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首页 公告 600416:*ST湘电关于2019年年报的更正公告

600416:*ST湘电关于2019年年报的更正公告

公告日期:2020-07-08

600416:*ST湘电关于2019年年报的更正公告 PDF查看PDF原文

股票代码:600416          股票简称:*ST 湘电          编号:2020 临- 087

        湘潭电机股份有限公司

      关于 2019 年年报的更正公告

    本公司董事会及全体董事保证本公告内容不存在任何虚假记载、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责任。

  湘潭电机股份有限公司(以下简称“公司”)于 2020 年 3 月 31 日在上海证

券交易所、中国证券报、上海证券报、证券时报、证券日报等指定信息披露媒体
上披露了《2019 年年报全文及摘要》,经事后审核发现,原披露的信息中存在部
分内容有遗漏和错误,现更正如下:

    一、更正内容一

  2019 年年报全文中“第四节,经营情况讨论与分析”之“二、报告期内主
要经营情况”之“(三)资产、负债情况分析”中的“1.资产及负债状况”:

  更正前:在建工程中本期期末数占总资产的比例为 169.38%。

                    本期期末数              上期期末  本期期末金

 项目  本期期末数  占总资产的  上期期末数  数占总资  额较上期期      情况说明

 名称                比例(%)              产的比例  末变动比例

                                              (%)      (%)

在 建  16,938.03      169.38  70,970.24      3.48      -76.13  本期在建工程预
工程                                                                转固所致。

  更正后:在建工程中本期期末数占总资产的比例为 0.99%。

                    本期期末数              上期期末  本期期末金

 项目  本期期末数  占总资产的  上期期末数  数占总资  额较上期期      情况说明

 名称                比例(%)              产的比例  末变动比例

                                              (%)      (%)

在 建  16,938.03        0.99  70,970.24      3.48      -76.13  本期在建工程预
工程                                                                转固所致。


    二、更正内容二

  1、2019 年年报全文中“第十一节,财务报告”之“七、合并财务报表项目
注释”之“20、固定资产”中的“(1).固定资产情况”:

  更正前:缺少相应的项目名称。

  项目    房屋及建筑物      机器设备      运输工具                      合计

一、账面
原值:

1.期初余  1,290,849,015.63  1,640,342,061.21  50,914,922.72  324,520,279.69  3,306,626,279.25


  更正后:补充缺少项目名称“电子设备”。

  项目    房屋及建筑物      机器设备      运输工具      电子设备        合计

一、账面
原值:

1.期初余  1,290,849,015.63  1,640,342,061.21  50,914,922.72  324,520,279.69  3,306,626,279.25


  2、2019 年年报全文中“第十一节,财务报告”之“七、合并财务报表项目
注释”之“25、无形资产”中的“(1).无形资产情况”:

  更正前:缺少相应项目名称及排序有误。

                                                        单位:元 币种:人民币

    项目      土地使用权      专利权      非专利技术                        合计

一、账面原值

1.期初余额    598,712,046.67  41,529,900.51  401,696,469.29                  1,041,938,416.47

2.本期增加金    3,661,720.00  35,439,496.13    328,159.74  1,288,491,184.22  1,327,920,560.09


(1)购置          3,661,720.00  4,203,154.20    976,429.05    21,933,962.26    30,775,265.51

(2)内部研发                                              1,266,557,221.96  1,266,557,221.96

(3)企业合并增


(4)在建工程                31,236,341.93                                  31,236,341.93
转入

(5)外币报表                                -648,269.31                      -648,269.31
折算差额

3.本期减少金  67,747,909.77  6,748,667.43                                  74,496,577.20


(1)处置          7,975,920.00                                                  7,975,920.00

(2)处置子公  59,771,989.77  6,748,667.43                                  66,520,657.20
司减少

4.期末余额    534,625,856.90  70,220,729.21  402,024,629.03  1,288,491,184.22  2,295,362,399.36

二、累计摊销

1.期初余额      61,794,285.45  28,732,100.60  151,336,112.00                  241,862,498.05

2.本期增加金  12,195,372.73  5,987,396.58  22,865,866.85    32,230,732.70    73,279,368.86


(1)计提      12,195,372.73  5,987,396.58  22,865,866.85    32,230,732.70    73,279,368.86

3.本期减少金    8,152,641.89  6,748,667.43                                  14,901,309.32


(1)处置          720,036.00                                                  720,036.00

(2)处置子公    7,432,605.89  6,748,667.43                                  14,181,273.32
司减少

4.期末余额      65,837,016.29  27,970,829.75  174,201,978.85    32,230,732.70  300,240,557.59

三、减值准备

1.期初余额                                  22,695,862.09                    22,695,862.09

2.本期增加金

(1)计提
3.本期减少金

(1)处置

4.期末余额                                  22,695,862.09                    22,695,862.09

四、账面价值

1.期末账面价  468,788,840.61  42,249,899.46  205,126,788.09  1,256,260,451.52  1,972,425,979.68


2.期初账面价  536,917,761.22  12,797,799.91  227,664,495.20                  777,380,056.33


  更正后:调整排序及补充项目名称,其他相关数据不变。

                                                        单位:元 币种:人民币

    项目      土地使用权      软件        专利权      非专利技术        合计

一、账面原值

1.期初余额    598,712,046.67  41,529,900.51  401,696,469.29                  1,041,938,416.47

2.本期增加金    3,661,720.00  35,439,496.13    328,159.74  1,288,491,184.22  1,327,920,560.09


(1)购置          3,661,720.00  4,203,154.20    976,429.05    21,933,962.26    30,775,265.51

(2)内部研发                                              1,266,557,221.96  1,266,557,221.96

(3)企业合并增



(4)在建工程                31,236,341.93                                  31,236,341.93
转入

(5)外币报表                                -648,269.31                      -648,269.31
折算差额

3.本期减少金  67,747,909.77  6,748,667.43                                  74,496,577.20


(1)处置          7,975,920.00                                                  7,975,920.00

(2)处置子公  59,771,989.77  6,748,667.43                                  66,520,657.20
司减少

4.期末余额    534,625,856.90  70,220,729.21  402,024,629.03  1,288,491,184.22  2,295,362,399.36

二、累计摊销

1.期初余额      61,794,285.45  28,732,100.60  151,336,112.00                  241,862,498.05

2.本期增加金  
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