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人福医药:关于前期会计差错更正及追溯调整的公告 下载公告
公告日期:2022-12-23

证券代码:600079 证券简称:人福医药 编号:临2022-161号

人福医药集团股份公司关于前期会计差错更正及追溯调整的公告

重要内容提示:

? 本次前期会计差错更正及追溯调整后,人福医药集团股份公司(以下简称“人福医药”或“公司”)2017年度至2021年度主要财务指标变动如下:(1)2017年度:

总资产调增86,471.88万元,归属于上市公司股东的净资产调减12.67万元,归属于上市公司股东的净利润调减12.67万元;(2)2018年度:总资产调增75,834.80万元,归属于上市公司股东的净资产调减1,446.02万元,归属于上市公司股东的净利润调减1,433.35万元;(3)2019年度:总资产调增104,096.67万元,归属于上市公司股东的净资产调增1,840.11万元,归属于上市公司股东的净利润调减4,090.57万元;(4)2020年度:总资产调增79,617.21万元,归属于上市公司股东的净资产调减12,491.21万元,归属于上市公司股东的净利润调减14,278.14万元;(5)2021年度:总资产调增90,432.02万元,归属于上市公司股东的净资产调减19,872.86万元,归属于上市公司股东的净利润调减7,239.94万元。

? 公司对前期会计差错采用追溯重述法进行更正,相应对2017年度至2021年度合并财务报表和母公司财务报表进行追溯调整,同时对2022年1-3季度合并财务报表和母公司财务报表进行更正处理。

一、概述

公司于2022年12月22日召开第十届董事会第四十四次会议、第十届监事会第十七次会议,审议通过了《关于公司前期会计差错更正及追溯调整的议案》,公司根据《企业会计准则第28号——会计政策、会计估计变更和差错更正》、《公开发行证

券的公司信息披露编报规则第19号——财务信息的更正及相关披露》等相关规定,对2017年度至2021年度合并财务报表和母公司财务报表进行追溯调整,同时对2022年1-3季度合并财务报表和母公司财务报表进行更正处理。

二、具体情况及对公司的影响

(一)更正事项的性质及原因的说明

为持续健全内部控制制度,提升风险防范能力,公司对内部管理涉及部分业务的相关事项进行了内部核查,公司发现:(1)前期处置的部分子公司截至目前的运营情况与原处置方案存在偏差,公司根据现状谨慎判断当期资产出售交易并未达成,仍应纳入公司合并报表范围;(2)公司根据对基金管理公司的管理控制情况谨慎判断,调整此前核算方式,将其纳入公司合并报表范围。具体情况如下:

1、将金科瑞达(武汉)科技投资有限公司(以下简称“金科瑞达”)自2017年5月设立之日起纳入公司合并报表范围,持股比例为100%。金科瑞达下属公司如下表所示:

公司名称持股 比例说明
武汉泽丰长江医药投资有限公司100%1、原为2017年6月30日起公司丧失控制权,现改为2017年6月30日起由金科瑞达持有其100%股权。 2、该公司自2019年10月起持有武汉爱博企业管理咨询合伙企业(有限合伙)69.20%份额。
绿之源健康产业(湖北)有限公司100%1、原为2017年12月31日起公司丧失控制权,现改为2017年12月31日起由金科瑞达持有其100%股权。 2、原持有武汉中原瑞德健康管理有限公司30%股权,已于2018年6月出售。
人福湖北食品产业有限公司60%原为绿之源健康产业(湖北)有限公司持有其60%股权,2018年12月变更为金科瑞达持有其60%股权。
宜昌三峡普诺丁生物制药有限公司100%1、原为2017年11月30日起公司丧失控制权,现改为2017年11月30日起由金科瑞达持有其100%股权。 2、原持有武汉中原瑞德健康管理有限公司70%股权,已于2018年6月出售。
建德市医药药材有限公司70%1、原为2017年12月31日起公司丧失控制权,现改为2017年12月31日起由金科瑞达持有其70%股权。 2、2018年9月该公司完成分立,分立后的另一家公司名为浙江松鹿医药有限公司。 3、2020年12月底金科瑞达将建德市医药药材有限公司70%股权
及浙江松鹿医药有限公司70%股权出售给呼伦贝尔松鹿制药有限公司,同时获得呼伦贝尔松鹿制药有限公司25.93%股权。
天津海泰医药科技发展有限公司100%金科瑞达2021年9月起持有其100%股权。
北京海泰联合医药科技发展有限公司100%金科瑞达2021年9月起持有其100%股权。
宜昌三峡安杰生物科技有限公司100%金科瑞达2022年6月设立该公司。

2、原为公司自2017年5月31日起对武汉睿成股权投资管理有限公司(以下简称“武汉睿成”)丧失控制权,现通过补充确认一致行动关系,追溯公司未丧失对武汉睿成的控制权,自2017年5月31日起将武汉睿成32.5%股权纳入公司合并报表范围。武汉睿成下属公司如下表所示:

公司名称持股 比例说明
武汉人福生物医药产业投资基金中心(有限合伙)46%1、武汉睿成为基金管理人,持有其1%份额,公司持有其45%份额。 2、该基金原持有湖北朗德医疗科技有限公司28.57%股权,公司全资子公司武汉人福医药有限公司于2021年收购湖北朗德医疗科技有限公司45%股权,湖北朗德医疗科技有限公司自2021年1月起纳入公司合并报表范围。 3、湖北朗德医疗科技有限公司2017年设立全资子公司朗德医疗科技(武汉)有限责任公司。

3、原为公司不对智盈新成(武汉)股权投资管理有限公司(以下简称“智盈新成”)形成控制,现通过补充确认一致行动关系,自2017年1月起将智盈新成49%股权纳入公司合并报表范围。智盈新成下属公司如下表所示:

公司名称持股 比例说明
武汉光谷人福鑫成生物医药产业投资基金中心(有限合伙)51%智盈新成为基金管理人,持有其1.5%份额,金科瑞达全资子公司武汉泽丰长江医药投资有限公司持有其49.5%份额。

上述事项对本公司2017年度至2022年三季度财务报表之资产负债表、利润表等存在影响,公司对前期会计差错采用追溯重述法进行更正,相应对2017年度至2021年度合并财务报表和母公司财务报表进行追溯调整,同时对2022年1-3季度合并财务报表和母公司财务报表进行更正处理。

(二)更正事项对公司财务状况、经营成果和现金流量的影响及更正后的财务指标

1、对2022年第一季度财务报表相关影响(单位:人民币元)

(1)对2022年3月31日合并资产负债表的影响

报表项目调整前金额调整金额调整后金额
货币资金3,498,466,621.7658,675,220.803,557,141,842.56
交易性金融资产548,322,739.86373,346,467.77921,669,207.63
应收账款7,458,411,071.1421,856,229.227,480,267,300.36
预付款项701,122,137.733,686,634.91704,808,772.64
其他应收款1,998,107,127.65-423,280,672.781,574,826,454.87
存货3,159,019,607.6730,628,691.373,189,648,299.04
其他流动资产121,933,850.953,066,690.11125,000,541.06
流动资产合计18,271,861,851.8967,979,261.4018,339,841,113.29
长期股权投资3,728,051,745.79-22,678,373.513,705,373,372.28
其他权益工具投资1,033,687,715.6132,224,750.271,065,912,465.88
固定资产5,297,255,450.93355,608,382.135,652,863,833.06
在建工程1,415,301,236.976,508,655.711,421,809,892.68
无形资产1,751,463,431.08125,047,509.201,876,510,940.28
开发支出932,556,299.4117,186,123.92949,742,423.33
商誉929,223,753.40156,643,938.411,085,867,691.81
长期待摊费用39,569,729.11264,747.9639,834,477.07
递延所得税资产64,885,885.883,363.9564,889,249.83
非流动资产合计17,491,831,904.49670,809,098.0418,162,641,002.53
资产总计35,763,693,756.38738,788,359.4436,502,482,115.82
短期借款7,655,889,380.6847,922,800.007,703,812,180.68
应付账款2,117,267,373.1633,726,053.042,150,993,426.20
预收款项338,350,760.79180,243.40338,531,004.19
合同负债396,614,932.501,914,092.70398,529,025.20
应付职工薪酬73,607,545.311,403,648.1175,011,193.42
应交税费496,941,581.341,952,007.91498,893,589.25
其他应付款1,536,602,856.70113,354,207.031,649,957,063.73
一年内到期的非流动负债2,313,849,215.91287,586,183.922,601,435,399.83
其他流动负债47,174,136.85173,862.2447,347,999.09
流动负债合计15,525,633,267.59488,213,098.3516,013,846,365.94
长期借款2,781,300,798.71233,482,433.863,014,783,232.57
递延收益567,229,022.637,972,563.29575,201,585.92
非流动负债合计3,709,614,508.41241,454,997.153,951,069,505.56
负债合计19,235,247,776.00729,668,095.5019,964,915,871.50
资本公积6,126,656,785.777,649,884.736,134,306,670.50
其他综合收益-62,925,907.71-2,244,604.59-65,170,512.30
未分配利润6,230,030,069.06-222,835,147.236,007,194,921.83
归属于母公司所有者权益(或股东权益)合计14,003,005,121.30-217,429,867.0913,785,575,254.21
少数股东权益2,525,440,859.08226,550,131.032,751,990,990.11
所有者权益(或股东权益)合计16,528,445,980.389,120,263.9416,537,566,244.32
负债和所有者权益(或股东权益)总计35,763,693,756.38738,788,359.4436,502,482,115.82

(2)对2022年3月31日母公司资产负债表的影响

报表项目调整前金额调整金额调整后金额
其他应收款6,077,216,558.8635,110,110.736,112,326,669.59
流动资产合计7,131,054,302.9235,110,110.737,166,164,413.65
长期股权投资12,633,489,348.51346,555,548.0112,980,044,896.52
非流动资产合计13,795,327,025.26346,555,548.0114,141,882,573.27
资产总计20,926,381,328.18381,665,658.7421,308,046,986.92
其他应付款3,515,770,612.42267,997,777.783,783,768,390.20
流动负债合计8,449,669,079.88267,997,777.788,717,666,857.66
负债合计10,151,683,962.27267,997,777.7810,419,681,740.05
资本公积8,272,026,956.89-132,234.288,271,894,722.61
其他综合收益96,613,059.14-1,832.8696,611,226.28
未分配利润696,813,175.70113,801,948.10810,615,123.80
所有者权益(或股东权益)合计10,774,697,365.91113,667,880.9610,888,365,246.87
负债和所有者权益(或股东权益)总计20,926,381,328.18381,665,658.7421,308,046,986.92

(3)对2022年第一季度合并利润表的影响

报表项目调整前金额调整金额调整后金额
一、营业总收入5,159,806,246.3024,716,409.535,184,522,655.83
其中:营业收入5,159,806,246.3024,716,409.535,184,522,655.83
二、营业总成本4,625,249,311.8838,961,701.554,664,211,013.43
其中:营业成本2,844,919,854.6820,898,443.602,865,818,298.28
税金及附加42,912,433.541,039,066.5743,951,500.11
销售费用1,057,370,317.681,277,142.731,058,647,460.41
管理费用351,557,853.345,335,688.33356,893,541.67
研发费用213,608,746.981,438,582.09215,047,329.07
财务费用114,880,105.668,972,778.23123,852,883.89
其中:利息费用130,500,752.195,907,789.19136,408,541.38
利息收入39,066,576.32-2,908,479.1436,158,097.18
加:其他收益60,488,422.96114,673.0660,603,096.02
投资收益(损失以“-”号填列)576,490,203.90352,133.70576,842,337.60
其中:对联营企业和合营企业的投资收益22,525,618.34315,506.2922,841,124.63
公允价值变动收益(损失以“-”号填列)4,309,761.80-2,367,633.961,942,127.84
信用减值损失(损失以“-”号填列)-2,544,376.0725,383,371.0622,838,994.99
资产减值损失(损失以“-”号填列)-8,640.04-867,941.84-876,581.88
资产处置收益(损失以“-”号填列)-6,706,289.667,261.08-6,699,028.58
三、营业利润(亏损以“-”号填列)1,166,586,017.318,376,571.081,174,962,588.39
加:营业外收入1,711,570.400.081,711,570.48
减:营业外支出10,286,232.5021,209.4010,307,441.90
四、利润总额(亏损总额以“-”号填列)1,158,011,355.218,355,361.761,166,366,716.97
减:所得税费用127,768,343.84-1,769.20127,766,574.64
五、净利润(净亏损以“-”号填列)1,030,243,011.378,357,130.961,038,600,142.33
(一)按经营持续性分类
1.持续经营净利润(净亏损以“-”号填列)1,030,243,011.378,357,130.961,038,600,142.33
(二)按所有权归属分类
1.归属于母公司股东的净利润(净亏损以“-”号填列)932,745,003.41-18,405,609.46914,339,393.95
2.少数股东损益(净亏损以“-”号填列)97,498,007.9626,762,740.42124,260,748.38
六、其他综合收益的税后净额-17,152,787.66-427,180.00-17,579,967.66
(一)归属母公司所有者的其他综合收益的税后净额-16,872,670.02-295,609.42-17,168,279.44
1.不能重分类进损益的其他综合收益-2,767,732.73-295,609.42-3,063,342.15
(3)其他权益工具投资公允价值变动425,662.66-295,609.42130,053.24
(二)归属于少数股东的其他综合收益的税后净额-280,117.64-131,570.58-411,688.22
七、综合收益总额1,013,090,223.717,929,950.961,021,020,174.67
(一)归属于母公司所有者的综合收益总额915,872,333.39-18,701,218.88897,171,114.51
(二)归属于少数股东的综合收益总额97,217,890.3226,631,169.84123,849,060.16
八、每股收益:
(一)基本每股收益(元/股)0.58-0.010.57
(二)稀释每股收益(元/股)0.58-0.020.56
九、加权平均净资产收益率(%):
(一)归属于公司普通股股东的净利润6.85-0.036.82
(二)扣除非经常性损益后归属于公司普通股股东的净利润2.40-0.092.31

