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太湖雪:苏州太湖雪丝绸股份有限公司2019年度、2020年度、2021年度会计差错更正专项说明的专项报告 下载公告
公告日期:2022-06-21

苏州太湖雪丝绸股份有限公司

前期会计差错更正专项说明

(除特别注明外,金额单位均为人民币元)

苏州太湖雪丝绸股份有限公司(以下简称“本公司”)于近期发现前期差错事项,本公司已对前期会计差错进行更正,并对2019年度、2020年、2021年度合并及母公司财务报表进行了追溯调整。根据中国证券监督管理委员会《非上市公众公司信息披露管理办法》、全国中小企业股份转让系统有限责任公司《全国中小企业股份转让系统挂牌公司信息披露规则》及《全国中小企业股份转让系统临时公告格式模板》的相关规定,现将前期会计差错更正事项有关情况说明如下:

一、前期会计差错更正的主要原因及内容

(一)母公司

1、调整境外线上自营店铺销售模式的收入确认方法

针对境外线上自营店铺销售模式,收入确认由客户支付货款后按净额法确认调整为按总额法确认;相应调整营业收入、营业成本、存货及跌价准备、应收账款及坏账准备、递延所得税资产、资产减值损失、信用减值损失、销售费用、所得税费用等数据。

2、调整境内电商平台销售模式的收入确认时点

针对境内平台入仓销售模式,收入确认时点由电商平台对外销售后收到销售清单的时点确认当期收入调整为电商平台对外销售后,根据经双方确认的销售清单的归属期确认收入,同步调整费用归属期间;相应调整营业收入、营业成本、销售费用、存货及跌价准备、应收账款及坏账准备、递延所得税资产、预收账款(合同负债)、应交税费、资产减值损失、信用减值损失、税金及附加、所得税费用等数据。

3、调整收入及费用归属期间

调整跨境B2B、境内自营店铺销售模式的收入及费用归属期间,相应调整营业收入、营业成本、存货及跌价准备、递延所得税资产、销售费用、应收账款及坏账准备、预收账款(合同负债)、应交税费、资产减值损失、信用减值损失、税金及附加、所得税费用等数据。

4、本公司实际控制人、董事及前员工代付本公司薪酬和其他费用补确认成本费用、应付利息并补交个人所得税,相应调整管理费用、销售费用、营业成本、利息费用、其他应付款、应交税费、所得税费用等数据。

5、调整房租等费用归属期间,相应调整销售费用、主营业务成本、其他应付款、所得税费用等数据。

6、调整薪酬归属期间及补提工会经费和职工教育经费,相应调整营业成本、管理费用、销售费用、应付职工薪酬、其他应收款、所得税费用等数据。

7、针对营销推广赠送的代金券估计预计兑换情况确认销售费用和预计负债,并根据当年实际兑换情况冲减预计负债,并调整递延所得税资产、所得税费用。

8、核销无法支付的其他应付款项,转至营业外收入。

9、报表列报项目重分类调整

(1)线下门店收到的现金报表列报自其他应收款重分类至货币资金。

(2)线上销售回款用的Payoneer卡、PayPal卡、一达通卡、京东钱包中的资金及费用报表列报自应收账款重分类至货币资金、销售费用、财务费用并调整汇兑损益、信用减值损失、销售商品、提供劳务收到的现金、支付其他与经营活动有关的现金、汇率变动对现金及现金等价物的影响。

(3)预收的散客货款和代金券款项报表列报自其他应付款重分类至预收款项(合同负债)、其他流动负债。

(4)向本公司实际控制人拆入资金报表列报自预收款项重分类至其他应付款并补确认应付利息,销售商品、提供劳务收到的现金重分类至收到其他与筹资活动有关的现金。

(5)应付费用类款项自应付账款重分类至其他应付款。

(6)预付待摊费用类款项自预付款项重分类至长期待摊费用、其他流动资产、其他非流动资产。

(7)预缴税金自应交税费重分类至其他流动资产。

(8)应收账款和预收款项(合同负债)、其他流动负债重分类调整,应付账款和预付账款重分类调整。

(9)其他应收款中押金、保证金计提资产减值损失(信用减值损失)

