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四会富仕:关于2021年度报告的更正公告

公告日期:2022-04-22

四会富仕:关于2021年度报告的更正公告 PDF查看PDF原文

    证券代码:300852        证券简称:四会富仕        公告编号:2022-035
          四会富仕电子科技股份有限公司

            关于 2021 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。

    四会富仕电子科技股份有限公司(以下简称“公司”),于 2022 年 3 月 25 日在
 巨潮资讯网(www.cninfo.com.cn)披露了《2021 年度报告》,经事后核查,因工作人
 员疏忽,部分数据填报存在错误,现予以更正。公司于 2022 年 4 月 22 日通过巨潮资
 讯网(www.cninfo.com.cn)披露了更正后的《2021 年度报告》,敬请投资者查阅。本 次更正内容如下:

    一、《2021 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

                  本期公允价  计入权益的  本期计  本期购买  本期出售

 项目    期初数  值变动损益  累计公允价  提的减    金额      金额    其他变动    期末数

                                  值变动      值

金融资产
1. 交 易
性金融
资  产

(不含  398,705,  1,493,940.0                        1,058,030,  1,302,391,              155,143,940

                                      0.00    0.00                              0.00

衍生金    095.71          5                          000. 00    865. 15                    .05

融  资
产)

金融资  398,705,  1,493,940.0                        1,058,030,  1,302,391,              155,143,940

产小计                                0.00    0.00                              0.00

          095.71          5                          000. 00    865. 15                    .05

上述合  398,705,  1,493,940.0                        1,058,030,  1,302,391,              155,143,940

计                                    0.00    0.00                              0.00

          095.71          5                          000. 00    865. 15                    .05

金融负

债          0.00        0.00        0.00    0.00      0.00      0.00        0.00        0.00

    更正后:

                                                                                          单位:元

                  本期公允价  计入权益的  本期计  本期购买  本期出售

 项目    期初数  值变动损益  累计公允价  提的减    金额      金额    其他变动    期末数

                                  值变动      值

金融资产
1. 交 易
性金融
资  产

(不含  398,705,  1,493,940.0                        1,058,030,  1,303,085,            155,143,940.

                                      0.00    0.00                              0.00

衍生金    095. 71          5                          000. 00    095. 71                      05

融  资
产)

金融资  398,705,  1,493,940.0                        1,058,030,  1,303,085,            155,143,940.

产小计                                0.00    0.00                              0.00

          095. 71          5                          000. 00    095. 71                      05

上述合  398,705,  1,493,940.0                        1,058,030,  1,303,085,            155,143,940.

计                                    0.00    0.00                              0.00

          095. 71          5                          000. 00    095. 71                      05

金融负

债          0.00        0.00        0.00    0.00      0.00      0.00        0.00        0.00

    二、《2021 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    初始投  本期公允价  计入权益的  报告期    报告期  累计投资  期末金

    类别    资成本  值变动损益  累计公允价  内购入    内售出    收益      额    资金来源

                                    值变动      金额      金额

                                                                                        募 集 资

  其他    1,455,17                            1,058,03  1,302,39  8,086,096.  153,650  金、自有

                      1,493,940.05        0.00

            7,314.58                            0,000.00  1,865.15        02  ,000.00  资金

  合计    1,455,17                            1,058,03  1,302,39  8,086,096.  153,650

                      1,493,940.05        0.00                                              --

            7,314.58                            0,000.00  1,865.15        02  ,000.00

    更正后:

                                                                                          单位:元

    资产    初始投  本期公允价  计入权益的  报告期    报告期  累计投资  期末金

    类别    资成本  值变动损益  累计公允价  内购入    内售出    收益      额    资金来源

                                    值变动      金额      金额


 其他    1,456,73                            1,058,03  1,303,08  8,086,096.  155,143  募集资金、

                                          0                                          自有资金

          5,095.71  1,493,940.05              0,000.00  5,095.71        02  ,940.05

 合计    1,456,73                            1,058,03  1,303,08  8,086,096.  155,143

                                          0                                              --

          5,095.71  1,493,940.05              0,000.00  5,095.71        02  ,940.05

  三、《2021 年度报告》全文“第七节 股份变动及股东情况”之“一、股份变动情况”1、股份变动情况

    更正前:

                                                                                    单位:股

                      本次变动前              本次变动增减(+,-)            本次变动后

                    数量    比例    发行    送  公积金转  其    小计    数量    比例

                                      新股    股      股      他

 一、有
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