(4)对2022年第一季度母公司利润表的影响

报表项目调整前金额调整金额调整后金额
减:管理费用47,264,362.40-2,254,103.2145,010,259.19
研发费用2,254,103.212,254,103.21
财务费用32,956,799.902,500,000.0035,456,799.90
其中:利息费用94,519,716.022,500,000.0097,019,716.02
加:投资收益(损失以“-”号填列)55,821,045.25542,655.3556,363,700.60
其中:对联营企业和合营企业的投资收益-5,467,291.26217,655.35-5,249,635.91
信用减值损失(损失以“-”号填列)70,618,240.16-51,093,098.2919,525,141.87
二、营业利润(亏损以“-”号填列)45,995,209.15-53,050,442.94-7,055,233.79
三、利润总额(亏损总额以“-”号填列)46,129,512.82-53,050,442.94-6,920,930.12
四、净利润(净亏损以“-”号填列)46,129,512.82-53,050,442.94-6,920,930.12
(一)持续经营净利润(净亏损以“-”号填列)46,129,512.82-53,050,442.94-6,920,930.12
六、综合收益总额40,697,906.97-53,050,442.94-12,352,535.97

(5)对2022年第一季度合并现金流量表的影响

报表项目调整前金额调整金额调整后金额
销售商品、提供劳务收到的现金4,544,409,059.3923,946,752.404,568,355,811.79
收到的税费返还23,926,161.121,891,539.3125,817,700.43
收到其他与经营活动有关的现金427,861,753.37-10,573,162.47417,288,590.90
经营活动现金流入小计4,996,196,973.8815,265,129.245,011,462,103.12
购买商品、接受劳务支付的现金2,655,401,323.2312,359,919.002,667,761,242.23
支付给职工以及为职工支付的现金766,166,764.638,183,778.22774,350,542.85
支付的各项税费463,298,921.761,774,821.17465,073,742.93
支付其他与经营活动有关的现金1,195,345,401.97-55,321,289.581,140,024,112.39
经营活动现金流出小计5,080,212,411.59-33,002,771.195,047,209,640.40
经营活动产生的现金流量净额-84,015,437.7148,267,900.43-35,747,537.28
收回投资收到的现金1,127,566,469.6321,424,043.621,148,990,513.25
取得投资收益收到的现金17,585,925.35-325,000.0017,260,925.35
处置固定资产、无形资产和其他长期资产收回的现金净额25,026,138.2770,000.0025,096,138.27
收到其他与投资活动有关的现金1,153,209,575.00100,000,000.001,253,209,575.00
投资活动现金流入小计2,369,309,525.15121,169,043.622,490,478,568.77
购建固定资产、无形资产和其他长期资产支付的现金1,900,788,790.06377,598.031,901,166,388.09
投资支付的现金10,800,000.0010,800,000.00
投资活动现金流出小计4,004,788,790.0611,177,598.034,015,966,388.09
投资活动产生的现金流量净额-1,635,479,264.91109,991,445.59-1,525,487,819.32
分配股利、利润或偿付利息支付的现金118,164,921.13775,000.00118,939,921.13
其中:子公司支付给少数股东的股利、利润12,966,635.22675,000.0013,641,635.22
支付其他与筹资活动有关的现金1,102,082,640.48164,700,000.001,266,782,640.48
筹资活动现金流出小计3,726,211,178.45165,475,000.003,891,686,178.45
筹资活动产生的现金流量净额168,538,295.09-165,475,000.003,063,295.09
四、汇率变动对现金及现金等价物的影响-5,138,813.11-36.73-5,138,849.84
五、现金及现金等价物净增加额-1,556,095,220.64-7,215,690.71-1,563,310,911.35
加:期初现金及现金等价物余额4,806,034,953.4559,775,625.674,865,810,579.12
六、期末现金及现金等价物余额3,249,939,732.8152,559,934.963,302,499,667.77

2、对2022年半年报财务报表相关影响(单位:人民币元)

(1)对2022年6月30日合并资产负债表的影响

报表项目调整前金额调整金额调整后金额
货币资金3,069,917,794.3059,254,713.923,129,172,508.22
交易性金融资产552,069,777.59385,942,250.98938,012,028.57
应收账款7,743,868,374.7719,599,805.867,763,468,180.63
应收款项融资889,155,365.08394,391.58889,549,756.66
预付款项668,352,233.571,318,883.08669,671,116.65
其他应收款855,155,969.87-335,718,457.63519,437,512.24
存货3,204,952,804.6833,533,342.713,238,486,147.39
其他流动资产109,130,466.16240,197.42109,370,663.58
流动资产合计17,147,692,207.63164,565,127.9217,312,257,335.55
长期股权投资3,818,141,371.15-14,239,894.693,803,901,476.46
其他权益工具投资1,218,138,533.99-167,013,457.641,051,125,076.35
固定资产5,190,401,727.38349,330,980.485,539,732,707.86
在建工程1,691,845,457.714,669,852.881,696,515,310.59
无形资产1,748,156,743.38124,054,120.411,872,210,863.79
开发支出966,732,553.5017,279,039.82984,011,593.32
商誉930,084,842.46156,643,938.411,086,728,780.87
长期待摊费用39,303,005.64581,272.6639,884,278.30
递延所得税资产57,370,487.39-957,159.4656,413,327.93
非流动资产合计17,881,629,661.38470,348,692.8718,351,978,354.25
资产总计35,029,321,869.01634,913,820.7935,664,235,689.80
短期借款6,950,249,390.9447,922,800.006,998,172,190.94
应付账款2,283,598,970.1531,031,403.582,314,630,373.73
预收款项369,858,080.79180,243.40370,038,324.19
合同负债377,556,411.122,184,782.90379,741,194.02
应付职工薪酬74,337,060.731,540,990.3275,878,051.05
应交税费326,791,000.8423,888,817.94350,679,818.78
其他应付款1,784,293,855.9912,893,202.431,797,187,058.42
一年内到期的非流动负债1,851,107,212.52292,370,642.082,143,477,854.60
其他流动负债45,457,661.22210,505.9445,668,167.16
流动负债合计14,633,939,598.45412,223,388.5915,046,162,987.04
长期借款2,453,572,520.28129,746,001.572,583,318,521.85
递延收益569,640,669.967,697,563.29577,338,233.25
非流动负债合计3,378,583,113.53137,443,564.863,516,026,678.39
负债合计18,012,522,711.98549,666,953.4518,562,189,665.43
资本公积5,936,746,015.64213,703,691.036,150,449,706.67
其他综合收益22,494,236.744,217,239.5626,711,476.30
未分配利润6,646,491,604.87-295,446,585.576,351,045,019.30
归属于母公司所有者权益(或股东权益)合计14,314,976,031.43-77,525,654.9814,237,450,376.45
少数股东权益2,701,823,125.60162,772,522.322,864,595,647.92
所有者权益(或股东权益)合计17,016,799,157.0385,246,867.3417,102,046,024.37
负债和所有者权益(或股东权益)总计35,029,321,869.01634,913,820.7935,664,235,689.80

(2)对2022年6月30日母公司资产负债表的影响

报表项目调整前金额调整金额调整后金额
其他应收款4,911,117,492.2272,434,714.234,983,552,206.45
流动资产合计5,599,715,099.9972,434,714.235,672,149,814.22
长期股权投资12,844,820,554.29345,233,221.7313,190,053,776.02
非流动资产合计14,005,078,007.61345,233,221.7314,350,311,229.34
资产总计19,604,793,107.60417,667,935.9620,022,461,043.56
其他应付款3,575,290,929.04270,525,555.563,845,816,484.60
流动负债合计7,751,140,018.25270,525,555.568,021,665,573.81
负债合计8,963,697,862.75270,525,555.569,234,223,418.31
资本公积8,304,896,191.72-18,645.088,304,877,546.64
其他综合收益91,439,448.62-1,255.4891,438,193.14
未分配利润535,515,430.33147,162,280.96682,677,711.29
所有者权益(或股东权益)合计10,641,095,244.85147,142,380.4010,788,237,625.25
负债和所有者权益(或股东权益)总计19,604,793,107.60417,667,935.9620,022,461,043.56

(3)对2022年1-6月合并利润表的影响

报表项目调整前金额调整金额调整后金额
一、营业总收入10,534,858,786.9443,886,140.5110,578,744,927.45
其中:营业收入10,534,858,786.9443,886,140.5110,578,744,927.45
二、营业总成本9,226,066,920.8655,247,508.719,281,314,429.57
其中:营业成本5,934,970,989.2339,349,353.745,974,320,342.97
税金及附加84,279,976.971,673,139.5585,953,116.52
销售费用2,012,116,322.362,950,234.262,015,066,556.62
管理费用688,320,329.959,349,295.87697,669,625.82
研发费用420,369,985.472,327,604.69422,697,590.16
财务费用86,009,316.88-402,119.4085,607,197.48
其中:利息费用252,741,947.9013,374,588.12266,116,536.02
利息收入115,842,454.2213,413,511.87129,255,966.09
加:其他收益87,552,926.96402,075.1587,955,002.11
投资收益(损失以“-”号填列)615,569,811.9110,198.59615,580,010.50
其中:对联营企业和合营企业的投资收益49,786,895.16-440,126.1549,346,769.01
公允价值变动收益(损失以“-”号填列)10,956,964.1015,041,901.6025,998,865.70
信用减值损失(损失以“-”号填列)79,294,674.6436,486,045.86115,780,720.50
资产减值损失(损失以“-”号填列)-2,092,385.14-1,735,883.68-3,828,268.82
资产处置收益(损失以“-”号填列)-3,992,693.5749,627.77-3,943,065.80
三、营业利润(亏损以“-”号填列)2,096,081,164.9838,892,597.092,134,973,762.07
加:营业外收入2,216,617.25600.962,217,218.21
减:营业外支出18,691,559.80470,451.1819,162,010.98
四、利润总额(亏损总额以“-”号填列)2,079,606,222.4338,422,746.872,118,028,969.30
减:所得税费用261,662,683.2623,315,588.94284,978,272.20
五、净利润(净亏损以“-”号填列)1,817,943,539.1715,107,157.931,833,050,697.10
(一)按经营持续性分类
1.持续经营净利润(净亏损以“-”号填列)1,817,943,539.1715,107,157.931,833,050,697.10
(二)按所有权归属分类
1.归属于母公司股东的净利润(净亏损以“-”号填列)1,593,950,958.88-91,017,047.801,502,933,911.08
2.少数股东损益(净亏损以“-”号填列)223,992,580.29106,124,205.73330,116,786.02
六、其他综合收益的税后净额51,142,842.575,502,207.2356,645,049.80
(一)归属母公司所有者的其他综合收益的税后净额65,288,585.916,166,234.7371,454,820.64
1.不能重分类进损益的其他综合收益-26,296,507.046,166,234.73-20,130,272.31
(2)权益法下不能转损益的其他综合收益-14,172,840.1380,522.06-14,092,318.07
(3)其他权益工具投资公允价值变动-12,123,666.916,085,712.67-6,037,954.24
(二)归属于少数股东的其他综合收益的税后净额-14,145,743.34-664,027.50-14,809,770.84
七、综合收益总额1,869,086,381.7420,609,365.161,889,695,746.90
(一)归属于母公司所有者的综合收益总额1,659,239,544.79-84,850,813.071,574,388,731.72
(二)归属于少数股东的综合收益总额209,846,836.95105,460,178.23315,307,015.18
八、每股收益:
(一)基本每股收益(元/股)0.99-0.060.93
(二)稀释每股收益(元/股)0.99-0.060.93
九、加权平均净资产收益率(%):
(一)归属于公司普通股股东的净利润11.47-0.4810.99
(二)扣除非经常性损益后归属于公司普通股股东的净利润6.36-0.216.15