(10)预计附有销售退回条件的商品销售退回确认预计负债(其他流动资产、其他流动负债)。

(二)原控股子公司

1、原控股子公司上海柏翊供应链管理有限公司(以下简称“上海柏翊”)的应付款项无法支付,予以核销转营业外收入;其他应收款无法收回计提坏账并核销,调整处置上海柏翊股权的投资损失。

二、前期会计差错更正的影响

本公司对上述前期会计差错影响进行了追溯重述,影响财务报表项目及金额如下:

1、 合并财务报表

(1)合并资产负债表项目

项 目2019年12月31日
更正前更正金额更正后
货币资金10,758,751.704,489,888.8315,248,640.53
应收账款24,049,742.285,803,283.2329,853,025.51
预付款项3,217,161.73-2,597,303.24619,858.49
其他应收款6,345,657.04-1,860,361.964,485,295.08
存货94,048,727.04-3,904,736.0190,143,991.03
其他流动资产202,357.614,216,469.384,418,826.99
流动资产合计153,248,737.976,147,240.23159,395,978.20
递延所得税资产1,101,750.2221,212.721,122,962.94
非流动资产合计17,071,948.2721,212.7217,093,160.99
资产总计170,320,686.246,168,452.95176,489,139.19
应付账款20,898,662.03-755,960.2020,142,701.83
预收款项9,489,054.80-3,242,792.696,246,262.11
应付职工薪酬3,380,368.022,042,853.595,423,221.61
应交税费935,307.021,794,543.102,729,850.12
其他应付款2,452,387.063,848,166.636,300,553.69
流动负债合计69,855,778.933,686,810.4373,542,589.36
预计负债845,627.81845,627.81
非流动负债合计845,627.81845,627.81
负债合计69,855,778.934,532,438.2474,388,217.17
盈余公积5,902,171.23186,338.466,088,509.69
未分配利润51,452,611.501,503,698.7552,956,310.25
归属于母公司所有者权益合计99,462,849.581,690,037.21101,152,886.79
*少数股东权益1,002,057.73-54,022.50948,035.23
所有者权益合计100,464,907.311,636,014.71102,100,922.02
负债和所有者权益总计170,320,686.246,168,452.95176,489,139.19
项 目2020年12月31日
更正前更正金额更正后
货币资金28,866,871.358,498,254.9437,365,126.29
应收账款24,836,805.087,069,025.2531,905,830.33
预付款项4,816,483.22-2,984,147.161,832,336.06
其他应收款2,622,464.11-684,821.581,937,642.53
存货113,539,250.10-6,206,112.82107,333,137.28
其他流动资产3,523,717.673,523,717.67
流动资产合计174,681,873.869,215,916.30183,897,790.16
长期待摊费用1,567,527.9923,000.001,590,527.99
递延所得税资产1,215,112.06-81,138.611,133,973.45
其他非流动资产7,500,000.00150,000.007,650,000.00
非流动资产合计18,294,850.7991,861.3918,386,712.18
资产总计192,976,724.659,307,777.69202,284,502.34
应付账款20,630,635.31-399,906.5120,230,728.80
☆合同负债13,087,160.78-3,678,653.479,408,507.31
应付职工薪酬3,709,155.603,335,821.797,044,977.39
应交税费1,063,261.26804,442.131,867,703.39
其他应付款1,833,036.924,794,542.146,627,579.06
其他流动负债1,196,325.231,363,486.502,559,811.73
流动负债合计71,469,575.106,219,732.5877,689,307.68
预计负债272,818.99272,818.99
非流动负债合计272,818.99272,818.99
负债合计71,469,575.106,492,551.5777,962,126.67
盈余公积7,987,424.08204,057.808,191,481.88
未分配利润71,111,934.042,611,154.5573,723,088.59
归属于母公司所有者权益合计121,207,424.972,815,212.35124,022,637.32
*少数股东权益299,724.5813.77299,738.35
所有者权益合计121,507,149.552,815,226.12124,322,375.67
负债和所有者权益总计192,976,724.659,307,777.69202,284,502.34
项 目2021年12月31日
更正前更正金额更正后
货币资金45,314,969.451,116,653.6246,431,623.07
应收账款46,138,637.79-1,907,808.9444,230,828.85
其他应收款2,562,280.38-240,938.152,321,342.23
存货129,915,923.60292.40129,916,216.00
其他流动资产3,488,667.43721,150.734,209,818.16
流动资产合计248,359,670.57-310,650.34248,049,020.23
递延所得税资产1,188,599.32118,059.321,306,658.64
非流动资产合计46,685,538.99118,059.3246,803,598.31
资产总计295,045,209.56-192,591.02294,852,618.54
☆合同负债9,186,446.53-788,996.748,397,449.79
其他流动负债1,223,384.141,341,372.332,564,756.47
流动负债合计103,934,207.07552,375.59104,486,582.66
负债合计115,763,027.37552,375.59116,315,402.96
盈余公积11,805,596.04-73,433.4611,732,162.58
未分配利润108,808,519.62-669,767.42108,138,752.20
归属于母公司所有者权益合计177,963,366.74-743,200.88177,220,165.86
*少数股东权益1,318,815.45-1,765.731,317,049.72
所有者权益合计179,282,182.19-744,966.61178,537,215.58
负债和所有者权益总计295,045,209.56-192,591.02294,852,618.54

