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倍轻松: 关于2024年年度报告的更正公告
Zheng Quan Zhi Xing· 2025-07-04 16:34
深圳市倍轻松科技股份有限公司(以下简称"倍轻松"或"公司")于 2024 年 发现,前五名客户与前五名供应商相关情况、实际控制人资金占用情况、关联方资 金拆借的部分信息有误,现需对相关内容予以更正,本次更正不会对公司 2024 年年 度的经营业绩造成影响。具体更正内容如下: 一、更正原因 证券代码:688793 证券简称:倍轻松 公告编号:2025-047 深圳市倍轻松科技股份有限公司 关于 2024 年年度报告的更正公告 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、准确性和完整性依法承担法律责任。 (一)关于前五名客户与前五名供应商更正原因 公司 2024 年年度报告中披露的第一名客户为北京京东世纪贸易有限公司和第五 名客户为北京京东弘健健康有限公司,此两家客户属于同一控制下的交易对象,应 合并计算。但《2024 年年度报告》中该两家客户在排名中分开列示,因此《2024 年 年度报告》中存在信息列报偏差。现需调整《2024 年年度报告》中前五名客户列 示,调整后原排名第一的客户及第五名客户合并列示为京东,合计销售额 万元。其他列示的客户销售额有小额变 ...
ST新动力: 关于2024年年度报告的更正公告
Zheng Quan Zhi Xing· 2025-06-22 08:40
Core Viewpoint - The company, Xiong'an New Power Technology Co., Ltd., has issued a supplementary correction announcement regarding its 2024 annual report, highlighting adjustments in revenue and cost disclosures, reflecting a decline in overall revenue and changes in cost structure [1][2]. Revenue and Cost Analysis - The total operating revenue for the company in 2024 was CNY 203,296,317.02, a decrease of 6.50% compared to CNY 190,073,311.00 in the previous year [1][2]. - The revenue breakdown by industry shows that the energy-saving and environmental protection sector accounted for 100% of the total revenue, with a similar percentage in the previous year [1][2]. - The cost of goods sold was primarily driven by raw materials, which constituted 71.53% of the total operating costs, reflecting an increase from 66.89% in the previous year [2][3]. Segment Performance - The company reported a decline in revenue from other business segments, with figures showing a drop from CNY 6,252,655.31 to CNY 5,675,309.45, representing a decrease of 9.23% [2]. - The domestic market accounted for 100% of the revenue, consistent with the previous year, indicating no diversification in geographical revenue sources [2]. Financial Position Adjustments - The company corrected its long-term equity investment disclosures, indicating adjustments in the financial statements related to the valuation of investments [3][4]. - The long-term borrowings were reported at CNY 57,098,948.76 at the end of the period, with a decrease in the amount due within one year from CNY 24,098,948.76 to CNY 9,994,675.28 [5][6]. Asset and Liability Disclosures - The company disclosed that certain assets were subject to restrictions, including cash and fixed assets, with specific amounts detailed for each category [5][6]. - The total restricted cash was reported at CNY 118,573.23, with additional details on the nature of the restrictions [5].