(4)对2022年1-6月母公司利润表的影响

报表项目调整前金额调整金额调整后金额
减:财务费用-20,877,419.175,027,777.78-15,849,641.39
其中:利息费用174,815,591.145,027,777.78179,843,368.92
加:投资收益(损失以“-”号填列)161,828,568.54-893,837.51160,934,731.03
其中:对联营企业和合营企业的投资收益11,051,579.88-1,218,837.519,832,742.37
信用减值损失(损失以“-”号填列)29,981,371.17-13,768,494.7916,212,876.38
二、营业利润(亏损以“-”号填列)129,633,279.74-19,690,110.08109,943,169.66
三、利润总额(亏损总额以“-”号填列)129,893,494.16-19,690,110.08110,203,384.08
四、净利润(净亏损以“-”号填列)129,576,188.88-19,690,110.08109,886,078.80
(一)持续经营净利润(净亏损以“-”号填列)129,576,188.88-19,690,110.08109,886,078.80
五、其他综合收益的税后净额-13,863,839.11577.38-13,863,261.73
(一)不能重分类进损益的其他综合收益-18,096,487.00577.38-18,095,909.62
2.权益法下不能转损益的其他综合收益-18,096,487.00577.38-18,095,909.62
1.权益法下可转损益的其他综合收益4,242,616.59-9,968.704,232,647.89
6.外币财务报表折算差额-9,968.709,968.70
六、综合收益总额115,712,349.77-19,689,532.7096,022,817.07

(5)对2022年1-6月合并现金流量表的影响

报表项目调整前金额调整金额调整后金额
销售商品、提供劳务收到的现金9,601,724,330.1646,458,055.939,648,182,386.09
收到的税费返还55,541,480.745,315,139.7360,856,620.47
收到其他与经营活动有关的现金561,649,232.01-24,789,508.68536,859,723.33
经营活动现金流入小计10,218,915,042.9126,983,686.9810,245,898,729.89
购买商品、接受劳务支付的现金5,382,750,707.3824,478,360.925,407,229,068.30
支付给职工以及为职工支付的现金1,316,289,250.8014,668,682.021,330,957,932.82
支付的各项税费999,996,603.173,964,953.631,003,961,556.80
支付其他与经营活动有关的现金2,080,638,293.7092,291,082.892,172,929,376.59
经营活动现金流出小计9,779,674,855.05135,403,079.469,915,077,934.51
经营活动产生的现金流量净额439,240,187.86-108,419,392.48330,820,795.38
收回投资收到的现金1,158,066,469.6322,936,926.721,181,003,396.35
取得投资收益收到的现金37,824,823.8735,872.5537,860,696.42
处置固定资产、无形资产和其他长期资产收回的现金净额39,470,662.09228,000.0039,698,662.09
收到其他与投资活动有关的现金2,461,559,329.95100,000,000.002,561,559,329.95
投资活动现金流入小计3,748,734,345.68123,200,799.273,871,935,144.95
购建固定资产、无形资产和其他长期资产支付的现金2,252,973,058.653,248,823.032,256,221,881.68
投资支付的现金206,400,000.00-189,953,694.0316,446,305.97
投资活动现金流出小计4,598,373,058.65-186,704,871.004,411,668,187.65
投资活动产生的现金流量净额-849,638,712.97309,905,670.27-539,733,042.70
偿还债务支付的现金4,683,969,958.53105,000,000.004,788,969,958.53
分配股利、利润或偿付利息支付的现金270,189,270.481,777,500.00271,966,770.48
其中:子公司支付给少数股东的股利、利润27,613,698.92675,000.0028,288,698.92
支付其他与筹资活动有关的现金2,176,860,423.95101,366,400.002,278,226,823.95
筹资活动现金流出小计7,131,019,652.96208,143,900.007,339,163,552.96
筹资活动产生的现金流量净额-1,686,374,607.50-208,143,900.00-1,894,518,507.50
四、汇率变动对现金及现金等价物的影响67,466,818.7721,424.6267,488,243.39
五、现金及现金等价物净增加额-2,029,306,313.84-6,636,197.59-2,035,942,511.43
加:期初现金及现金等价物余额4,806,034,953.4559,775,625.674,865,810,579.12
六、期末现金及现金等价物余额2,776,728,639.6153,139,428.082,829,868,067.69

3、对2022年第三季度财务报表相关影响(单位:人民币元)

(1)对2022年9月30日合并资产负债表的影响

报表项目调整前金额调整金额调整后金额
货币资金3,990,250,904.8342,575,540.124,032,826,444.95
交易性金融资产553,043,882.88393,252,548.86946,296,431.74
应收账款8,155,102,830.7825,385,596.258,180,488,427.03
应收款项融资969,939,851.521,467,000.00971,406,851.52
预付款项644,009,850.791,800,498.21645,810,349.00
其他应收款812,221,316.33-281,100,385.86531,120,930.47
存货3,162,505,038.6728,640,265.453,191,145,304.12
其他流动资产83,274,796.963,171,200.7586,445,997.71
流动资产合计18,421,466,358.84215,192,263.7818,636,658,622.62
长期股权投资1,574,989,648.35-13,802,196.821,561,187,451.53
其他权益工具投资1,598,395,734.49-167,214,529.421,431,181,205.07
固定资产5,015,267,968.94343,068,594.565,358,336,563.50
在建工程2,002,931,187.854,969,810.082,007,900,997.93
无形资产1,907,013,346.70123,060,732.542,030,074,079.24
开发支出778,184,088.1717,551,621.92795,735,710.09
商誉868,137,819.71156,643,938.411,024,781,758.12
长期待摊费用37,008,049.63496,310.8337,504,360.46
递延所得税资产57,227,414.16-957,365.2956,270,048.87
其他非流动资产1,703,951,044.713,565.641,703,954,610.35
非流动资产合计16,082,368,214.99463,820,482.4516,546,188,697.44
资产总计34,503,834,573.83679,012,746.2335,182,847,320.06
短期借款6,200,389,095.9247,922,800.006,248,311,895.92
应付账款2,318,038,047.0428,772,450.192,346,810,497.23
合同负债374,124,782.782,340,045.32376,464,828.10
应付职工薪酬82,693,127.881,507,796.7584,200,924.63
应交税费383,058,053.1224,472,556.14407,530,609.26
其他应付款1,778,134,222.1015,603,457.171,793,737,679.27
一年内到期的非流动负债2,124,319,019.29297,155,100.262,421,474,119.55
其他流动负债43,753,736.95220,224.9243,973,961.87
流动负债合计14,328,522,494.70417,994,430.7514,746,516,925.45
长期借款1,591,699,364.07131,189,569.281,722,888,933.35
递延收益579,842,810.957,672,563.29587,515,374.24
非流动负债合计2,520,190,199.72138,862,132.572,659,052,332.29
负债合计16,848,712,694.42556,856,563.3217,405,569,257.74
资本公积5,669,802,952.71213,703,691.035,883,506,643.74
其他综合收益238,567,428.254,152,917.14242,720,345.39
未分配利润7,285,276,519.39-256,207,996.827,029,068,522.57
归属于母公司所有者权益(或股东权益)合计15,035,239,474.70-38,351,388.6514,996,888,086.05
少数股东权益2,619,882,404.71160,507,571.562,780,389,976.27
所有者权益(或股东权益)合计17,655,121,879.41122,156,182.9117,777,278,062.32
负债和所有者权益(或股东权益)总计34,503,834,573.83679,012,746.2335,182,847,320.06

(2)对2022年9月30日母公司资产负债表的影响

报表项目调整前金额调整金额调整后金额
其他应收款4,903,432,556.33122,886,741.665,026,319,297.99
流动资产合计6,925,979,556.83122,886,741.667,048,866,298.49
长期股权投资10,738,107,091.37345,284,220.0411,083,391,311.41
非流动资产合计11,896,973,491.88345,284,220.0412,242,257,711.92
资产总计18,822,953,048.71468,170,961.7019,291,124,010.41
其他应付款2,601,487,566.90273,081,111.112,874,568,678.01
流动负债合计6,747,490,791.84273,081,111.117,020,571,902.95
负债合计7,228,188,036.34273,081,111.117,501,269,147.45
资本公积8,038,018,189.09-18,645.088,037,999,544.01
其他综合收益196,249,456.25-1,255.48196,248,200.77
未分配利润1,518,904,792.68195,109,751.151,714,014,543.83
所有者权益(或股东权益)合计11,594,765,012.37195,089,850.5911,789,854,862.96
负债和所有者权益(或股东权益)总计18,822,953,048.71468,170,961.7019,291,124,010.41

(3)对2022年1-9月合并利润表的影响

报表项目调整前金额调整金额调整后金额
一、营业总收入16,187,549,510.3267,852,699.7016,255,402,210.02
其中:营业收入16,187,549,510.3267,852,699.7016,255,402,210.02
二、营业总成本14,128,002,931.2495,527,171.8014,223,530,103.04
其中:营业成本9,135,599,080.0262,920,335.359,198,519,415.37
税金及附加133,148,128.892,595,660.95135,743,789.84
销售费用3,075,631,785.125,023,195.003,080,654,980.12
管理费用1,028,450,963.6215,538,928.811,043,989,892.43
研发费用632,485,936.033,487,849.12635,973,785.15
财务费用122,687,037.565,961,202.57128,648,240.13
其中:利息费用370,874,027.3119,672,614.01390,546,641.32
利息收入127,505,840.9512,672,820.58140,178,661.53
加:其他收益122,131,129.92302,673.91122,433,803.83
投资收益(损失以“-”号填列)918,230,595.92487,034.68918,717,630.60
其中:对联营企业和合营企业的投资收益56,691,356.42-2,428.2856,688,928.14
公允价值变动收益(损失以“-”号填列)16,055,596.0014,568,505.4530,624,101.45
信用减值损失(损失以“-”号填列)-8,508,633.0991,306,137.8082,797,504.71
资产减值损失(损失以“-”号填列)-37,357,911.46-2,603,825.52-39,961,736.98
资产处置收益(损失以“-”号填列)-3,675,598.9649,627.77-3,625,971.19
三、营业利润(亏损以“-”号填列)3,066,421,757.4176,435,681.993,142,857,439.40
加:营业外收入6,018,552.85205,541.966,224,094.81
减:营业外支出64,704,059.85470,451.1865,174,511.03
四、利润总额(亏损总额以“-”号填列)3,007,736,250.4176,170,772.773,083,907,023.18
减:所得税费用376,287,532.7523,882,195.26400,169,728.01
五、净利润(净亏损以“-”号填列)2,631,448,717.6652,288,577.512,683,737,295.17
(一)按经营持续性分类
1.持续经营净利润(净亏损以“-”号填列)2,631,448,717.6652,288,577.512,683,737,295.17
(二)按所有权归属分类
1.归属于母公司股东的净利润(净亏损以“-”号填列)2,276,550,624.70-51,778,459.052,224,772,165.65
2.少数股东损益(净亏损以“-”号填列)354,898,092.96104,067,036.56458,965,129.52
六、其他综合收益的税后净额212,724,462.04-411,133.89212,313,328.15
(一)归属母公司所有者的其他综合收益的税后净额226,290,803.02460,675.19226,751,478.21
1.不能重分类进损益的其他综合收益932,404.05460,675.191,393,079.24
(3)其他权益工具投资公允价值变动9,872,967.62460,675.1910,333,642.81
(二)归属于少数股东的其他综合收益的税后净额-13,566,340.98-871,809.08-14,438,150.06
七、综合收益总额2,844,173,179.7051,877,443.622,896,050,623.32
(一)归属于母公司所有者的综合收益总额2,502,841,427.72-51,317,783.862,451,523,643.86
(二)归属于少数股东的综合收益总额341,331,751.98103,195,227.48444,526,979.46
八、每股收益:
(一)基本每股收益(元/股)1.41-0.031.38
(二)稀释每股收益(元/股)1.41-0.031.38
九、加权平均净资产收益率(%):
(一)归属于公司普通股股东的净利润16.06-0.2215.84
(二)扣除非经常性损益后归属于公司普通股股东的净利润8.950.069.01