(2)合并利润表项目

项 目2019年度
更正前更正金额更正后
营业收入228,728,876.178,035,047.24236,763,923.41
营业成本137,954,696.153,069,260.48141,023,956.63
税金及附加1,314,792.47108,227.471,423,019.94
销售费用54,860,313.943,387,695.9558,248,009.89
管理费用9,036,279.501,007,520.6510,043,800.15
财务费用1,993,456.78302,820.952,296,277.73
信用减值损失-158,836.55-8,797.89-167,634.44
资产减值损失-388,629.15-2,959,674.14-3,348,303.29
营业外收入155.342,000.002,155.34
所得税费用1,424,892.99-245,036.371,179,856.62
净利润14,202,834.31-2,561,913.9211,640,920.39
归属于母公司所有者的净利润14,786,613.00-2,507,891.4212,278,721.58
项 目2020年度
更正前更正金额更正后
营业收入287,560,498.4812,457,746.64300,018,245.12
营业成本187,305,486.53-542,781.85186,762,704.68
税金及附加1,584,582.0821,019.731,605,601.81
销售费用58,716,219.353,943,045.6662,659,265.01
管理费用7,599,948.753,026,189.1610,626,137.91
财务费用2,168,124.55921,242.043,089,366.59
投资收益525,136.32-559,422.21-34,285.89
信用减值损失-276,382.73-272,322.00-548,704.73
资产减值损失-595,348.88-2,221,135.86-2,816,484.74
所得税费用2,301,063.89319,456.332,620,520.22
净利润21,703,317.421,716,695.5023,420,012.92
归属于母公司所有者的净利润21,744,575.391,125,175.1422,869,750.53
项 目2021年度
更正前更正金额更正后
营业收入372,959,657.55-19,589.50372,940,068.05
营业成本219,470,928.6157,452.92219,528,381.53
信用减值损失-871,351.68-118,187.35-989,539.03
营业外支出767,876.2670,000.00837,876.26
所得税费用4,307,829.39-28,878.994,278,950.40
净利润36,397,502.23-236,350.7836,161,151.45
归属于母公司所有者的净利润36,578,425.13-234,585.0536,343,840.08

