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首页 公告 联建光电:关于2022年年度报告更正的公告

联建光电:关于2022年年度报告更正的公告

公告日期:2023-06-20

联建光电:关于2022年年度报告更正的公告 PDF查看PDF原文

      证券代码:300269              证券简称:联建光电            公告编号:2023-037

                    深圳市联建光电股份有限公司

                  关于 2022 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。

    深圳市联建光电股份有限公司(以下简称“公司”)于 2023 年 4 月 28 日在巨潮
 资讯网(http://www.cninfo.com.cn)上披露了《深圳市联建光电股份有限公司 2022 年 年度报告》。经事后核查,上述报告中个别信息存在遗漏及误差,现予以补充、更正, 具体内容如下:

    一、“第三节 管理层讨论与分析”之“四、主营业务分析”之“2、收入与成本”
 之“(2)占公司营业收入或营业利润 10%以上的行业、产品、地区、销售模式的情况” 予以补充

    补充前:

  (2) 占公司营业收入或营业利润 10%以上的行业、产品、地区、销售模式的情况

                                                                                            单位:元

              营业收入          营业成本        毛利率    营业收入比上  营业成本比上  毛利率比上年
                                                              年同期增减    年同期增减      同期增减

分行业

数字设备      821,112,074.62    588,025,056.89      28.39%        -5.72%        -7.28%          1.21%

数字营销      155,110,485.00    113,287,733.56      26.96%        13.09%        48.06%        -17.25%

分产品

数字设备      821,112,074.62    588,025,056.89      28.39%        -5.72%        -7.28%          1.21%

数字营销      155,110,485.00    113,287,733.56      26.96%        13.09%        48.06%        -17.25%

分地区

华东          193,290,331.71    147,958,600.65      23.45%        -9.13%        -3.20%        -4.69%

华南          427,272,775.55    371,799,598.95      12.98%        116.24%        176.07%        -18.86%

出口          452,181,063.43    294,989,013.95      34.76%        34.86%        28.77%          3.09%

分销售模式

直销        1,052,527,911.51    825,609,534.52      21.56%        50.24%        69.45%        -8.89%

经销          195,227,688.17    127,258,247.42      34.82%        -40.88%        -47.38%          8.05%

    补充后:

  (2) 占公司营业收入或营业利润 10%以上的行业、产品、地区、销售模式的情况


                                                                                            单位:元

              营业收入          营业成本        毛利率    营业收入比上  营业成本比上  毛利率比上年
                                                              年同期增减    年同期增减      同期增减

分行业

数字设备      821,112,074.62    588,025,056.89      28.39%        -5.72%        -7.28%          1.21%

数字营销      155,110,485.00    113,287,733.56      26.96%        13.09%        48.06%        -17.25%

其他收入

-售楼收    253,995,475.38  237,848,290.73      6.36%              -              -              -

分产品

数字设备      821,112,074.62    588,025,056.89      28.39%        -5.72%        -7.28%          1.21%

数字营销      155,110,485.00    113,287,733.56      26.96%        13.09%        48.06%        -17.25%

其他收入

-售楼收    253,995,475.38  237,848,290.73    6.36%              -              -              -

分地区

华东          193,290,331.71    147,958,600.65      23.45%        -9.13%        -3.20%        -4.69%

华南          427,272,775.55    371,799,598.95      12.98%        116.24%        176.07%        -18.86%

出口          452,181,063.43    294,989,013.95      34.76%        34.86%        28.77%          3.09%

分销售模式

直销        1,052,527,911.51    825,609,534.52      21.56%        50.24%        69.45%        -8.89%

经销          195,227,688.17    127,258,247.42      34.82%        -40.88%        -47.38%          8.05%

    二、“第十节 财务报告”之“七、合并财务报表项目注释”之“5、其他应收款”
 之“(1)其他应收款”之“2)坏账准备计提情况”予以更正

    更正前:

      2) 坏账准备计提情况

                                                                                              单位:元

                          第一阶段            第二阶段            第三阶段

    坏账准备        未来 12 个月预期信用  整个存续期预期信用  整个存续期预期信用          合计

                            损失          损失(未发生信用减    损失(已发生信用减

                                                  值)                  值)

2022 年 1 月 1 日余额          7,648,583.78        27,145,490.02      261,672,952.88      296,467,026.68

2022 年 1 月 1 日余额

在本期

本期计提                    3,505,043.33        2,842,637.49        3,630,745.62        9,978,426.44

本期转回                                          6,590,535.26        2,764,455.00        9,354,990.26

其他变动                  -3,670,425.00        -5,884,782.49                0.00        -9,555,207.49

2022 年 12 月 31 日余          7,483,202.11        17,512,809.76      262,539,243.50      287,535,255.37


    更正后:

      2) 坏账准备计提情况

                                                                                              单位:元

                          第一阶段            第二阶段            第三阶段

    坏账准备        未来 12 个月预期信用  整个存续期预期信用  整个存续期预期信用          合计

                            损失          损失(未发生信用减    损失(已发生信用减

                                                  值)                  值)

2022 年 1 月 1 日余额          4,956,173.41        39,141,027.81        252,369,825.46        296,467,026.68

2022 年 1 月 1 日余额

在本期

—转入第二阶段              -1,021,839.97          1,021,839.97                0.00                    0

—转入第三阶段                      0.00        -3,235,307.48          3,235,307.48                    0

本期计提                      231,742.80            48,118.08          9,698,565.56          9,978,426.44

本期转回                            0.00          6,590,535.26     
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