(4)对2022年1-9月母公司利润表的影响

报表项目调整前金额调整金额调整后金额
减:财务费用-30,816,570.977,583,333.33-23,233,237.64
其中:利息费用246,514,440.737,583,333.33254,097,774.06
加:投资收益(损失以“-”号填列)1,294,865,280.87-842,839.201,294,022,441.67
其中:对联营企业和合营企业的投资收益-20,603,982.34-1,167,839.20-21,771,821.54
信用减值损失(损失以“-”号填列)-51,222,043.0736,683,532.64-14,538,510.43
二、营业利润(亏损以“-”号填列)1,156,901,949.4728,257,360.111,185,159,309.58
三、利润总额(亏损总额以“-”号填列)1,157,169,123.8928,257,360.111,185,426,484.00
四、净利润(净亏损以“-”号填列)1,156,851,818.6128,257,360.111,185,109,178.72
(一)持续经营净利润(净亏损以“-”号填列)1,156,851,818.6128,257,360.111,185,109,178.72
五、其他综合收益的税后净额12,343,358.97577.3812,343,936.35
(一)不能重分类进损益的其他综合收益-5,659,467.33577.38-5,658,889.95
2.权益法下不能转损益的其他综合收益-5,659,467.33577.38-5,658,889.95
1.权益法下可转损益的其他综合收益17,804,041.55198,784.7518,002,826.30
6.外币财务报表折算差额198,784.75-198,784.75
六、综合收益总额1,169,195,177.5828,257,937.491,197,453,115.07

(5)对2022年1-9月合并现金流量表的影响

报表项目调整前金额调整金额调整后金额
销售商品、提供劳务收到的现金14,821,229,604.6965,663,882.2714,886,893,486.96
收到的税费返还93,474,171.362,725,123.0196,199,294.37
收到其他与经营活动有关的现金672,334,268.13-25,295,702.59647,038,565.54
经营活动现金流入小计15,587,038,044.1843,093,302.6915,630,131,346.87
购买商品、接受劳务支付的现金8,185,407,848.2239,597,425.538,225,005,273.75
支付给职工以及为职工支付的现金1,831,386,355.0821,030,366.291,852,416,721.37
支付的各项税费1,363,889,893.124,428,463.601,368,318,356.72
支付其他与经营活动有关的现金3,219,737,003.4395,064,466.073,314,801,469.50
经营活动现金流出小计14,600,421,099.85160,120,721.4914,760,541,821.34
经营活动产生的现金流量净额986,616,944.33-117,027,418.80869,589,525.53
收回投资收到的现金3,278,342,056.9558,761,780.503,337,103,837.45
取得投资收益收到的现金50,425,338.31164,462.9650,589,801.27
处置固定资产、无形资产和其他长期资产收回的现金净额58,951,880.02228,000.0059,179,880.02
收到其他与投资活动有关的现金2,476,681,700.00100,000,000.002,576,681,700.00
投资活动现金流入小计6,059,643,502.94159,154,243.466,218,797,746.40
购建固定资产、无形资产和其他长期资产支付的现金2,637,080,106.983,779,551.032,640,859,658.01
投资支付的现金206,400,000.00-146,255,694.0360,144,305.97
投资活动现金流出小计4,992,840,977.03-142,476,143.004,850,364,834.03
投资活动产生的现金流量净额1,066,802,525.91301,630,386.461,368,432,912.37
偿还债务支付的现金7,356,352,863.79105,000,000.007,461,352,863.79
分配股利、利润或偿付利息支付的现金573,731,997.681,847,500.00575,579,497.68
其中:子公司支付给少数股东的股利、利润49,213,698.92675,000.0049,888,698.92
支付其他与筹资活动有关的现金2,356,824,904.22101,366,400.002,458,191,304.22
筹资活动现金流出小计10,286,909,765.69208,213,900.0010,495,123,665.69
筹资活动产生的现金流量净额-3,296,445,197.81-208,213,900.00-3,504,659,097.81
四、汇率变动对现金及现金等价物的影响134,925,933.86124,160.95135,050,094.81
五、现金及现金等价物净增加额-1,108,099,793.71-23,486,771.39-1,131,586,565.10
加:期初现金及现金等价物余额4,806,034,953.4559,775,625.674,865,810,579.12
六、期末现金及现金等价物余额3,697,935,159.7436,288,854.283,734,224,014.02

4、对2021年度财务报表相关影响(单位:人民币元)

(1)对2021年12月31日合并资产负债表的影响

报表项目调整前金额调整金额调整后金额
货币资金5,099,743,902.3965,890,911.515,165,634,813.90
交易性金融资产548,085,729.93386,301,517.94934,387,247.87
应收账款6,746,658,715.5910,245,598.596,756,904,314.18
应收款项融资671,343,173.91500,000.00671,843,173.91
预付款项706,396,518.305,882,827.59712,279,345.89
其他应收款877,933,986.41-278,922,236.35599,011,750.06
存货3,094,749,568.7031,892,881.913,126,642,450.61
其他流动资产118,922,056.334,462,988.26123,385,044.59
流动资产合计17,923,005,183.05226,254,489.4518,149,259,672.50
长期股权投资4,313,528,006.14-23,318,879.804,290,209,126.34
其他权益工具投资1,032,860,708.9532,651,930.271,065,512,639.22
固定资产5,262,057,653.49361,830,334.735,623,887,988.22
在建工程1,178,430,352.156,751,186.221,185,181,538.37
无形资产1,619,008,081.57126,040,897.991,745,048,979.56
开发支出890,970,455.5417,104,861.92908,075,317.46
商誉929,288,951.50156,643,938.411,085,932,889.91
长期待摊费用43,106,353.79359,865.4543,466,219.24
递延所得税资产58,961,764.891,594.7558,963,359.64
非流动资产合计16,578,420,235.57678,065,729.9417,256,485,965.51
资产总计34,501,425,418.62904,320,219.3935,405,745,638.01
短期借款6,850,712,372.8647,922,800.006,898,635,172.86
应付账款2,032,660,265.4142,169,153.282,074,829,418.69
合同负债359,112,469.86-6,777,074.55352,335,395.31
应付职工薪酬93,510,690.553,557,353.2197,068,043.76
应交税费551,899,837.722,982,330.36554,882,168.08
其他应付款1,590,053,164.41280,692,597.381,870,745,761.79
一年内到期的非流动负债2,320,814,851.06409,903,495.562,730,718,346.62
其他流动负债40,535,930.799,256,687.8949,792,618.68
流动负债合计14,765,905,049.59789,707,343.1315,555,612,392.72
长期借款2,695,315,148.20105,000,000.002,800,315,148.20
递延收益562,413,159.097,747,563.29570,160,722.38
非流动负债合计4,085,600,741.36112,747,563.294,198,348,304.65
负债合计18,851,505,790.95902,454,906.4219,753,960,697.37
资本公积6,183,253,545.557,649,884.736,190,903,430.28
其他综合收益-46,053,237.69-1,948,995.17-48,002,232.86
未分配利润5,300,530,681.73-204,429,537.775,096,101,143.96
归属于母公司股东权益合计13,146,975,163.77-198,728,648.2112,948,246,515.56
少数股东权益2,502,944,463.90200,593,961.182,703,538,425.08
股东权益合计15,649,919,627.671,865,312.9715,651,784,940.64
负债和股东权益总计34,501,425,418.62904,320,219.3935,405,745,638.01

(2)对2021年12月31日母公司资产负债表的影响

报表项目调整前金额调整金额调整后金额
其他应收款4,776,387,739.6286,203,209.024,862,590,948.64
流动资产合计6,799,066,425.6286,203,209.026,885,269,634.64
长期股权投资12,475,338,379.96346,012,892.6612,821,351,272.62
非流动资产合计13,892,676,716.70346,012,892.6614,238,689,609.36
资产总计20,691,743,142.32432,216,101.6821,123,959,244.00
其他应付款3,361,327,905.62265,497,777.783,626,825,683.40
流动负债合计7,898,558,660.13265,497,777.788,164,056,437.91
负债合计9,977,021,513.75265,497,777.7810,242,519,291.53
资本公积8,249,503,775.14-132,234.288,249,371,540.86
其他综合收益102,044,664.99-1,832.86102,042,832.13
未分配利润653,929,014.26166,852,391.04820,781,405.30
股东权益合计10,714,721,628.57166,718,323.9010,881,439,952.47
负债和股东权益总计20,691,743,142.32432,216,101.6821,123,959,244.00

(3)对2021年度合并利润表的影响

报表项目调整前金额调整金额调整后金额
一、营业收入20,441,039,365.01107,890,838.6520,548,930,203.66
减:营业成本11,646,135,031.74118,710,055.0111,764,845,086.75
税金及附加219,376,370.785,188,156.37224,564,527.15
销售费用4,001,569,705.625,101,514.744,006,671,220.36
管理费用1,299,176,139.2921,578,932.091,320,755,071.38
研发费用804,806,662.315,662,428.50810,469,090.81
财务费用578,468,427.9044,839,915.13623,308,343.03
其中:利息费用556,864,956.4545,280,438.06602,145,394.51
利息收入58,397,911.95969,701.7659,367,613.71
加:其他收益245,090,824.886,007,704.01251,098,528.89
投资收益(损失以“-”号填列)307,328,743.65-1,319,855.36306,008,888.29
其中:对联营企业和合营企业的投资收益138,649,045.73-6,312,635.13132,336,410.60
公允价值变动收益(损失以“-”号填列)1,547,236.956,338,051.527,885,288.47
信用减值损失(损失以“-”号填列)-148,699,619.9563,494,575.86-85,205,044.09
资产减值损失(损失以“-”号填列)-52,062,432.29-3,061,690.15-55,124,122.44
资产处置收益(损失以“-”号填列)27,353,531.27-1,293,523.0926,060,008.18
二、营业利润(亏损以“-”号填列)2,272,065,311.88-23,024,900.402,249,040,411.48
加:营业外收入6,671,265.241,070,710.347,741,975.58
减:营业外支出79,237,081.844,570,859.2883,807,941.12
三、利润总额(亏损总额以“-”号填列)2,199,499,495.28-26,525,049.342,172,974,445.94
减:所得税费用353,510,317.891,271,329.51354,781,647.40
四、净利润(净亏损以“-”号填列)1,845,989,177.39-27,796,378.851,818,192,798.54
(一)按经营持续性分类:
1.持续经营净利润(净亏损以“-”号填列)1,845,989,177.39-27,796,378.851,818,192,798.54
(二)按所有权归属分类:
1.归属于母公司股东的净利润(净亏损以“-”号填列)1,389,544,934.27-72,399,387.261,317,145,547.01
2.少数股东损益(净亏损以“-”号填列)456,444,243.1244,603,008.41501,047,251.53
五、其他综合收益的税后净额-18,961,356.47-1,483,901.30-20,445,257.77
(一)归属母公司股东的其他综合收益的税后净额-20,739,965.54-1,417,121.70-22,157,087.24
1.不能重分类进损益的其他综合收益28,388,090.99-1,417,121.7026,970,969.29
(3)其他权益工具投资公允价值变动78,153,127.28-1,417,121.7076,736,005.58
(二)归属于少数股东的其他综合收益的税后净额1,778,609.07-66,779.601,711,829.47
六、综合收益总额1,827,027,820.92-29,280,280.151,797,747,540.77
(一)归属于母公司股东的综合收益总额1,368,804,968.73-73,816,508.961,294,988,459.77
(二)归属于少数股东的综合收益总额458,222,852.1944,536,228.81502,759,081.00
七、每股收益
(一)基本每股收益(元/股)0.87-0.040.83
(二)稀释每股收益(元/股)0.86-0.040.82
八、加权平均净资产收益率(%):
(一)归属于公司普通股股东的净利润11.34-0.4410.90
(二)扣除非经常性损益后归属于公司普通股股东的净利润8.80-0.488.32

(4)对2021年度母公司利润表的影响

报表项目调整前金额调整金额调整后金额
减:财务费用291,888,116.1010,495,000.01302,383,116.11
其中:利息费用407,617,720.3310,495,000.01418,112,720.34
加:投资收益(损失以“-”号填列)975,332,976.34-1,271,749.21974,061,227.13
其中:对联营企业和合营企业的投资收益97,780,224.26-1,271,749.2196,508,475.05
信用减值损失(损失以“-”号填列)-73,372,639.0072,860,077.87-512,561.13
二、营业利润(亏损以“-”号填列)507,023,318.8161,093,328.65568,116,647.46
三、利润总额(亏损总额以“-”号填列)500,706,908.5061,093,328.65561,800,237.15
四、净利润(净亏损以“-”号填列)499,205,824.8061,093,328.65560,299,153.45
(一) 持续经营净利润(净亏损以“-”号填列)499,205,824.8061,093,328.65560,299,153.45
五、其他综合收益的税后净额56,686,313.83-1,832.8656,684,480.97
(二)将重分类进损益的其他综合收益45,181,105.81-1,832.8645,179,272.95
1.权益法下可转损益的其他综合收益45,181,105.81-1,832.8645,179,272.95
六、综合收益总额555,892,138.6361,091,495.79616,983,634.42