(3)合并现金流量表项目

项 目2019年度
更正前更正金额更正后
销售商品、提供劳务收到的现金251,263,823.58-1,354,098.83249,909,724.75
收到其他与经营活动有关的现金13,929,078.91-9,607,432.264,321,646.65
购买商品、接受劳务支付的现金183,401,609.88-24,335,262.14159,066,347.74
支付给职工及为职工支付的现金35,401,788.98312,256.5735,714,045.55
支付的各项税费16,367,354.52-438,427.9115,928,926.61
支付其他与经营活动有关的现金28,719,660.4211,410,641.3340,130,301.75
收回投资收到的现金116,342.0588,497,315.9088,613,657.95
取得投资收益收到的现金0.00116,342.05116,342.05
购建固定资产、无形资产和其他长期资产支付的现金6,801,316.22720,157.007,521,473.22
投资支付的现金14,626,340.5771,133,613.1385,759,953.70
支付其他与投资活动有关的现金0.002,450,000.002,450,000.00
收到其他与筹资活动有关的现金0.002,421,635.822,421,635.82
汇率变动对现金及现金等价物的影响-1,757.6164,752.8562,995.24
现金及现金等价物净增加额-20,666,401.8118,885,537.55-1,780,864.26
期初现金及现金等价物余额29,925,153.51-14,395,648.7215,529,504.79
期末现金及现金等价物余额9,258,751.704,489,888.8313,748,640.53
项 目2020年度
更正前更正金额更正后
销售商品、提供劳务收到的现金314,056,561.255,419,052.63319,475,613.88
收到其他与经营活动有关的现金19,409,803.95-12,642,072.836,767,731.12
购买商品、接受劳务支付的现金217,087,940.65-4,561,081.99212,526,858.66
支付给职工及为职工支付的现金34,374,483.76-926,968.3233,447,515.44
支付的各项税费14,323,479.35-1,018,477.6213,305,001.73
支付其他与经营活动有关的现金58,246,866.18-5,864,582.4652,382,283.72
收到其他与投资活动有关的现金0.00509,600.00509,600.00
购建固定资产、无形资产和其他长期资产支付的现金2,201,828.771,316,396.253,518,225.02
支付其他与投资活动有关的现金344,920.0750,000.00394,920.07
汇率变动对现金及现金等价物的影响-100,436.97-282,927.83-383,364.80
现金及现金等价物净增加额19,558,119.654,008,366.1123,566,485.76
期初现金及现金等价物余额9,258,751.704,489,888.8313,748,640.53
期末现金及现金等价物余额28,816,871.358,498,254.9437,315,126.29
项 目2021年度
更正前更正金额更正后
销售商品、提供劳务收到的现金382,733,678.11-8,502,882.77374,230,795.34
收到其他与经营活动有关的现金5,288,905.59-105,850.045,183,055.55
购买商品、接受劳务支付的现金286,788,386.42-11,662,966.91275,125,419.51
支付给职工及为职工支付的现金41,726,893.28796,190.9042,523,084.18
支付的各项税费11,682,610.99-627,179.8411,055,431.15
支付其他与经营活动有关的现金63,452,954.61-2,030,804.9161,422,149.70
处置固定资产、无形资产和其他长期资产收回的现金净额0.007,000.007,000.00
购建固定资产、无形资产和其他长期资产支付的现金9,178,721.023,669,634.1012,848,355.12
投资支付的现金91,507,240.40-2,606,240.4088,901,000.00
收到其他与筹资活动有关的现金2,109,143.51-10,133.002,099,010.51
支付其他与筹资活动有关的现金8,110,598.513,785,824.4611,896,422.97
汇率变动对现金及现金等价物的影响-583,234.9411,039.97-572,194.97
现金及现金等价物净增加额2,203,440.1874,716.762,278,156.94
期初现金及现金等价物余额42,542,647.421,041,936.8643,584,584.28
期末现金及现金等价物余额44,746,087.601,116,653.6245,862,741.22

