武汉控股:2023年年度报告更正公告

查股网  2024-05-14  武汉控股(600168)公司公告

证券代码:600168 证券简称:武汉控股 公告编号:临2024—024号

武汉三镇实业控股股份有限公司

2023年年度报告更正公告

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。

武汉三镇实业控股股份有限公司(以下简称“公司”)于2024年3月28日披露了公司《2023年年度报告》,其中部分内容因数据链接问题需调整,但未对财务报表其他部分造成影响,现予以更正如下:

一、需更正内容

“第十节 财务报告”之“十八、其他重要事项”之“6、分部信息”之“(2)报告分部的财务信息”部分数据有误(更正内容已加粗)。

更正前:

报告分部的财务信息

单位:元 币种:人民币

项目本部业务报告分部自来水业务报告分部污水处理业务报告分部隧道运营业务报告分部工程施工业务报告分部垃圾渗滤液处理业务报告分部分部间抵销合计
一、营业收入66,527,782.67165,506,681.412,041,749,266.0820,333,883.621,478,304,180.039,840,821.63-678,797,882.863,103,464,732.58
其中:对外交易收入15,621,051.51165,506,681.412,038,582,526.7220,333,883.62853,579,767.699,840,821.633,103,464,732.58
分部间交易收入50,906,731.163,166,739.36624,724,412.34-678,797,882.86
二、资产减值17,436.52-8,223,737.60257,717.04-87,912.37-8,036,496.41

损失

损失
三、信用减值损失-707,388.24-2,126,603.05-122,628,198.23-19,877,917.10-11,519,172.90-524,414.8813,860,807.10-143,522,887.30
四、销售费用4,554,527.66206,679.084,761,206.74
五、利润总额(亏损)84,806,954.55-64,550,722.04-30,746,583.879,299,461.5875,951,413.60650,412.37118,198,684.20193,609,620.39
六、资产总额6,012,959,091.87552,536,202.10869,547,907.451,202,202,267.402,428,447,759.3835,768,173.2211,411,663,483.1522,513,124,884.57
七、负债总额2,954,767,496.72521,031,011.47783,458,041.49294,298,294.622,040,902,968.666,532,512.8310,444,010,926.3417,045,001,252.13
八、补充信息
1.折旧和摊销费用11,205,954.6932,680,374.02654,767,125.3366,717,109.574,650,993.842,003,423.88-6,031,944.56765,993,036.77
2.资本性支出43,262,472.3110,121,465.992,065,516,069.021,044,839.194,005,245.03-177,557,267.021,946,392,824.52

更正后:

报告分部的财务信息

单位:元 币种:人民币

项目本部业务报告分部自来水业务报告分部污水处理业务报告分部隧道运营业务报告分部工程施工业务报告分部垃圾渗滤液处理业务报告分部分部间抵销合计
一、营业收入66,527,782.67165,506,681.412,041,749,266.0820,333,883.621,478,304,180.039,840,821.63-678,797,882.863,103,464,732.58
其中:对外交易收入15,621,051.51165,506,681.412,038,582,526.7220,333,883.62853,579,767.699,840,821.633,103,464,732.58
分部间交易收50,906,731.163,166,739.36624,724,412.34-678,797,882.86

二、资产减值损失17,436.52-8,223,737.60257,717.04-87,912.37-8,036,496.41
三、信用减值损失-707,388.24-2,126,603.05-122,628,198.23-19,877,917.10-11,519,172.90-524,414.8813,860,807.10-143,522,887.30
四、销售费用4,554,527.66206,679.084,761,206.74
五、利润总额(亏损)84,012,455.27-63,756,222.76314,841,327.769,299,461.5875,951,413.60650,412.37-227,389,227.43193,609,620.39
六、资产总额6,012,164,592.59553,330,701.3818,028,582,560.891,202,202,267.402,428,447,759.3835,768,173.22-5,747,371,170.2922,513,124,884.57
七、负债总额2,953,972,997.44521,825,510.7513,261,435,941.53294,298,294.622,040,902,968.666,532,512.83-2,033,966,973.7017,045,001,252.13
八、补充信息
1.折旧和摊销费用11,205,954.6932,680,374.02654,767,125.3366,717,109.574,650,993.842,003,423.88-6,031,944.56765,993,036.77
2.资本性支出43,262,472.3110,121,465.992,061,056,303.381,044,839.194,005,245.03-177,557,267.021,941,933,058.88

二、其他相关说明

除上述更正内容外,公司《2023年年度报告》的其他内容不变,更正后的《2023年年度报告(更正后)》详见上海证券交易所网站(www.sse.com.cn)。公司今后将进一步加强信息披露文件的编制和审核工作,不断提高信息披露质量,避免出现类似问题。公司对本次公告更正给广大投资者造成的不便深表歉意,敬请广大投资者谅解。

特此公告。

武汉三镇实业控股股份有限公司董事会2024年5月13日


附件:公告原文