(5)对2021年度合并现金流量表的影响

报表项目调整前金额调整金额调整后金额
销售商品、提供劳务收到的现金20,134,715,017.6476,233,468.5420,210,948,486.18
收到的税费返还54,311,233.104,035,481.4758,346,714.57
收到其他与经营活动有关的现金617,532,202.14102,505,020.87720,037,223.01
经营活动现金流入小计20,806,558,452.88182,773,970.8820,989,332,423.76
购买商品、接受劳务支付的现金11,446,236,205.4064,102,626.8011,510,338,832.20
支付给职工以及为职工支付的现金2,218,586,378.5925,289,722.132,243,876,100.72
支付的各项税费1,258,169,571.793,121,485.971,261,291,057.76
支付其他与经营活动有关的现金3,864,724,523.24-69,708,611.123,795,015,912.12
经营活动现金流出小计18,787,716,679.0222,805,223.7818,810,521,902.80
经营活动产生的现金流量净额2,018,841,773.86159,968,747.102,178,810,520.96
收回投资收到的现金503,082,850.38102,369,305.42605,452,155.80
取得投资收益收到的现金17,403,287.419,224,923.9926,628,211.40
处置固定资产、无形资产和其他长期资产收回的现金净额84,108,148.01181,500.0084,289,648.01
收到其他与投资活动有关的现金8,159,979,428.6544,627.948,160,024,056.59
投资活动现金流入小计8,800,088,979.17111,820,357.358,911,909,336.52
购建固定资产、无形资产和其他长期资产支付的现金1,701,085,437.061,943,028.081,703,028,465.14
投资支付的现金101,475,000.00281,749,000.00383,224,000.00
取得子公司及其他营业单位支付的现金净额32,510,306.194,198,213.1336,708,519.32
投资活动现金流出小计10,044,228,226.83287,890,241.2110,332,118,468.04
投资活动产生的现金流量净额-1,244,139,247.66-176,069,883.86-1,420,209,131.52
偿还债务支付的现金11,499,807,877.69-100,922,800.0011,398,885,077.69
分配股利、利润或偿付利息支付的现金718,397,076.107,470,158.78725,867,234.88
其中:子公司支付给少数股东的股利、利润55,347,537.484,965,261.9060,312,799.38
支付其他与筹资活动有关的现金1,468,758,259.6583,320,738.001,552,078,997.65
筹资活动现金流出小计13,686,963,213.44-10,131,903.2213,676,831,310.22
筹资活动产生的现金流量净额-924,129,824.5810,131,903.22-913,997,921.36
四、汇率变动对现金及现金等价物的影响-24,950,100.81-5,915.05-24,956,015.86
五、现金及现金等价物净增加额-174,377,399.19-5,975,148.59-180,352,547.78
加:期初现金及现金等价物余额4,980,412,352.6465,750,774.265,046,163,126.90
六、期末现金及现金等价物余额4,806,034,953.4559,775,625.674,865,810,579.12

(6)对2021年度母公司现金流量表的影响

报表项目调整前金额调整金额调整后金额
支付其他与经营活动有关的现金10,415,948,533.60-50,620,000.0010,365,328,533.60
经营活动现金流出小计10,447,023,542.04-50,620,000.0010,396,403,542.04
经营活动产生的现金流量净额-1,791,001,298.6050,620,000.00-1,740,381,298.60
支付其他与筹资活动有关的现金609,635,495.9150,620,000.00660,255,495.91
筹资活动现金流出小计4,834,035,364.9150,620,000.004,884,655,364.91
筹资活动产生的现金流量净额497,790,801.69-50,620,000.00447,170,801.69

5、对2020年度财务报表相关影响(单位:人民币元)

(1)对2020年12月31日合并资产负债表的影响

报表项目调整前金额调整金额调整后金额
货币资金5,365,712,461.2165,750,774.265,431,463,235.47
交易性金融资产593,364,451.02178,109,386.84771,473,837.86
应收账款5,885,569,846.342,301,012.885,887,870,859.22
应收款项融资821,915,904.32981,728.00822,897,632.32
预付款项673,977,213.1020,605,631.15694,582,844.25
其他应收款843,321,876.35-230,991,652.26612,330,224.09
存货2,621,685,690.7834,994,062.162,656,679,752.94
其他流动资产100,194,616.544,338,267.46104,532,884.00
流动资产合计16,973,064,697.8876,089,210.4917,049,153,908.37
长期股权投资4,044,617,191.9036,623,353.664,081,240,545.56
其他权益工具投资945,005,326.1529,209,882.80974,215,208.95
固定资产5,332,487,269.65392,399,250.305,724,886,519.95
在建工程331,395,929.372,260,802.70333,656,732.07
无形资产1,407,190,705.60130,119,652.651,537,310,358.25
商誉972,325,387.77128,469,606.971,100,794,994.74
递延所得税资产55,847,570.30300.0055,847,870.30
其他非流动资产180,459,221.791,000,000.00181,459,221.79
非流动资产合计14,653,805,311.58720,082,849.0815,373,888,160.66
资产总计31,626,870,009.46796,172,059.5732,423,042,069.03
短期借款7,282,151,653.7352,000,000.007,334,151,653.73
应付账款1,657,923,641.3285,498,053.801,743,421,695.12
合同负债273,279,241.43-2,684,194.85270,595,046.58
应付职工薪酬63,064,221.441,412,767.7064,476,989.14
应交税费374,272,459.341,361,346.42375,633,805.76
其他应付款1,189,080,458.49212,015,862.701,401,096,321.19
一年内到期的非流动负债865,724,588.6129,516,345.76895,240,934.37
其他流动负债548,500,807.309,433,022.16557,933,829.46
流动负债合计12,911,141,815.32388,553,203.6913,299,695,019.01
长期借款3,484,585,022.94122,324,251.313,606,909,274.25
长期应付款12,616,279.77234,090,000.00246,706,279.77
递延收益510,965,389.89500,000.00511,465,389.89
非流动负债合计5,778,785,377.60356,914,251.316,135,699,628.91
负债合计18,689,927,192.92745,467,455.0019,435,394,647.92
资本公积5,245,236,429.237,649,884.735,252,886,313.96
其他综合收益-36,203,402.83-531,873.47-36,735,276.30
未分配利润4,115,678,345.78-132,030,150.513,983,648,195.27
归属于母公司股东权益合计10,764,265,077.93-124,912,139.2510,639,352,938.68
少数股东权益2,172,677,738.61175,616,743.822,348,294,482.43
股东权益合计12,936,942,816.5450,704,604.5712,987,647,421.11
负债和股东权益总计31,626,870,009.46796,172,059.5732,423,042,069.03

(2)对2020年12月31日母公司资产负债表的影响

报表项目调整前金额调整金额调整后金额
其他应收款3,102,986,959.4353,343,131.153,156,330,090.58
流动资产合计6,193,062,689.8353,343,131.156,246,405,820.98
长期股权投资12,205,573,791.03347,288,074.8712,552,861,865.90
非流动资产合计13,653,304,816.85347,288,074.8714,000,592,891.72
资产总计19,846,367,506.68400,631,206.0220,246,998,712.70
其他应付款4,113,111,609.41295,002,777.774,408,114,387.18
流动负债合计7,589,111,953.34295,002,777.777,884,114,731.11
负债合计10,713,388,116.10295,002,777.7711,008,390,893.87
资本公积7,299,513,410.05-130,634.147,299,382,775.91
未分配利润359,390,085.01105,759,062.39465,149,147.40
股东权益合计9,132,979,390.58105,628,428.259,238,607,818.83
负债和股东权益总计19,846,367,506.68400,631,206.0220,246,998,712.70

(3)对2020年度合并利润表的影响

报表项目调整前金额调整金额调整后金额
一、营业收入20,368,918,739.96311,192,374.5320,680,111,114.49
减:营业成本11,730,145,725.62269,508,225.1411,999,653,950.76
税金及附加139,808,448.483,973,423.11143,781,871.59
销售费用3,668,803,975.3947,805,935.133,716,609,910.52
管理费用1,336,323,893.3530,685,337.361,367,009,230.71
研发费用764,953,864.422,595,790.84767,549,655.26
财务费用869,973,735.1946,175,517.56916,149,252.75
其中:利息费用785,321,170.0048,281,320.54833,602,490.54
利息收入49,842,745.662,281,804.0252,124,549.68
加:其他收益195,718,484.543,234,250.01198,952,734.55
投资收益(损失以“-”号填列)353,091,525.52-28,986,298.83324,105,226.69
其中:对联营企业和合营企业的投资收益104,592,661.09-31,426,561.7673,166,099.33
公允价值变动收益(损失以“-”号填列)10,493,081.955,910,164.5016,403,246.45
信用减值损失(损失以“-”号填列)-199,818,460.4945,576,877.45-154,241,583.04
资产减值损失(损失以“-”号填列)-39,697,263.59-19,659,590.48-59,356,854.07
资产处置收益(损失以“-”号填列)-4,865,465.031,517,286.27-3,348,178.76
二、营业利润(亏损以“-”号填列)2,173,831,000.41-81,959,165.692,091,871,834.72
加:营业外收入9,635,534.62364,431.629,999,966.24
减:营业外支出72,465,970.702,075,075.4974,541,046.19
三、利润总额(亏损总额以“-”号填列)2,111,000,564.33-83,669,809.562,027,330,754.77
减:所得税费用386,964,707.31-1,822,828.53385,141,878.78
四、净利润(净亏损以“-”号填列)1,724,035,857.02-81,846,981.031,642,188,875.99
(一)按经营持续性分类:
1.持续经营净利润(净亏损以“-”号填列)1,559,634,281.66-81,846,981.031,477,787,300.63
(二)按所有权归属分类:
1.归属于母公司股东的净利润(净亏损以“-”号填列)1,148,514,852.48-142,781,364.561,005,733,487.92
2.少数股东损益(净亏损以“-”号填列)575,521,004.5460,934,383.53636,455,388.07
五、其他综合收益的税后净额-83,021,816.29-768,601.06-83,790,417.35
(一)归属母公司股东的其他综合收益的税后净额-35,460,619.84-531,873.47-35,992,493.31
1.不能重分类进损益的其他综合收益104,621,449.68-531,873.47104,089,576.21
(3)其他权益工具投资公允价值变动104,621,449.68-531,873.47104,089,576.21
(二)归属于少数股东的其他综合收益的税后净额-47,561,196.45-236,727.59-47,797,924.04
六、综合收益总额1,641,014,040.73-82,615,582.091,558,398,458.64
(一)归属于母公司股东的综合收益总额1,113,054,232.64-143,313,238.03969,740,994.61
(二)归属于少数股东的综合收益总额527,959,808.0960,697,655.94588,657,464.03
七、每股收益
(一)基本每股收益(元/股)0.83-0.100.73
(二)稀释每股收益(元/股)0.83-0.100.73
八、加权平均净资产收益率(%):
(一)归属于公司普通股股东的净利润11.31-1.379.94
(二)扣除非经常性损益后归属于公司普通股股东的净利润7.48-1.026.46

(4)对2020年度母公司利润表的影响

报表项目调整前金额调整金额调整后金额
减:财务费用437,905,163.1420,138,888.89458,044,052.03
其中:利息费用474,796,763.9220,138,888.89494,935,652.81
加:投资收益(损失以“-”号填列)746,644,770.4459,076.15746,703,846.59
其中:对联营企业和合营企业的投资收益93,500,718.14-755,923.8592,744,794.29
信用减值损失(损失以“-”号填列)-128,674,265.2986,719,329.15-41,954,936.14
二、营业利润(亏损以“-”号填列)73,242,462.4366,639,516.41139,881,978.84
三、利润总额(亏损总额以“-”号填列)63,691,145.8766,639,516.41130,330,662.28
四、净利润(净亏损以“-”号填列)63,643,739.6266,639,516.41130,283,256.03
(一) 持续经营净利润(净亏损以“-”号填列)63,643,739.6266,639,516.41130,283,256.03
六、综合收益总额137,818,515.5966,639,516.41204,458,032.00