2、母公司财务报表

(1)资产负债表项目

项 目2019年12月31日
更正前更正金额更正后
货币资金10,010,691.344,489,888.8314,500,580.17
应收账款26,290,841.305,803,283.2332,094,124.53
预付款项3,139,219.26-2,597,303.24541,916.02
其他应收款3,719,254.16-1,737,861.961,981,392.20
存货93,052,477.24-3,769,793.6089,282,683.64
其他流动资产0.004,216,469.384,216,469.38
流动资产合计150,838,823.876,404,682.64157,243,506.51
递延所得税资产1,083,250.17-4,531.521,078,718.65
非流动资产合计19,562,809.69-4,531.5219,558,278.17
资产总计170,401,633.566,400,151.12176,801,784.68
应付账款20,882,180.17-755,960.2020,126,219.97
预收款项8,954,779.52-3,242,792.695,711,986.83
应付职工薪酬3,368,922.322,042,853.595,411,775.91
应交税费935,261.921,794,543.102,729,805.02
其他应付款2,430,710.543,848,166.636,278,877.17
流动负债合计69,271,854.473,686,810.4372,958,664.90
预计负债0.00845,627.81845,627.81
非流动负债合计0.00845,627.81845,627.81
负债合计69,271,854.474,532,438.2473,804,292.71
盈余公积5,902,171.23186,338.466,088,509.69
未分配利润53,119,541.011,681,374.4254,800,915.43
归属于母公司所有者权益合计101,129,779.091,867,712.88102,997,491.97
所有者权益合计101,129,779.091,867,712.88102,997,491.97
负债和所有者权益总计170,401,633.566,400,151.12176,801,784.68
项 目2020年12月31日
更正前更正金额更正后
货币资金28,428,555.468,498,254.9436,926,810.40
应收账款24,836,805.087,069,025.2531,905,830.33
预付款项4,646,963.22-2,981,627.161,665,336.06
其他应收款2,620,064.11-684,701.581,935,362.53
存货114,309,644.00-6,976,506.72107,333,137.28
其他流动资产0.003,521,197.673,521,197.67
流动资产合计174,842,031.878,445,642.40183,287,674.27
长期待摊费用1,147,527.9923,000.001,170,527.99
递延所得税资产1,215,112.06-81,184.511,133,927.55
其他非流动资产7,500,000.00150,000.007,650,000.00
非流动资产合计18,609,850.7991,815.4918,701,666.28
资产总计193,451,882.668,537,457.89201,989,340.55
应付账款20,630,635.31-399,906.5120,230,728.80
☆合同负债13,087,160.78-3,678,653.479,408,507.31
应付职工薪酬3,709,155.603,335,821.797,044,977.39
应交税费1,063,261.26804,442.131,867,703.39
其他应付款1,833,036.924,794,542.146,627,579.06
其他流动负债1,196,325.231,363,486.502,559,811.73
流动负债合计71,469,575.106,219,732.5877,689,307.68
预计负债0.00272,818.99272,818.99
非流动负债合计0.00272,818.99272,818.99
负债合计71,469,575.106,492,551.5777,962,126.67
盈余公积7,987,424.08204,057.808,191,481.88
未分配利润71,886,816.631,840,848.5273,727,665.15
归属于母公司所有者权益合计121,982,307.562,044,906.32124,027,213.88
所有者权益合计121,982,307.562,044,906.32124,027,213.88
负债和所有者权益总计193,451,882.668,537,457.89201,989,340.55
项 目2021年12月31日
更正前更正金额更正后
货币资金39,107,758.561,116,653.6240,224,412.18
应收账款48,455,311.76-1,907,808.9446,547,502.82
其他应收款11,534,940.62-240,818.1511,294,122.47
其他流动资产2,712,986.74701,247.993,414,234.73
流动资产合计250,458,165.31-330,725.48250,127,439.83
长期股权投资8,356,702.78-4,889.388,351,813.40
递延所得税资产1,117,185.86117,235.521,234,421.38
非流动资产合计39,438,792.25112,346.1439,551,138.39
资产总计289,896,957.56-218,379.34289,678,578.22
☆合同负债9,408,984.35-788,996.748,619,987.61
其他流动负债1,223,167.971,309,841.402,533,009.37
流动负债合计101,608,195.77520,844.66102,129,040.43
负债合计110,779,139.69520,844.66111,299,984.35
资本公积33,614,357.23-4,889.3833,609,467.85
盈余公积11,805,596.04-73,433.4611,732,162.58
未分配利润106,254,692.60-660,901.16105,593,791.44
归属于母公司所有者权益合计179,117,817.87-739,224.00178,378,593.87
所有者权益合计179,117,817.87-739,224.00178,378,593.87
负债和所有者权益总计289,896,957.56-218,379.34289,678,578.22

(2)利润表项目

项 目2019年度
更正前更正金额更正后
营业收入227,210,806.288,035,047.24235,245,853.52
营业成本136,858,113.682,934,318.07139,792,431.75
税金及附加1,307,083.11108,227.471,415,310.58
销售费用53,671,429.673,387,695.9557,059,125.62
管理费用8,358,273.791,007,520.659,365,794.44
财务费用2,084,480.74302,820.952,387,301.69
信用减值损失-220,600.61113,702.11-106,898.50
资产减值损失-388,629.15-2,959,674.14-3,348,303.29
营业外收入155.342,000.002,155.34
所得税费用1,418,675.15-219,292.131,199,383.02
净利润15,511,376.05-2,330,215.7513,181,160.30
项 目2020年度
更正前更正金额更正后
营业收入286,963,997.0312,016,804.64298,980,801.67
营业成本186,359,438.13-78,387.54186,281,050.59
税金及附加1,584,398.7821,019.731,605,418.51
销售费用58,546,099.883,943,045.6662,489,145.54
管理费用7,432,255.243,026,189.1610,458,444.40
财务费用2,167,911.86921,242.043,089,153.90
信用减值损失-283,730.39-1,508,147.77-1,791,878.16
资产减值损失-595,348.88-2,221,135.86-2,816,484.74
营业外收入54,000.0016,539.4770,539.47
所得税费用2,282,563.84293,757.992,576,321.83
净利润20,852,528.47177,193.4421,029,721.91
项 目2021年度
更正前更正金额更正后
营业收入364,637,534.42-13,485.16364,624,049.26
营业成本219,887,324.3861,643.42219,948,967.80
信用减值损失-956,643.44-118,187.35-1,074,830.79
营业外支出767,876.2670,000.00837,876.26
所得税费用4,152,922.66-28,997.394,123,925.27
净利润35,353,172.10-234,318.5435,118,853.56

