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首页 公告 科顺股份:关于2021年第一季度报告更正公告

科顺股份:关于2021年第一季度报告更正公告

公告日期:2021-08-17

科顺股份:关于2021年第一季度报告更正公告 PDF查看PDF原文

      证券代码:300737    证券简称:科顺股份    公告编号:2021-081

                科顺防水科技股份有限公司

            关于 2021 年第一季度报告更正公告

          本公司及监事会全体成员保证公告内容的真实、准确和完整,没有虚假记载、

      误导性陈述或者重大遗漏,并对其内容的真实性、准确性和完整性承担个别及连

      带法律责任。

          科顺防水科技股份有限公司(以下简称“公司”)于 2021 年 4

      月 22 日在指定信息披露媒体上披露了《2021 年第一季度报告全文》。

      近日,因发行股份及支付现金购买资产的需要,天健会计师事务所(特

      殊普通合伙)对公司编制的 2020 年及 2021 年第一季度备考合并财务

      报表及附注进行了审阅,并出具了天健审〔2021〕9021 号《备考审阅

      报告》。现公司根据天健会计师事务所(特殊普通合伙)出具的《备

      考审阅报告》对已披露的《2021 年第一季度报告全文》相关财务数据

      进行更正。具体如下:

          (一)报告全文中“第二节 公司基本情况 一、主要会计数据和

      财务指标”的更正

                        本报告期          本报告期          上年同期      本报告期比上年同  本报告期比上年同
                        (更正后)        (更正前)                        期增减(更正后)  期增减(更正前)

营业收入(元)      1,461,287,655.52  1,461,287,655.52    809,270,033.02            80.57%            80.57%

归属于上市公司股东    167,372,421.32    165,481,606.80    29,382,913.67          469.62%          463.19%
的净利润(元)
归属于上市公司股东

的扣除非经常性损益    161,610,568.39    159,416,645.51    47,531,871.18          240.00%          235.39%
的净利润(元)

经营活动产生的现金    -273,401,680.98  -273,401,680.98  -261,073,983.90            -4.72%            -4.72%
流量净额(元)

基本每股收益(元/                0.27              0.27              0.05          440.00%          440.00%
股)


                        本报告期          本报告期          上年同期      本报告期比上年同  本报告期比上年同
                        (更正后)        (更正前)                        期增减(更正后)  期增减(更正前)

稀释每股收益(元/                0.27              0.26              0.05          440.00%          420.00%
股)

加权平均净资产收益              3.77%            3.77%            0.93%            2.84%            2.84%


                        本报告期末        本报告期末        上年度末      本报告期末比上年  本报告期末比上年
                        (更正后)        (更正前)                        度末增减(更正后) 末增减(更正前)

总资产(元)        8,721,512,262.28  8,718,658,968.66  8,148,385,473.43            7.03%            7.00%

归属于上市公司股东  4,560,914,049.45  4,559,268,561.31  4,152,488,797.20            9.84%            9.80%
的净资产(元)

          (二)报告全文中“第四节 财务报表一、财务报表”的更正

          1、合并资产负债表

                    项目                    更正后                更正前              调整金额

        流动资产:

            货币资金                      1,459,976,102.79  1,399,894,504.86          60,081,597.93

            结算备付金

            拆出资金

            交易性金融资产                    21,317,090.42      81,317,090.42        -60,000,000.00

            衍生金融资产

            应收票据                        617,781,390.48    724,699,678.34        -106,918,287.86

            应收账款                      2,649,589,566.73  2,636,503,745.07          13,085,821.66

            应收款项融资                    283,309,905.15    204,532,729.56          78,777,175.59

            预付款项                        205,911,862.37    210,191,615.45          -4,279,753.08

            应收保费

            应收分保账款

            应收分保合同准备金

            其他应收款                      363,867,202.92    369,995,439.90          -6,128,236.98

              其中:应收利息

                    应收股利


          项目                    更正后                更正前              调整金额

  买入返售金融资产

  存货                            434,126,574.24    434,126,574.24

  合同资产                        313,506,666.00    312,143,058.96          1,363,607.04

  持有待售资产

  一年内到期的非流动资


  其他流动资产                    184,793,179.33    183,538,523.56          1,254,655.77

流动资产合计                      6,534,179,540.43  6,556,942,960.36        -22,763,419.93

非流动资产:

  发放贷款和垫款

  债权投资

  其他债权投资

  长期应收款

  长期股权投资

  其他权益工具投资                  39,623,124.47      39,623,124.47

  其他非流动金融资产

  投资性房地产

  固定资产                      1,348,297,108.67  1,331,058,721.30          17,238,387.37

  在建工程                        421,156,537.15    437,169,917.90        -16,013,380.75

  生产性生物资产

  油气资产

  使用权资产                        15,775,848.43                            15,775,848.43

  无形资产                        146,214,751.51    146,214,751.51

  开发支出

  商誉

  长期待摊费用                      3,131,522.04      3,146,200.95            -14,678.91

  递延所得税资产                  193,084,021.31    186,915,961.37          6,168,059.94

  其他非流动资产                    20,049,808.27      17,587,330.80          2,462,477.47

非流动资产合计                    2,187,332,721.85  2,161,716,008.30          25,616,713.55


          项目                    更正后                更正前              调整金额

资产总计                          8,721,512,262.28  8,718,658,968.66          2,853,293.62

流动负债:

  短期借款                        783,794,794.30    683,328,648.17        100,466,146.13

  向中央银行借款

  拆入资金

  交易性金融负债

  衍生金融负债

  应付票据                      1,011,805,904.18  1,111,755,904.18        -99,950,000.00

  应付账款                      1,024,177,493.31    970,436,492.70          53,741,000.61

  预收款项

  合同负债                        355,758,377.61    360,176,749.17          -4,418,371.56

  卖出回购金融资产款

  吸收存款及同业存放

  代理买卖证券款

  代理承销证券款

  应付职工薪酬                      82,417,040.24      84,259,630.82          -1,842,590
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