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华峰超纤:关于2020年年度报告的补充更正公告

公告日期:2021-06-01

华峰超纤:关于2020年年度报告的补充更正公告 PDF查看PDF原文

      证券代码:300180        证券简称:华峰超纤      公告编号:2021-028

              上海华峰超纤科技股份有限公司

            关于 2020 年年度报告的补充更正公告

        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。

        上海华峰超纤科技股份有限公司(以下简称“公司”)于 2021 年 4 月 27 日在中

    国证监会指定的创业板信息披露网站巨潮资讯网(http://www.cninfo.com.cn)披露

    了公司《2020 年年度报告》。经事后审查发现,年报披露的部分内容因工作失误,

    在填报系统中填列错行次,“第十二节 财务报告”之“七、合并财务报表项目注释

    -13.固定资产-(1)固定资产情况”填报有误。与公司年度报告一起披露的审计报告

    后附的财务报表附注中的披露无误。

        根据《深圳证券交易所创业板股票上市规则(2020 年 12 月修订》等有关规定,

    公司对《2020 年年度报告》部分内容进行了补充更正,具体情况如下:

        “第十二节 财务报告”之“七、合并财务报表项目注释-13.固定资产-(1)固

    定资产情况”

        更正前:

    (1)固定资产情况

                                                                            单位:元

      项目        房屋及建筑物      机器设备        运输设备      电子设备及其他        合计

一、账面原值:      1,188,741,744.26  2,875,643,156.18      29,579,454.45      51,588,313.24  4,145,552,668.13

  1.期初余额          292,023,880.34    451,929,585.16      6,360,457.14      4,429,216.11    754,743,138.75

  2.本期增加金额        2,970,468.77      15,365,095.21      6,360,457.14      4,341,304.26      29,037,325.38

  (1)购置        289,053,411.57    436,564,489.95                          87,911.85    725,705,813.37

  (2)在建工程
转入

  (3)企业合并
增加

                      3,801,057.51      58,513,369.22      3,716,357.59        277,119.88      66,307,904.20

  3.本期减少金额        3,801,057.51      58,513,369.22      3,716,357.59        277,119.88      66,307,904.20

  (1)处置或报废

                    1,476,964,567.09  3,269,059,372.12      32,223,554.00      55,740,409.47  4,833,987,902.68

  4.期末余额

二、累计折旧          262,194,328.96    773,333,185.23      15,182,811.47      28,887,893.42  1,079,598,219.08

  1.期初余额          61,370,539.25    282,913,943.97      3,957,558.92      7,638,911.28    355,880,953.42

  2.本期增加金额      61,370,539.25    282,913,943.97      3,957,558.92      7,638,911.28    355,880,953.42

  (1)计提

                        841,692.27      42,998,987.31      2,808,450.77        257,315.78      46,906,446.13

  3.本期减少金额          841,692.27      42,998,987.31      2,808,450.77        257,315.78      46,906,446.13

  (1)处置或报废

                      322,723,175.94  1,013,248,141.89      16,331,919.62      36,269,488.92  1,388,572,726.37

  4.期末余额        1,188,741,744.26  2,875,643,156.18      29,579,454.45      51,588,313.24  4,145,552,668.13

三、减值准备

  1.期初余额

  2.本期增加金额

  (1)计提

  3.本期减少金额

  (1)处置或报废

  4.期末余额
四、账面价值

  1.期末账面价值    1,154,241,391.15  2,255,811,230.23      15,891,634.38      19,470,920.55  3,445,415,176.31

  2.期初账面价值      926,547,415.30  2,102,309,970.95      14,396,642.98      22,700,419.82  3,065,954,449.05

        更正后:

                                                                            单位:元

      项目        房屋及建筑物      机器设备        运输设备      电子设备及其他        合计

一、账面原值:

  1.期初余额        1,188,741,744.26  2,875,643,156.18      29,579,454.45      51,588,313.24  4,145,552,668.13

  2.本期增加金额      292,023,880.34    451,929,585.16      6,360,457.14      4,429,216.11    754,743,138.75

  (1)购置          2,970,468.77      15,365,095.21      6,360,457.14      4,341,304.26      29,037,325.38

  (2)在建工程    289,053,411.57    436,564,489.95                          87,911.85    725,705,813.37
转入

  (3)企业合并
增加

  3.本期减少金额        3,801,057.51      58,513,369.22      3,716,357.59        277,119.88      66,307,904.20

  (1)处置或报废      3,801,057.51      58,513,369.22      3,716,357.59        277,119.88      66,307,904.20

  4.期末余额        1,476,964,567.09  3,269,059,372.12      32,223,554.00      55,740,409.47  4,833,987,902.68

二、累计折旧

  1.期初余额          262,194,328.96    773,333,185.23      15,182,811.47      28,887,893.42  1,079,598,219.08

  2.本期增加金额      61,370,539.25    282,913,943.97      3,957,558.92      7,638,911.28    355,880,953.42

  (1)计提          61,370,539.25    282,913,943.97      3,957,558.92      7,638,911.28    355,880,953.42

  3.本期减少金额          841,692.27      42,998,987.31      2,808,450.77        257,315.78      46,906,446.13

  (1)处置或报废        841,692.27      42,998,987.31      2,808,450.77        257,315.78      46,906,446.13

  4.期末余额          322,723,175.94  1,013,248,141.89      16,331,919.62      36,269,488.92  1,388,572,726.37

三、减值准备

  1.期初余额

  2.本期增加金额

  (1)计提

  3.本期减少金额

  (1)处置或报废

  4.期末余额
四、账面价值

  1.期末账面价值    1,154,241,391.15  2,255,811,230.23      15,891,634.38      19,470,920.55  3,445,415,176.31

  2.期初账面价值      926,547,415.30  2,102,309,970.95      14,396,642.98      22,700,419.82  3,065,954,449.05

        除以上补充更正外,公司《2020 年年度报告》其他内容不变。公司《2020 年

    年度报告全文(更新后)》同日发布于中国证监会指定的创业板信息披露网站巨潮资

    讯网(http://www.cninfo.com.cn)。由此给投资者造成的不便,公司深表歉意,公司

    将不断强化信息披露编制和审核工作,提高信息披露质量,敬请广大投资者谅解。

        特此公告。

                                                上海华峰超纤科技股份有限公司

                                                            董事会

                                                        2021 年 6 月 1 日

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