四川大西洋焊接材料股份有限公司董事会补充公告

  作者:    日期:2004.03.09 15:00 http://www.stock2000.com.cn 中天网

 

          四川大西洋焊接材料股份有限公司董事会补充公告

    本公司及董事会全体成员保证公告内容的真实、准确和完整,对公告的虚假记载、误导性陈述或者重大遗漏负连带责任。

    由于工作疏忽,本公司于2004年2月21日披露的公司《2003年度报告》、《2003年度报告摘要》中存在错误,现将有关章节修改如下:

    一、公司《2003年度报告》第二章“会计数据和业务数据摘要”中非经常性损益有误,现对非经常性损益及项相关指标更正如下:

    项  目                      修改前         修改后        差  异         备  注

    1、非经常性营业外收支净额:-588,165.23    -588,165.23       -         原表述为:处

                                                                        理固定资产损失 

    2、合并价差                 68,442.75         -        68,442.750

    3、处理短期投资损失:    -2,277,943.80  -2,277,943.80       -

    4、所得税影响:          2,854,453.04   2,879,823.20  -25,370.160

    合计                        56,786.76     13,714.17    43,072.590

    扣除非经常性损益后的净利 35,739,147.23  35,782,219.82  -43,072.591

    润

    扣除非经常性损益的每股收           0.298          0.298     -0.000

    益

    扣除非经常性损益的加权平           7.212          7.221     -0.009

    均净资产收益率%

    扣除非经营性损益的全面摊           6.991          6.999     -0.008

    薄净资产收益率%

    二、我公司披露的资产减值准备明细表因规定格式变化,现修改如下:

                         资产减值准备明细表(合并)

                               2003年度

                             会企01表附表1

    编制单位:四川大西洋焊接材料股份有限公司                                     单位:元

    项目①                 年初余额②    本年增加数③  

                                                             因资产价      

                                                             值回升转      

                                                             回数④          

    一、坏帐准备合计       5,192,652.91  1,050,428.45            - 

    其中:应收帐款         5,082,698.34    302,683.92            -

    其他应收款               109,954.57    747,744.53            -

    二、短期投资跌价准     7,971,310.70                           -  

    备合计

    其中:股票投资         7,971,310.70             -                                 

          债券投资                                  -             -   

    三、存货跌价准备合       385,345.30      26,576.05             -             

    计

    其中:库存商品           19,866.43       26,576.05             -                                     

    原材料                  365,478.87             -                                    

          四、长期投资减值准     -                  -              -                                     

    备合计

    其中:长期股权投资           -                  -              -                                    

    长期债券投资                -                  -              -                                    

    五、固定资产减值准       872,625.14            -               -              

    备合计

    其中:房屋、建筑物            -                -               -                                      

    机器设备                 872,625.14            -                                    

    六、无形资产减值准            -                -               -                                      

    备合计

    其中:专利权                  -                -               -                                      

    商标权                        -                -               -                                      

    七、在建工程减值准            -                 -              -                                      

    备

    八、委托贷款减值准            -                 -              -                                      

    备

    合计                   14,421,934.05      1,077,004.50        -        

续上表:

    编制单位:四川大西洋焊接材料股份有限公司                                     单位:元

    项目①                       本年减少数                      期末余额

                                 其他原因转     合计⑥

                                 出本年减少

                                 数⑤

    一、坏帐准备合计                   -            -           6,243,081.36

    其中:应收帐款                     -            -           5,385,382.26

    其他应收款                                      -             857,699.10

    二、短期投资跌价准           6,005,487.77    6,005,487.77    1,965,822.93

    备合计

    其中:股票投资               6,005,487.77    6,005,487.77    1,965,822.93

          债券投资                                   -                 -

    三、存货跌价准备合             363,656.66      363,656.66       48,264.69

    计

    其中:库存商品                                         -        46,442.48

    原材料                        363,656.66      363,656.66         1,822.21

    四、长期投资减值准                                      -            -

    备合计

    其中:长期股权投资                                     -             -

    长期债券投资                                          -              -

    五、固定资产减值准              65,980.16      65,980.16        806,644.98

    备合计

    其中:房屋、建筑物                                     -              -

    机器设备                        65,980.16      65,980.16        806,644.98

    六、无形资产减值准                                     -              -

    备合计

    其中:专利权                                          -               -

    商标权                                                -               -

    七、在建工程减值准                                     -               -

    备

    八、委托贷款减值准                                     -               -

          备

    合计                         6,435,124.59   6,435,124.59      9,063,813.96

    三、关于“报告期末‘其他应收款’项下控股股东欠款1,425万元的说明:

    该款项系本公司的子公司自贡大西洋焊丝制品有限公司与本公司控股股东大西洋集团公司于2003年末因经营往来形成的,集团公司已于2004年2月16日前将该款项全部归还给焊丝制品公司。

    四、现金流量表中“投资活动产生的现金流量”的部分项目有误,现对差错部分更正如下:

    项        目                  修改前                       修改后                              

                                  2003年度                     2003年度                            

                           母公司        合并数           母公司            合并数 

    二、投资活动产生的现        -            -                -               -                   

    金流量 

    收回投资所收到的现金        -       13,696,373.18    6,845,812.69    20,542,185.87   

    现金流入小计        13,785,828.44   24,789,816.46   20,631,641.13    31,635,629.15   

    购建固定资产、无形资  9,617,671.49  108,824,623.37   13,684,272.46  109,885,160.26   

    产和其他长期资产所支

    付的现金 

     投资所支付的现金    22,437,822.01   22,437,822.01   25,217,033.73   25,217,033.73    

    支付的其他与投资      8,000,000.00   22,000,000.00    8,000,000.00   20,000,000.00              

    活动有关的现金 

    现金流出小计         40,055,493.50  153,262,445.38   46,901,306.19  155,102,193.99    

续上表:

    项        目                       差异

                                     2003年度 

                               母公司         合并数

    二、投资活动产生的现          -              -   

    金流量 

    收回投资所收到的现金      6,845,812.69   6,845,812.69 

    现金流入小计             6,845,812.69    6,845,812.69 

    购建固定资产、无形资      4,066,600.97   1,060,536.89 

    产和其他长期资产所支

    付的现金 

     投资所支付的现金         2,779,211.72   2,779,211.72 

    支付的其他与投资               -        -2,000,000.00 

    活动有关的现金 

    现金流出小计              6,845,812.69   1,839,748.61 

    本公司对因此为广大投资者带来的不便深表歉意,在将来的工作中,本公司将提高工作质量,避免此类错误的发生。

    四川大西洋焊接材料股份有限公司

    2004年3月8日


关闭窗口