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昨收盘:0.000今开盘:0.000最高价:0.000最低价:0.000
成交额:0成交量:0买入价:0.000卖出价:0.000
市盈率:0.000收益率:0.00052周最高:0.00052周最低:0.000
天力锂能:2019年年度报告摘要(更正公告) 下载公告
公告日期:2020-06-29

证券代码:833757 证券简称:天力锂能 主办券商:太平洋证券

新乡天力锂能股份有限公司2019年年度报告摘要更正公告

本公司董事会于2020年4月30日在全国中小企业股份转让系统官网(www.neeq.com.cn 或 www.neeq.cc)上发布了《2019年年度报告摘要》(公告编号:2020-026),由于该公告存在错漏,本公司现予以更正。

一、 更正事项的具体内容

1、“一. 主要财务数据、股本结构及股东情况之2.1 主要财务数据。”修改前

单位:元

本期期末本期期初增减比例%
资产总计1,140,574,090.57782,130,817.0145.83%
归属于挂牌公司股东的净资产699,646,689.84439,920,405.4259.04%
归属于挂牌公司股东的每股净资产7.825.4543.49%
资产负债率%(母公司)38.93%43.22%-
资产负债率%(合并)38.66%43.75%-
流动比率2.162.24-
利息保障倍数7.685.76-
本期上年同期增减比例%
营业收入1,011,683,342.25935,636,371.668.13%
归属于挂牌公司股东的净利润71,403,279.0640,795,957.4175.03%
归属于挂牌公司股东的扣除非经常性损益后的净利润74,642,795.8537,118,662.57101.09%
经营活动产生的现金流量净额66,016,768.998,138,107.61711.21%
加权平均净资产收益率%(依据归属于挂牌公司股东的净利润计算)14.94%9.53%-
加权平均净资产收益率%(归属于挂牌公司股东的扣除非经常性损益后的净利润计算)15.62%8.67%-
基本每股收益(元/股)0.880.5172.55%
科目上年期末(上年同期)上上年期末(上上年同期)
调整重述前调整重述后调整重述前调整重述后
应收票据-50,175,057.4652,583,529.0666,833,529.06
应收账款-372,443,083.95222,888,785.81222,210,104.11
应收票据及应收422,618,141.41---
账款
预付款项8,833,155.295,800,501.6124,046,131.4420,880,444.39
存货111,527,341.28110,853,177.94162,845,464.81163,190,014.57
其他流动资产4,582,223.605,186,445.6812,160,140.8912,332,588.53
递延所得税资产3,737,640.323,713,799.952,878,071.542,984,721.81
其他非流动资产3,609,364.736,300,664.839,586,068.6912,257,038.82
应付账款-119,258,816.5980,607,307.8097,087,307.80
应付票据及应付账款161,457,416.59---
应付票据-42,198,600.00--
应交税费--959,238.68684,424.92
盈余公积14,455,134.4814,276,514.5410,372,214.2510,193,488.51
未分配利润107,117,243.44104,791,984.1390,590,264.2088,264,052.75
营业收入936,938,095.80935,636,371.66--
营业成本824,281,967.91823,971,068.58486,097,612.80487,018,020.30
销售费用7,329,775.597,216,568.075,218,610.655,713,327.57
管理费用10,428,512.5410,477,713.33--
研发费用32,182,456.7432,040,947.34--
资产减值损失(损失以“-”号填列)-10,681,757.67-9,811,820.01-2,742,095.82-3,648,886.80
营业外收入180,148.32115,493.15--
所得税费用4,592,876.004,611,791.877,727,260.747,359,023.44
购买商品、接受劳务支付的现金142,903,249.10142,903,249.10
购买商品、接受劳务支付的现金142,903,249.10137,069,503.77--
支付其他与经营活动有关的现金38,085,058.1940,316,220.69--
购建固定资产、无形资产和其他长期资产支付的现金17,465,522.1323,299,267.46--
支付其他与投资活动有关的现金4,056,000.001,000,000.00--
支付其他与筹资活动有关的现金21,830,032.0022,654,869.50--
本期期末本期期初增减比例%
资产总计1,140,574,090.57782,130,817.0145.83%
归属于挂牌公司股东的净资产699,646,689.84439,920,405.4259.04%
归属于挂牌公司股东的每股净资产7.825.4543.49%
资产负债率%(母公司)38.93%43.22%-
资产负债率%(合并)38.66%43.75%-
流动比率2.162.24-
利息保障倍数7.685.76-
本期上年同期增减比例%
营业收入1,011,683,342.25935,636,371.668.13%
归属于挂牌公司股东的净利润71,403,279.0640,795,957.4175.03%
归属于挂牌公司股东的扣74,642,795.8537,118,730.57101.09%
除非经常性损益后的净利润
经营活动产生的现金流量净额66,016,768.998,138,107.61711.21%
加权平均净资产收益率%(依据归属于挂牌公司股东的净利润计算)14.94%9.53%-
加权平均净资产收益率%(归属于挂牌公司股东的扣除非经常性损益后的净利润计算)15.62%8.67%-
基本每股收益(元/股)0.880.5172.55%
科目上年期末(上年同期)上上年期末(上上年同期)
调整重述前调整重述后调整重述前调整重述后
应收票据-50,175,057.4652,583,529.0666,833,529.06
应收账款-372,443,083.95222,888,785.81222,210,104.11
应收票据及应收账款422,618,141.41---
预付款项8,833,155.295,800,501.6124,046,131.4420,880,444.39
存货111,527,341.28110,853,177.94162,845,464.81163,190,014.57
其他流动资产4,582,223.605,186,445.6812,160,140.8912,332,588.53
递延所得税资产3,737,640.323,713,799.952,878,071.542,984,721.81
其他非流动资产3,609,364.736,300,664.839,586,068.6912,257,038.82
应付账款-119,258,816.5980,607,307.8097,087,307.80
应付票据及应付账款161,457,416.59---
应付票据-42,198,600.00--
应交税费--959,238.68684,424.92
盈余公积14,455,134.4814,276,514.5410,372,214.2510,193,488.51
未分配利润107,117,243.44104,791,984.1390,590,264.2088,264,052.75
营业收入936,938,095.80935,636,371.66--
营业成本824,281,967.91823,971,068.58486,097,612.80487,018,020.30
销售费用7,329,775.597,216,568.075,218,610.655,713,327.57
管理费用10,428,512.5410,477,713.33--
研发费用32,182,456.7432,040,947.34--
资产减值损失(损失以“-”号填列)-10,681,757.67-9,811,820.01-2,742,095.82-3,648,886.80
营业外收入180,148.32115,493.15--
所得税费用4,592,876.004,611,791.877,727,260.747,359,023.44
销售商品、提供劳务收到的现金139,088,876.12141,708,156.50
购买商品、接受劳务支付的现金142,903,249.10139,688,784.15--
支付其他与经营活动有关的现金38,085,058.1940,316,220.69--
购建固定资产、无形资产和其他长期资产支付的现金17,465,522.1323,299,267.46--
支付其他与投资活动有关的现金4,056,000.001,000,000.00--
支付其他与筹资活动有关的现金21,830,032.0022,654,869.50--

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