2017 年 12 月 31 日 调整前金额 调整金额 调整后金额 应收账款 1,702,652,974.64 -189,880,394.62 1,512,772,580.02 流动资产合计 4,123,547,652.68 -189,880,394.62 3,933,667,258.06 资产总计 6,119,892,918.04 -189,880,394.62 5,930,012,523.42 预收款项 63,264,547.18 2,426,977.04 65,691,524.22 应交税费 256,227,742.50 -32,073,132.57 224,154,609.93 流动负债合计 1,772,632,692.05 -29,646,155.53 1,742,986,536.52 负债合计 2,586,263,033.10 -29,646,155.53 2,556,616,877.57 未分配利润 996,129,743.48 -160,234,239.09 835,895,504.39 归属于母公司所有者权益合计 3,473,209,385.10 -160,234,239.09 3,312,975,146.01 所有者权益合计 3,533,629,884.94 -160,234,239.09 3,373,395,645.85 负债及所有者权益合计 6,119,892,918.04 -189,880,394.62 5,930,012,523.42 (续表) 报表项目 2018 年 12 月 31 日 调整前金额 调整金额 调整后金额 应收账款 1,880,184,094.98 -357,427,357.49 1,522,756,737.49 流动资产合计 4,829,310,140.93 -357,427,357.49 4,471,882,783.44 资产总计 7,428,847,533.54 -357,427,357.49 7,071,420,176.05 预收款项/合同负债 138,735,647.27 12,533,728.25 151,269,375.52 应交税费 327,861,728.24 -65,819,862.43 262,041,865.80 流动负债合计 3,918,366,256.97 -53,286,134.18 3,865,080,122.79 负债合计 4,274,190,081.79 -53,286,134.18 4,220,903,947.61 未分配利润 565,396,701.24 -304,141,223.31 261,255,477.93 归属于母公司所有者权益合计 3,127,330,410.17 -304,141,223.31 2,823,189,186.86 所有者权益合计 3,154,657,451.75 -304,141,223.31 2,850,516,228.44 负债及所有者权益合计 7,428,847,533.54 -357,427,357.49 7,071,420,176.05 (续表) 报表项目 2019 年 12 月 31 日 调整前金额 调整金额 调整后金额 应收账款 722,895,456.41 -86,302,585.81 636,592,870.60 流动资产合计 2,008,078,106.60 -86,302,585.81 1,921,775,520.79 资产总计 3,683,074,893.85 -86,302,585.81 3,596,772,308.04 预收款项/合同负债 165,450,524.41 13,259,565.77 178,710,090.18 应交税费 214,583,267.99 -66,223,362.06 148,359,905.93 流动负债合计 2,650,204,894.63 -52,963,796.29 2,597,241,098.34 负债合计 3,394,472,246.15 -52,963,796.29 3,341,508,449.86 未分配利润 -2,325,644,917.81 -33,338,789.52 -2,358,983,707.33 归属于母公司所有者权益合计 269,290,011.68 -33,338,789.52 235,951,222.16 所有者权益合计 288,602,647.70 -33,338,789.52 255,263,858.18 负债及所有者权益合计 3,683,074,893.85 -86,302,585.81 3,596,772,308.04 (续表) 报表项目 2020 年 12 月 31 日 调整前金额 调整金额 调整后金额 应收账款 431,513,070.42 -58,594,951.61 372,918,118.81 流动资产合计 1,141,707,994.39 -58,594,951.61 1,083,113,042.78 资产总计 2,690,143,975.36 -58,594,951.61 2,631,549,023.75 预收款项/合同负债 165,149,998.24 14,219,728.34 179,369,726.58 应交税费 236,227,061.58 -67,217,894.16 169,009,167.42 流动负债合计 3,034,914,098.04 -52,998,165.82 2,981,915,932.22 负债合计 3,443,894,549.38 -52,998,165.82 3,390,896,383.56 未分配利润 -3,349,182,078.74 -5,596,785.79 -3,354,778,864.53 归属于母公司所有者权益合计 -766,690,707.40 -5,596,785.79 -772,287,493.19 所有者权益合计 -753,750,574.02 -5,596,785.79 -759,347,359.81 负债及所有者权益合计 2,690,143,975.36 -58,594,951.61 2,631,549,023.75 (续表) 报表项目 2021 年 12 月 31 日 调整前金额 调整金额 调整后金额 应收账款 175,215,446.29 -20,001,983.48 155,213,462.81 流动资产合计 829,702,592.50 -20,001,983.48 809,700,609.02 资产总计 2,046,226,009.89 -20,001,983.48 2,026,224,026.41 预收款项/合同负债 194,213,779.06 14,219,728.34 208,433,507.40 应交税费 223,933,271.07 -67,217,894.16 156,715,376.91 流动负债合计 3,340,545,575.99 -52,998,165.82 3,287,547,410.17 报表项目 2021 年 12 月 31 日 调整前金额 调整金额 调整后金额 负债合计 3,771,687,904.84 -52,998,165.82 3,718,689,739.02 未分配利润 -