(3)现金流量表项目

项 目2019年度
更正前更正金额更正后
销售商品、提供劳务收到的现金248,812,851.44-1,354,098.83247,458,752.61
收到其他与经营活动有关的现金13,922,003.64-9,607,432.264,314,571.38
购买商品、接受劳务支付的现金179,767,164.48-21,885,262.14157,881,902.34
支付给职工及为职工支付的现金34,578,890.25424,016.9235,002,907.17
支付的各项税费16,278,335.58-438,427.9115,839,907.67
支付其他与经营活动有关的现金28,281,016.2211,298,880.9839,579,897.20
收回投资收到的现金116,342.0588,497,315.9088,613,657.95
取得投资收益收到的现金0.00116,342.05116,342.05
购建固定资产、无形资产和其他长期资产支付的现金6,675,316.22720,157.007,395,473.22
投资支付的现金14,626,340.5771,133,613.1385,759,953.70
收到其他与筹资活动有关的现金0.002,421,635.822,421,635.82
汇率变动对现金及现金等价物的影响-1,757.6164,752.8562,995.24
现金及现金等价物净增加额-18,013,441.9518,885,537.55872,095.60
期初现金及现金等价物余额26,524,133.29-14,395,648.7212,128,484.57
期末现金及现金等价物余额8,510,691.344,489,888.8313,000,580.17
项 目2020年度
更正前更正金额更正后
销售商品、提供劳务收到的现金313,347,221.485,404,511.03318,751,732.51
收到其他与经营活动有关的现金18,898,480.64-12,132,472.836,766,007.81
购买商品、接受劳务支付的现金216,188,131.75-3,984,843.59212,203,288.16
支付给职工及为职工支付的现金34,152,078.98-938,367.4233,213,711.56
支付的各项税费14,320,326.69-1,018,477.6213,301,849.07
支付其他与经营活动有关的现金58,151,745.04-5,856,963.3652,294,781.68
购建固定资产、无形资产和其他长期资产支付的现金2,066,828.77729,396.252,796,225.02
支付其他与投资活动有关的现金0.0050,000.0050,000.00
汇率变动对现金及现金等价物的影响-100,436.97-282,927.83-383,364.80
现金及现金等价物净增加额19,867,864.124,008,366.1123,876,230.23
加:期初现金及现金等价物余额8,510,691.344,489,888.8313,000,580.17
期末现金及现金等价物余额28,378,555.468,498,254.9436,876,810.40
项 目2021年度
更正前更正金额更正后
销售商品、提供劳务收到的现金378,220,921.79-1,835,590.64376,385,331.15
收到其他与经营活动有关的现金5,284,062.40-106,130.045,177,932.36
购买商品、接受劳务支付的现金283,315,029.50-10,749,609.99272,565,419.51
支付给职工及为职工支付的现金41,562,099.88481,136.7942,043,236.67
支付的各项税费11,596,437.39-616,245.9610,980,191.43
支付其他与经营活动有关的现金54,027,610.025,784,019.9359,811,629.95
处置固定资产、无形资产和其他长期资产收回的现金净额0.007,000.007,000.00
购建固定资产、无形资产和其他长期资产支付的现金6,860,973.331,710,657.928,571,631.25
投资支付的现金95,657,240.40-219,000.0095,438,240.40
支付其他与筹资活动有关的现金7,467,426.321,631,280.059,098,706.37
汇率变动对现金及现金等价物的影响-368,287.0931,676.18-336,610.91
现金及现金等价物净增加额2,704,003.1774,716.762,778,719.93
期初现金及现金等价物余额35,834,873.541,041,936.8636,876,810.40
期末现金及现金等价物余额38,538,876.711,116,653.6239,655,530.33

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