(5)对2020年度合并现金流量表的影响

报表项目调整前金额调整金额调整后金额
销售商品、提供劳务收到的现金20,052,345,959.68338,251,412.9020,390,597,372.58
收到的税费返还75,606,820.953,623,374.3379,230,195.28
收到其他与经营活动有关的现金792,480,259.56-14,098,597.62778,381,661.94
经营活动现金流入小计20,920,433,040.19327,776,189.6121,248,209,229.80
购买商品、接受劳务支付的现金11,540,015,877.25242,280,010.9311,782,295,888.18
支付给职工以及为职工支付的现金2,153,395,592.1226,814,212.862,180,209,804.98
支付的各项税费1,203,123,143.2326,809,991.571,229,933,134.80
支付其他与经营活动有关的现金4,035,392,155.05-69,428,102.133,965,964,052.92
经营活动现金流出小计18,931,926,767.65226,476,113.2319,158,402,880.88
经营活动产生的现金流量净额1,988,506,272.54101,300,076.382,089,806,348.92
收回投资收到的现金142,161,079.99149,784,881.80291,945,961.79
取得投资收益收到的现金21,291,200.0210,403,701.4231,694,901.44
处置固定资产、无形资产和其他长期资产收回的现金净额340,833,542.333,300,180.00344,133,722.33
投资活动现金流入小计2,101,642,618.83163,488,763.222,265,131,382.05
购建固定资产、无形资产和其他长期资产支付的现金1,075,914,413.0122,039,939.161,097,954,352.17
投资支付的现金689,286,018.8084,331,000.00773,617,018.80
取得子公司及其他营业单位支付的现金净额11,480,514.868,137,580.0019,618,094.86
支付其他与投资活动有关的现金52,675,684.6719,589,757.7572,265,442.42
投资活动现金流出小计1,829,356,631.34134,098,276.911,963,454,908.25
投资活动产生的现金流量净额272,285,987.4929,390,486.31301,676,473.80
吸收投资收到的现金29,721,000.00-25,000,000.004,721,000.00
其中:子公司吸收少数股东投资收到的现金29,721,000.00-25,000,000.004,721,000.00
收到其他与筹资活动有关的现金2,421,168,342.6150,000,000.002,471,168,342.61
筹资活动现金流入小计15,943,606,371.5325,000,000.0015,968,606,371.53
分配股利、利润或偿付利息支付的现金744,824,638.305,410,615.88750,235,254.18
其中:子公司支付给少数股东的股利、利润38,865,552.101,435,000.0040,300,552.10
支付其他与筹资活动有关的现金4,983,093,198.67212,804,624.005,195,897,822.67
筹资活动现金流出小计15,550,261,165.62218,215,239.8815,768,476,405.50
筹资活动产生的现金流量净额393,345,205.91-193,215,239.88200,129,966.03
四、汇率变动对现金及现金等价物的影响-105,951,154.65-41,326.25-105,992,480.90
五、现金及现金等价物净增加额2,548,186,311.29-62,566,003.442,485,620,307.85
加:期初现金及现金等价物余额2,432,226,041.35128,316,777.702,560,542,819.05
六、期末现金及现金等价物余额4,980,412,352.6465,750,774.265,046,163,126.90

(6)对2020年度母公司现金流量表的影响

报表项目调整前金额调整金额调整后金额
支付其他与经营活动有关的现金787,166,671.53-130,000,000.00657,166,671.53
经营活动现金流出小计817,830,272.36-130,000,000.00687,830,272.36
经营活动产生的现金流量净额952,376,715.63130,000,000.001,082,376,715.63
支付其他与筹资活动有关的现金3,671,631,278.14130,000,000.003,801,631,278.14
筹资活动现金流出小计7,827,893,499.05130,000,000.007,957,893,499.05
筹资活动产生的现金流量净额-139,444,341.14-130,000,000.00-269,444,341.14

6、对2019年度财务报表相关影响(单位:人民币元)

(1)对2019年12月31日合并资产负债表的影响

报表项目调整前金额调整金额调整后金额
货币资金3,438,492,558.50128,316,777.703,566,809,336.20
交易性金融资产592,871,369.07156,541,222.34749,412,591.41
应收票据201,370,635.775,305,075.70206,675,711.47
应收账款6,877,921,865.77115,840,995.436,993,762,861.20
应收款项融资495,081,537.161,258,586.57496,340,123.73
预付款项875,956,018.0114,414,317.87890,370,335.88
其他应收款1,244,772,584.12-177,947,325.981,066,825,258.14
存货3,410,391,294.3669,816,878.633,480,208,172.99
其他流动资产125,683,536.097,020,740.37132,704,276.46
流动资产合计17,262,541,398.85320,567,268.6317,583,108,667.48
长期股权投资2,761,445,326.582,024,198.442,763,469,525.02
其他权益工具投资802,337,579.4929,978,483.86832,316,063.35
固定资产5,000,648,377.42404,150,884.055,404,799,261.47
在建工程821,108,337.3118,295,156.08839,403,493.39
无形资产2,463,420,256.23134,198,407.312,597,618,663.54
商誉3,794,793,712.29128,469,606.973,923,263,319.26
长期待摊费用59,362,309.95304,815.2859,667,125.23
递延所得税资产62,750,079.482,977,912.3765,727,991.85
非流动资产合计17,750,711,690.72720,399,464.3618,471,111,155.08
资产总计35,013,253,089.571,040,966,732.9936,054,219,822.56
短期借款6,918,921,295.3052,000,000.006,970,921,295.30
应付账款2,012,544,828.19127,390,646.732,139,935,474.92
预收款项361,159,721.255,996,737.66367,156,458.91
应付职工薪酬158,676,540.081,334,080.59160,010,620.67
应交税费258,885,799.4916,438,359.55275,324,159.04
其他应付款1,893,083,404.70390,745,972.092,283,829,376.79
一年内到期的非流动负债970,165,199.8410,336,787.44980,501,987.28
其他流动负债1,913,458,794.53-150,000,000.001,763,458,794.53
流动负债合计15,824,078,774.22454,242,584.0616,278,321,358.28
长期借款4,073,365,093.22118,750,000.004,192,115,093.22
长期应付款196,990,642.77234,090,000.00431,080,642.77
递延收益460,017,681.39600,000.00460,617,681.39
非流动负债合计5,191,990,806.24353,440,000.005,545,430,806.24
负债合计21,016,069,580.46807,682,584.0621,823,752,164.52
资本公积4,898,810,243.287,649,884.734,906,460,128.01
未分配利润3,055,897,299.6610,751,214.053,066,648,513.71
归属于母公司股东权益合计10,151,821,969.4818,401,098.7810,170,223,068.26
少数股东权益3,845,361,539.63214,883,050.154,060,244,589.78
股东权益合计13,997,183,509.11233,284,148.9314,230,467,658.04
负债和股东权益总计35,013,253,089.571,040,966,732.9936,054,219,822.56

(2)对2019年12月31日母公司资产负债表的影响

报表项目调整前金额调整金额调整后金额
其他应收款3,341,624,801.4488,001,021.383,429,625,822.82
流动资产合计4,609,552,894.4488,001,021.384,697,553,915.82
长期股权投资10,538,730,365.82347,236,424.6610,885,966,790.48
非流动资产合计11,937,987,050.88347,236,424.6612,285,223,475.54
资产总计16,547,539,945.32435,237,446.0416,982,777,391.36
其他应付款3,428,044,773.60404,863,888.883,832,908,662.48
流动负债合计8,615,252,283.61404,863,888.889,020,116,172.49
负债合计8,861,923,163.25404,863,888.889,266,787,052.13
资本公积5,141,677,549.98-123,208.205,141,554,341.78
未分配利润385,734,608.7630,496,765.36416,231,374.12
股东权益合计7,685,616,782.0730,373,557.167,715,990,339.23
负债和股东权益总计16,547,539,945.32435,237,446.0416,982,777,391.36

(3)对2019年度合并利润表的影响

报表项目调整前金额调整金额调整后金额
一、营业收入21,806,605,804.72350,816,839.3922,157,422,644.11
减:营业成本13,188,497,154.49298,764,115.9013,487,261,270.39
税金及附加155,691,386.845,621,621.00161,313,007.84
销售费用3,997,483,240.5919,467,496.984,016,950,737.57
管理费用1,344,020,605.7028,197,502.521,372,218,108.22
研发费用591,164,421.774,125,173.72595,289,595.49
财务费用873,057,264.2839,574,539.87912,631,804.15
其中:利息费用851,560,129.4862,566,437.03914,126,566.51
利息收入56,188,939.092,723,761.7858,912,700.87
加:其他收益143,228,536.8613,805,981.16157,034,518.02
投资收益(损失以“-”号填列)298,695,455.9724,349,965.52323,045,421.49
其中:对联营企业和合营企业的投资收益13,012,601.11-11,691,292.391,321,308.72
公允价值变动收益(损失以“-”号填列)-9,461,142.16-35,761,508.83-45,222,650.99
信用减值损失(损失以“-”号填列)-146,977,570.0038,470,644.73-108,506,925.27
资产减值损失(损失以“-”号填列)-70,708,929.35-20,575,193.16-91,284,122.51
资产处置收益(损失以“-”号填列)-31,303,799.638,409,182.82-22,894,616.81
二、营业利润(亏损以“-”号填列)1,840,164,282.74-16,234,538.361,823,929,744.38
加:营业外收入28,654,536.16359,154.7529,013,690.91
减:营业外支出89,380,082.205,755,665.1695,135,747.36
三、利润总额(亏损总额以“-”号填列)1,779,438,736.70-21,631,048.771,757,807,687.93
减:所得税费用427,960,482.9214,636,183.86442,596,666.78
四、净利润(净亏损以“-”号填列)1,351,478,253.78-36,267,232.631,315,211,021.15
(一)按经营持续性分类:
1.持续经营净利润(净亏损以“-”号填列)1,214,660,819.57-36,267,232.631,178,393,586.94
(二)按所有权归属分类:
1.归属于母公司股东的净利润(净亏损以“-”号填列)842,544,886.94-40,905,739.81801,639,147.13
2.少数股东损益(净亏损以“-”号填列)508,933,366.844,638,507.18513,571,874.02
六、综合收益总额1,406,673,614.69-36,267,232.631,370,406,382.06
(一)归属于母公司股东的综合收益总额872,487,909.46-40,905,739.81831,582,169.65
(二)归属于少数股东的综合收益总额534,185,705.234,638,507.18538,824,212.41
七、每股收益
(一)基本每股收益(元/股)0.58-0.030.55
(二)稀释每股收益(元/股)0.58-0.030.55
八、加权平均净资产收益率(%):
(一)归属于公司普通股股东的净利润8.43-0.467.97
(二)扣除非经常性损益后归属于公司普通股股东的净利润4.85-0.404.45

(4)对2019年度母公司利润表的影响

报表项目调整前金额调整金额调整后金额
减:财务费用297,926,395.4425,347,222.22323,273,617.66
其中:利息费用402,639,507.8825,347,222.22427,986,730.10
加:投资收益(损失以“-”号填列)632,190,068.63-422,804.65631,767,263.98
其中:对联营企业和合营企业的投资收益45,878,559.21-1,237,804.6544,640,754.56
信用减值损失(损失以“-”号填列)-44,928,034.1541,702,184.52-3,225,849.63
二、营业利润(亏损以“-”号填列)176,680,210.9515,932,157.65192,612,368.60
三、利润总额(亏损总额以“-”号填列)194,848,213.1515,932,157.65210,780,370.80
四、净利润(净亏损以“-”号填列)199,399,510.9115,932,157.65215,331,668.56
(一) 持续经营净利润(净亏损以“-”号填列)199,399,510.9115,932,157.65215,331,668.56
六、综合收益总额178,828,934.9715,932,157.65194,761,092.62

