流量                                                    金额

 收回投资所收到的现金                                                            3,188,534.00

 取得投资收益所收到的现金                                                        23,963,918.55

 处置固定资产、无形资产和其他长期资产所收回的现金净额                            54,839,200.00

 处置子公司及其他营业单位收到的现金净额                                                      -

 收到的其他与投资活动有关的现金                              
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