(5)对2019年度合并现金流量表的影响

报表项目调整前金额调整金额调整后金额
销售商品、提供劳务收到的现金21,881,082,753.14344,708,370.7022,225,791,123.84
收到的税费返还92,962,422.102,401,649.0495,364,071.14
收到其他与经营活动有关的现金779,481,411.47-68,891,411.10710,590,000.37
经营活动现金流入小计22,753,526,586.71278,218,608.6423,031,745,195.35
购买商品、接受劳务支付的现金13,185,828,170.98293,650,176.2913,479,478,347.27
支付给职工以及为职工支付的现金1,763,758,278.9633,668,948.481,797,427,227.44
支付的各项税费1,438,575,765.2128,019,151.071,466,594,916.28
支付其他与经营活动有关的现金4,327,532,818.36-62,379,431.754,265,153,386.61
经营活动现金流出小计20,715,695,033.51292,958,844.0921,008,653,877.60
经营活动产生的现金流量净额2,037,831,553.20-14,740,235.452,023,091,317.75
收回投资收到的现金25,536,085.00166,232,000.00191,768,085.00
取得投资收益收到的现金13,713,641.57-884,806.1112,828,835.46
处置固定资产、无形资产和其他长期资产收回的现金净额724,659,078.0561,713,323.00786,372,401.05
处置子公司及其他营业单位收到的现金净额122,650,991.34-72,932,500.0049,718,491.34
投资活动现金流入小计1,068,982,526.07154,128,016.891,223,110,542.96
购建固定资产、无形资产和其他长期资产支付的现金809,589,012.3811,577,807.66821,166,820.04
投资支付的现金110,857,219.90325,994,000.00436,851,219.90
取得子公司及其他营业单位支付的现金净额119,725,738.3712,438,524.45132,164,262.82
支付其他与投资活动有关的现金82,041,935.22100,000,000.00182,041,935.22
投资活动现金流出小计1,122,213,905.87450,010,332.111,572,224,237.98
投资活动产生的现金流量净额-53,231,379.80-295,882,315.22-349,113,695.02
取得借款收到的现金12,167,839,764.57120,750,000.0012,288,589,764.57
收到其他与筹资活动有关的现金4,117,556,819.05386,440,000.004,503,996,819.05
筹资活动现金流入小计16,385,004,856.47507,190,000.0016,892,194,856.47
偿还债务支付的现金11,778,899,229.69154,880,000.0011,933,779,229.69
分配股利、利润或偿付利息支付的现金1,071,749,864.198,580,403.391,080,330,267.58
其中:子公司支付给少数股东的股利、利润97,637,528.961,305,000.0098,942,528.96
支付其他与筹资活动有关的现金6,397,673,282.32152,000,000.006,549,673,282.32
筹资活动现金流出小计19,248,322,376.20315,460,403.3919,563,782,779.59
筹资活动产生的现金流量净额-2,863,317,519.73191,729,596.61-2,671,587,923.12
四、汇率变动对现金及现金等价物的影响42,985,834.27126.5042,985,960.77
五、现金及现金等价物净增加额-835,731,512.06-118,892,827.56-954,624,339.62
加:期初现金及现金等价物余额3,267,957,553.41247,209,605.263,515,167,158.67
六、期末现金及现金等价物余额2,432,226,041.35128,316,777.702,560,542,819.05

7、对2018年度财务报表相关影响(单位:人民币元)

(1)对2018年12月31日合并资产负债表的影响

报表项目调整前金额调整金额调整后金额
货币资金3,922,902,083.44253,471,989.634,176,374,073.07
应收票据及应收账款7,250,478,924.5485,645,632.307,336,124,556.84
其中:应收票据471,181,525.677,346,271.59478,527,797.26
应收账款6,779,297,398.8778,299,360.716,857,596,759.58
预付款项912,546,585.4917,602,107.91930,148,693.40
其他应收款1,450,059,369.54-482,729,171.14967,330,198.40
存货3,221,974,127.5463,196,141.883,285,170,269.42
其他流动资产256,573,284.016,061,506.13262,634,790.14
流动资产合计17,051,845,067.88-56,751,793.2916,995,093,274.59
可供出售金融资产1,174,471,719.0083,030,314.001,257,502,033.00
长期股权投资2,727,525,031.56-59,729,494.452,667,795,537.11
固定资产4,445,686,387.40469,754,686.194,915,441,073.59
在建工程1,401,006,221.335,452,933.801,406,459,155.13
无形资产2,775,684,450.74185,313,619.992,960,998,070.73
商誉3,799,162,884.91128,469,606.973,927,632,491.88
长期待摊费用63,533,513.77794,483.0664,327,996.83
递延所得税资产85,838,554.322,013,659.3887,852,213.70
非流动资产合计18,371,576,054.09815,099,808.9419,186,675,863.03
资产总计35,423,421,121.97758,348,015.6536,181,769,137.62
短期借款5,882,727,372.08204,913,393.506,087,640,765.58
应付票据及应付账款3,360,358,104.65137,829,282.613,498,187,387.26
预收款项468,722,738.4313,888,107.09482,610,845.52
应付职工薪酬134,297,822.95931,239.65135,229,062.60
应交税费282,537,663.2812,579,140.52295,116,803.80
其他应付款2,059,142,572.58149,797,671.502,208,940,244.08
流动负债合计16,416,379,040.31519,938,834.8716,936,317,875.18
递延收益427,770,778.3928,768,500.00456,539,278.39
非流动负债合计4,734,973,206.5028,768,500.004,763,741,706.50
负债合计21,151,352,246.81548,707,334.8721,700,059,581.68
未分配利润2,232,583,934.90-14,460,203.802,218,123,731.10
归属于母公司股东权益合计10,837,257,961.66-14,460,203.8010,822,797,757.86
少数股东权益3,434,810,913.50224,100,884.583,658,911,798.08
股东权益合计14,272,068,875.16209,640,680.7814,481,709,555.94
负债和股东权益总计35,423,421,121.97758,348,015.6536,181,769,137.62

(2)对2018年12月31日母公司资产负债表的影响

报表项目调整前金额调整金额调整后金额
其他应收款5,103,978,166.5215,718,176.865,119,696,343.38
流动资产合计6,808,206,825.2915,718,176.866,823,925,002.15
长期股权投资9,037,578,411.78347,701,493.369,385,279,905.14
非流动资产合计10,484,545,308.40347,701,493.3610,832,246,801.76
资产总计17,292,752,133.69363,419,670.2217,656,171,803.91
其他应付款1,322,707,190.13379,516,666.661,702,223,856.79
流动负债合计7,791,176,942.78379,516,666.668,170,693,609.44
负债合计8,186,553,746.53379,516,666.668,566,070,413.19
资本公积5,158,174,830.38-3,852.585,158,170,977.80
未分配利润214,613,946.88-16,093,143.86198,520,803.02
股东权益合计9,106,198,387.16-16,096,996.449,090,101,390.72
负债和股东权益总计17,292,752,133.69363,419,670.2217,656,171,803.91

(3)对2018年度合并利润表的影响

报表项目调整前金额调整金额调整后金额
一、营业收入18,633,826,363.07276,724,940.5618,910,551,303.63
减:营业成本11,194,041,016.11267,481,531.8311,461,522,547.94
税金及附加145,473,016.786,998,583.13152,471,599.91
销售费用3,632,362,799.0816,849,395.683,649,212,194.76
管理费用1,256,960,599.3928,978,059.711,285,938,659.10
研发费用484,124,762.022,000,969.40486,125,731.42
财务费用676,403,804.0436,552,739.06712,956,543.10
其中:利息费用724,002,758.0257,919,475.62781,922,233.64
利息收入72,183,413.002,814,218.8674,997,631.86
资产减值损失(损失以“-”号填列)3,224,514,236.3485,766,219.673,310,280,456.01
加:其他收益117,255,865.864,652,118.35121,907,984.21
投资收益(损失以“-”号填列)335,355,060.00144,479,947.17479,835,007.17
其中:对联营企业和合营企业的投资收益8,910,836.26-7,788,863.781,121,972.48
资产处置收益(损失以“-”号填列)47,979,455.43957,620.1248,937,075.55
二、营业利润(亏损以“-”号填列)-1,445,951,120.08-17,812,872.28-1,463,763,992.36
加:营业外收入26,816,983.2079,834.3526,896,817.55
减:营业外支出58,145,996.742,305,362.2560,451,358.99
三、利润总额(亏损总额以“-”号填列)-1,477,280,133.62-20,038,400.18-1,497,318,533.80
减:所得税费用483,882,142.009,527,855.43493,409,997.43
四、净利润(净亏损以“-”号填列)-1,961,162,275.62-29,566,255.61-1,990,728,531.23
(一)按经营持续性分类:
1.持续经营净利润(净亏损以“-”号填列)-1,961,162,275.62-29,566,255.61-1,990,728,531.23
(二)按所有权归属分类:
1.归属于母公司所有者(或股东)的净利润(净亏损以“-”号填列)-2,357,747,308.41-14,333,544.63-2,372,080,853.04
2.少数股东损益(净亏损以“-”号填列)396,585,032.79-15,232,710.98381,352,321.81
六、综合收益总额-1,909,580,532.23-29,566,255.61-1,939,146,787.84
归属于母公司所有者(或股东)的综合收益总额-2,323,888,827.08-14,333,544.63-2,338,222,371.71
归属于少数股东的综合收益总额414,308,294.85-15,232,710.98399,075,583.87
七、每股收益
(一)基本每股收益(元/股)-1.81-0.01-1.82
(二)稀释每股收益(元/股)-1.81-0.01-1.82
八、加权平均净资产收益率(%):
(一)归属于公司普通股股东的净利润-23.993.79-20.20
(二)扣除非经常性损益后归属于公司普通股股东的净利润-26.983.21-23.77

(4)对2018年度母公司利润表的影响

报表项目调整前金额调整金额调整后金额
减:财务费用220,160,432.9024,447,222.22244,607,655.12
其中:利息费用339,484,513.4524,447,222.22363,931,735.67
资产减值损失(损失以“-”号填列)2,432,952,502.23-3,916,571.862,429,035,930.37
加:投资收益(损失以“-”号填列)852,116,495.07-1,867,281.88850,249,213.19
其中:对联营企业和合营企业的投资收益51,000,818.70-2,192,281.8848,808,536.82
二、营业利润(亏损以“-”号填列)-1,844,172,033.03-22,397,932.24-1,866,569,965.27
三、利润总额(亏损总额以“-”号填列)-1,830,780,613.15-22,397,932.24-1,853,178,545.39
四、净利润(净亏损以“-”号填列)-1,903,680,651.24-22,397,932.24-1,926,078,583.48
(一) 持续经营净利润(净亏损以“-”号填列)-1,903,680,651.24-22,397,932.24-1,926,078,583.48
六、综合收益总额-1,918,199,195.06-22,397,932.24-1,940,597,127.30

(5)对2018年度合并现金流量表的影响

报表项目调整前金额调整金额调整后金额
销售商品、提供劳务收到的现金18,422,541,180.44309,018,843.8518,731,560,024.29
收到的税费返还90,982,899.871,218,817.9592,201,717.82
收到其他与经营活动有关的现金765,998,592.7013,488,145.95779,486,738.65
经营活动现金流入小计19,279,522,673.01323,725,807.7519,603,248,480.76
购买商品、接受劳务支付的现金11,401,881,320.33226,431,881.2511,628,313,201.58
支付给职工以及为职工支付的现金1,527,293,384.9136,301,196.021,563,594,580.93
支付的各项税费1,787,974,956.8911,864,108.841,799,839,065.73
支付其他与经营活动有关的现金3,959,379,389.67160,653,412.234,120,032,801.90
经营活动现金流出小计18,676,529,051.80435,250,598.3419,111,779,650.14
经营活动产生的现金流量净额602,993,621.21-111,524,790.59491,468,830.62
收回投资收到的现金746,887,660.58-746,887,660.58
取得投资收益收到的现金10,768,988.20-314,531.1210,454,457.08
处置固定资产、无形资产和其他长期资产收回的现金净额62,216,521.7720,858,094.3083,074,616.07
处置子公司及其他营业单位收到的现金净额261,332,569.34145,806,640.98407,139,210.32
收到其他与投资活动有关的现金52,441,486.40200,991.0052,642,477.40
投资活动现金流入小计1,133,647,226.29-580,336,465.42553,310,760.87
购建固定资产、无形资产和其他长期资产支付的现金1,317,685,960.8316,958,557.361,334,644,518.19
投资支付的现金49,075,815.0058,324,000.00107,399,815.00
支付其他与投资活动有关的现金89,564,768.36200,000.0089,764,768.36
投资活动现金流出小计1,490,251,451.5375,482,557.361,565,734,008.89
投资活动产生的现金流量净额-356,604,225.24-655,819,022.78-1,012,423,248.02
取得借款收到的现金9,270,953,521.9586,130,000.009,357,083,521.95
筹资活动现金流入小计13,044,050,275.6286,130,000.0013,130,180,275.62
偿还债务支付的现金8,020,383,133.77148,350,000.008,168,733,133.77
分配股利、利润或偿付利息支付的现金1,149,057,835.3712,275,617.571,161,333,452.94
其中:子公司支付给少数股东的股利、利润120,662,319.00550,000.00121,212,319.00
支付其他与筹资活动有关的现金4,499,299,447.856,261,758.504,505,561,206.35
筹资活动现金流出小计13,668,740,416.99166,887,376.0713,835,627,793.06
筹资活动产生的现金流量净额-624,690,141.37-80,757,376.07-705,447,517.44
四、汇率变动对现金及现金等价物的影响38,979,964.94-604.2038,979,360.74
五、现金及现金等价物净增加额-339,320,780.46-848,101,793.64-1,187,422,574.10
加:期初现金及现金等价物余额3,607,278,333.87326,666,738.323,933,945,072.19
六、期末现金及现金等价物余额3,267,957,553.41-521,435,055.322,746,522,498.09

8、对2017年度财务报表相关影响(单位:人民币元)

(1)对2017年12月31日合并资产负债表的影响

报表项目调整前金额调整金额调整后金额
货币资金4,019,896,834.67326,666,738.324,346,563,572.99
应收票据及应收账款5,967,933,000.85109,465,011.756,077,398,012.60
其中:应收票据433,016,335.66711,844.20433,728,179.86
应收账款5,534,916,665.19108,753,167.555,643,669,832.74
预付款项762,512,480.2088,175,878.18850,688,358.38
其他应收款1,473,936,717.69-607,664,230.95866,272,486.74
存货2,642,562,840.7366,949,695.202,709,512,535.93
其他流动资产80,175,016.152,193,335.0482,368,351.19
流动资产合计14,952,534,659.15-14,213,572.4614,938,321,086.69
可供出售金融资产414,333,600.0056,463,314.00470,796,914.00
长期股权投资3,178,725,210.04-75,310,310.593,103,414,899.45
固定资产4,183,236,966.21518,557,463.624,701,794,429.83
在建工程1,156,621,640.986,321,322.341,162,942,963.32
无形资产3,059,443,252.32239,018,270.113,298,461,522.43
商誉6,474,797,050.78131,443,928.956,606,240,979.73
长期待摊费用62,864,126.95819,605.7263,683,732.67
递延所得税资产71,878,257.971,618,744.1873,497,002.15
非流动资产合计20,453,521,418.72878,932,338.3321,332,453,757.05
资产总计35,406,056,077.87864,718,765.8736,270,774,843.74
短期借款4,326,133,206.34267,100,000.004,593,233,206.34
应付票据及应付账款2,628,670,137.22134,192,279.382,762,862,416.60
预收款项264,382,275.593,453,430.72267,835,706.31
应付职工薪酬104,924,011.591,519,402.31106,443,413.90
应交税费507,920,752.936,723,837.70514,644,590.63
其他应付款1,451,018,265.85183,752,501.791,634,770,767.64
流动负债合计13,041,572,488.22596,741,451.9013,638,313,940.12
递延收益332,784,603.6828,868,500.00361,653,103.68
非流动负债合计5,757,991,070.0728,868,500.005,786,859,570.07
负债合计18,799,563,558.29625,609,951.9019,425,173,510.19
未分配利润4,894,073,931.63-126,659.174,893,947,272.46
归属于母公司股东权益合计13,523,886,188.81-126,659.1713,523,759,529.64
少数股东权益3,082,606,330.77239,235,473.143,321,841,803.91
股东权益合计16,606,492,519.58239,108,813.9716,845,601,333.55
负债和股东权益总计35,406,056,077.87864,718,765.8736,270,774,843.74

(2)对2017年12月31日母公司资产负债表的影响

报表项目调整前金额调整金额调整后金额
其他应收款4,858,635,851.8611,801,605.004,870,437,456.86
流动资产合计6,847,903,859.1611,801,605.006,859,705,464.16
长期股权投资10,852,183,556.05319,572,627.8211,171,756,183.87
非流动资产合计12,204,831,067.79319,572,627.8212,524,403,695.61
资产总计19,052,734,926.95331,374,232.8219,384,109,159.77
其他应付款1,139,502,582.24325,069,444.441,464,572,026.68
流动负债合计6,111,942,935.99325,069,444.446,437,012,380.43
负债合计7,671,137,047.34325,069,444.447,996,206,491.78
未分配利润2,422,037,286.446,304,788.382,428,342,074.82
股东权益合计11,381,597,879.616,304,788.3811,387,902,667.99
负债和股东权益总计19,052,734,926.95331,374,232.8219,384,109,159.77

(3)对2017年度合并利润表的影响

报表项目调整前金额调整金额调整后金额
一、营业收入15,445,684,100.972,525,418.9515,448,209,519.92
减:营业成本9,563,812,056.234,235,505.639,568,047,561.86
税金及附加142,195,454.37534,913.91142,730,368.28
销售费用2,606,394,855.54190,219.932,606,585,075.47
管理费用1,087,855,943.034,432,614.451,092,288,557.48
研发费用398,475,435.786,791.28398,482,227.06
财务费用567,590,309.094,106,984.04571,697,293.13
其中:利息费用547,450,400.096,961,555.55554,411,955.64
利息收入60,201,457.632,472,057.8762,673,515.50
资产减值损失(损失以“-”号填列)136,270,043.09286,595,794.48422,865,837.57
加:其他收益130,895,592.4125,000.00130,920,592.41
投资收益(损失以“-”号填列)1,944,741,101.33308,504,799.942,253,245,901.27
其中:对联营企业和合营企业的投资收益34,979,939.71-156,842.2834,823,097.43
二、营业利润(亏损以“-”号填列)3,028,652,530.3810,952,395.173,039,604,925.55
加:营业外收入14,262,755.4910,044.8714,272,800.36
减:营业外支出96,403,603.839,196,104.92105,599,708.75
三、利润总额(亏损总额以“-”号填列)2,946,511,682.041,766,335.122,948,278,017.16
减:所得税费用628,278,603.91671,867.68628,950,471.59
四、净利润(净亏损以“-”号填列)2,318,233,078.131,094,467.442,319,327,545.57
(一)按经营持续性分类:
1.持续经营净利润(净亏损以“-”号填列)2,267,784,825.041,094,467.442,268,879,292.48
(二)按所有权归属分类:
1.归属于母公司所有者(或股东)的净利润(净亏损以“-”号填列)2,068,719,633.63-126,659.172,068,592,974.46
2.少数股东损益(净亏损以“-”号填列)249,513,444.501,221,126.61250,734,571.11
六、综合收益总额2,332,587,482.491,094,467.442,333,681,949.93
归属于母公司所有者(或股东)的综合收益总额2,085,401,802.02-126,659.172,085,275,142.85
归属于少数股东的综合收益总额247,185,680.471,221,126.61248,406,807.08
七、每股收益
(一)基本每股收益(元/股)1.530.061.59
(二)稀释每股收益(元/股)1.530.061.59
八、加权平均净资产收益率(%):
(一)归属于公司普通股股东的净利润17.430.6018.03
(二)扣除非经常性损益后归属于公司普通股股东的净利润4.20-1.252.95

(4)对2017年度母公司利润表的影响

报表项目调整前金额调整金额调整后金额
减:财务费用209,390,973.175,069,444.44214,460,417.61
其中:利息费用269,542,190.745,069,444.44274,611,635.18
资产减值损失(损失以“-”号填列)223,822,514.51-11,801,605.00212,020,909.51
加:投资收益(损失以“-”号填列)2,017,530,650.14-427,372.182,017,103,277.96
其中:对联营企业和合营企业的投资收益53,131,148.26-427,372.1852,703,776.08
二、营业利润(亏损以“-”号填列)1,624,724,255.176,304,788.381,631,029,043.55
三、利润总额(亏损总额以“-”号填列)1,622,997,906.536,304,788.381,629,302,694.91
四、净利润(净亏损以“-”号填列)1,317,659,325.206,304,788.381,323,964,113.58
(一) 持续经营净利润(净亏损以“-”号填列)1,317,659,325.206,304,788.381,323,964,113.58
六、综合收益总额1,323,211,656.186,304,788.381,329,516,444.56

(5)对2017年度合并现金流量表的影响

报表项目调整前金额调整金额调整后金额
销售商品、提供劳务收到的现金16,799,866,569.425,263,870.0016,805,130,439.42
收到其他与经营活动有关的现金624,954,476.09112,544,576.37737,499,052.46
经营活动现金流入小计17,471,568,515.62117,808,446.3717,589,376,961.99
购买商品、接受劳务支付的现金11,120,818,908.883,144,284.6311,123,963,193.51
支付给职工以及为职工支付的现金1,293,096,816.012,494,422.771,295,591,238.78
支付的各项税费1,230,751,947.63656,792.081,231,408,739.71
支付其他与经营活动有关的现金3,733,555,342.85-103,299,914.173,630,255,428.68
经营活动现金流出小计17,378,223,015.37-97,004,414.6917,281,218,600.68
经营活动产生的现金流量净额93,345,500.25214,812,861.06308,158,361.31
处置固定资产、无形资产和其他长期资产收回的现金净额12,117,735.585,000.0012,122,735.58
处置子公司及其他营业单位收到的现金净额2,573,292,332.95-331,575,864.792,241,716,468.16
收到其他与投资活动有关的现金1,358,503.281,358,503.28
投资活动现金流入小计2,641,099,723.60-330,212,361.512,310,887,362.09
购建固定资产、无形资产和其他长期资1,733,764,926.5117,620.001,733,782,546.51
产支付的现金
投资支付的现金1,405,239,643.9686,788,314.001,492,027,957.96
支付其他与投资活动有关的现金4,300,000.00200,000.004,500,000.00
投资活动现金流出小计6,835,534,474.2487,005,934.006,922,540,408.24
投资活动产生的现金流量净额-4,194,434,750.64-417,218,295.51-4,611,653,046.15
吸收投资收到的现金1,832,927,994.2926,325,000.001,859,252,994.29
其中:子公司吸收少数股东投资收到的现金670,649,101.6926,325,000.00696,974,101.69
收到其他与筹资活动有关的现金4,891,323,157.65250,000,000.005,141,323,157.65
筹资活动现金流入小计15,669,204,477.35276,325,000.0015,945,529,477.35
分配股利、利润或偿付利息支付的现金792,144,696.651,697,666.67793,842,363.32
筹资活动现金流出小计10,601,367,263.021,697,666.6710,603,064,929.69
筹资活动产生的现金流量净额5,067,837,214.33274,627,333.335,342,464,547.66
五、现金及现金等价物净增加额891,882,575.7372,221,898.88964,104,474.61
加:期初现金及现金等价物余额2,715,395,758.14254,444,839.442,969,840,597.58
六、期末现金及现金等价物余额3,607,278,333.87326,666,738.323,933,945,072.19

三、董事会、独立董事、监事会和会计师事务所的结论性意见

1、董事会意见

董事会认为:公司本次前期会计差错更正及追溯调整符合《企业会计准则第28号——会计政策、会计估计变更和差错更正》、中国证券监督管理委员会《公开发行证券的公司信息披露编报规则第19号——财务信息的更正及相关披露》等相关文件的规定,能够更加客观、公允地反映公司财务状况和经营成果,不存在损害公司及股东权益的情况。公司董事会同意本次前期会计差错更正及追溯调整事项。

2、独立董事意见

独立董事认为:公司本次会计差错更正及追溯调整符合《企业会计准则第28号——会计政策、会计估计变更及差错更正》和《公开发行证券的公司信息披露编报规则第19号——财务信息的更正及相关披露》等相关文件的规定,更正后的信息能够更加客观、公允地反映公司的财务状况和经营成果,不存在损害公司利益及广大中小股东合法权益的情形,董事会关于本次会计差错更正及追溯调整事项的审议和表决程序符合法律、法规以及《公司章程》等的有关规定,我们一致同意本次关于前期会计差错更正及追溯调整事项。

3、监事会意见

监事会认为:公司本次前期会计差错更正及追溯调整符合《企业会计准则第28号——会计政策、会计估计变更和差错更正》、中国证券监督管理委员会《公开发行证券的公司信息披露编报规则第19号——财务信息的更正及相关披露》等相关文件的规定,能够更加客观、公允地反映公司财务状况和经营成果。本次会计差错更正及追溯调整事项的审议和表决程序符合法律法规和《公司章程》的有关规定,不存在损害公司及股东权益的情况。监事会同意本次会计差错更正及追溯调整。

4、会计师事务所意见

大信会计师事务所(特殊普通合伙)认为:后附的专项说明在所有重大方面按照中国证券监督管理委员会发布的《公开发行证券的公司信息披露规则第19号一财务信息的更正及相关披露》、上海证券交易所《上海证券交易所上市公司自律监管指南第1号》的规定编制。

四、其他事项

1、大信会计师事务所(特殊普通合伙)就本次前期会计差错更正及追溯调整事项出具了《前期会计差错更正情况审核报告》,具体内容详见公司于同日在上海证券交易所网站(www.sse.com.cn)披露的《前期会计差错更正情况审核报告》(大信专审字[2022]第2-00582号)。

2、公司将认真总结本次差错更正事项的教训,进一步健全内部控制制度,持续完善内控管理体系,强化公司风险防范能力,提高财务信息披露质量。

3、根据《公开发行证券的公司信息披露编报规则第19号——财务信息的更正及相关披露》等相关规定,公司修订了2021年年度报告、2022年第一季度报告、2022年半年度报告、2022年第三季度报告,并于同日在上海证券交易所网址(www.sse.com.cn)披露。因本次更正给投资者造成的不便,公司致以诚挚的歉意。

特此公告。

人福医药集团股份公司董事会

二〇二二年十二月二十三日


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