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关于平潭海洋<\/b><\/p> \n

平潭海洋是一家全球性渔业公司,通过其子公司福建省平潭县远洋渔业集团有限公司(即"平潭远洋")开展远洋捕捞作业。<\/p> \n

商业风险和前瞻性声明<\/b><\/p> \n

本新闻稿所载内容可能包括前瞻性陈述,这些声明符合依照美国1933年《证券法》和1934年《证券交易法》修订版创建的安全港定义。包含"估计"、"预计"、"预测"、"计划"、"相信"、"可能"、"期望"、"预期"、"打算"、"计划"、"潜在"、"能够"、"期望"及类似的表达或这些词语的否定形式的陈述为前瞻性陈述。虽然前瞻性陈述反映了管理层的诚信判断,但这些陈述仅基于我们目前所知的事实和因素。因此,前瞻性陈述本身具有风险性和不确定性,实际的结果可能与前瞻性陈述中讨论过或预期的结果有重大不同。风险包括预期增长和增长战略;需要额外的资金和融资可获取度;将渔船部署或重新部署至外国海域以及相关的许可证要求;成功管理与客户、经销商及其它重要关系的能力;政府监管机构所采取的行动,如印尼禁渔令;技术变革;竞争;对我们的产品和服务的需求;国际、国内或经营所在地市场的一般经济状况恶化;当前的COVID-19流行病的影响;可能对公司业务和运营造成不利影响的立法或监管变化;严重影响公司渔船产能及其产生预期的年收入和净收入能力的经营性、机械性、气候性或其它不可预见的问题;以及平潭海洋提交给美国证券交易委员会的文件中列明的各种风险因素,请参阅www.sec.gov,其中包括平潭海洋最近的年度报告10-K表以及季度报告10-Q表。读者应谨慎,请勿不适当地依赖任何前瞻性陈述,这些陈述仅适用于截至声明日期的情况。平潭海洋没有义务出于任何原因更新或修正任何前瞻性陈述。<\/p> \n

 <\/p> \n

\n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n

平潭海洋企业有限公司及其子公司<\/b><\/span><\/p> <\/td> \n <\/tr> \n

运营和综合收益合并报表(未审计)<\/b><\/span><\/p> <\/td> \n <\/tr> \n

(单位:美元)<\/b><\/span><\/p> <\/td> \n <\/tr> \n


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第四季度<\/span><\/p> <\/td> \n <\/tr> \n


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2021<\/span><\/p> <\/td> \n


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2020<\/span><\/p> <\/td> \n <\/tr> \n


<\/td> \n

营业收入<\/span><\/p> <\/td> \n


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$<\/span><\/p> <\/td> \n

62,807,077<\/span><\/p> <\/td> \n

$<\/span><\/p> <\/td> \n

31,022,204<\/span><\/p> <\/td> \n <\/tr> \n


<\/td> \n

营业成本<\/span><\/p> <\/td> \n


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70,194,063<\/span><\/p> <\/td> \n


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43,019,999<\/span><\/p> <\/td> \n <\/tr> \n


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毛利润<\/span><\/p> <\/td> \n


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(7,386,986)<\/span><\/p> <\/td> \n


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(11,997,795)<\/span><\/p> <\/td> \n <\/tr> \n


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营业费用:<\/span><\/p> <\/td> \n


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销售费用<\/span><\/p> <\/td> \n


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2,519,748<\/span><\/p> <\/td> \n


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1,567,947<\/span><\/p> <\/td> \n <\/tr> \n


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行政管理费<\/span><\/p> <\/td> \n


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987,971<\/span><\/p> <\/td> \n


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1,216,266<\/span><\/p> <\/td> \n <\/tr> \n


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行政管理费<\/span> - <\/span>折旧<\/span><\/p> <\/td> \n


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(310,673)<\/span><\/p> <\/td> \n


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791,943<\/span><\/p> <\/td> \n <\/tr> \n


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补助收入<\/span><\/p> <\/td> \n


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(561,642)<\/span><\/p> <\/td> \n


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(881,465)<\/span><\/p> <\/td> \n <\/tr> \n


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减值损失<\/span><\/p> <\/td> \n


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4,830,150<\/span><\/p> <\/td> \n


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67,713,324<\/span><\/p> <\/td> \n <\/tr> \n


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合同结算<\/span><\/p> <\/td> \n


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(26,408,130)<\/span><\/p> <\/td> \n


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-<\/span><\/p> <\/td> \n <\/tr> \n


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营业费用总计<\/span><\/p> <\/td> \n


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(18,942,576)<\/span><\/p> <\/td> \n


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70,408,015<\/span><\/p> <\/td> \n <\/tr> \n


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营业利润<\/span><\/p> <\/td> \n


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11,555,590<\/span><\/p> <\/td> \n


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(82,405,810)<\/span><\/p> <\/td> \n <\/tr> \n


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其他收益(费用):<\/span><\/p> <\/td> \n


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利息收入<\/span><\/p> <\/td> \n


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298,966<\/span><\/p> <\/td> \n


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409,734<\/span><\/p> <\/td> \n <\/tr> \n


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利息支出<\/span><\/p> <\/td> \n


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(5,650,377)<\/span><\/p> <\/td> \n


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(3,560,970)<\/span><\/p> <\/td> \n <\/tr> \n


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外汇折算收益<\/span><\/p> <\/td> \n


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1,047,466<\/span><\/p> <\/td> \n


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204,687<\/span><\/p> <\/td> \n <\/tr> \n


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成本法投资收益<\/span>\/<\/span>亏损<\/span><\/p> <\/td> \n


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7,518<\/span><\/p> <\/td> \n


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1,821<\/span><\/p> <\/td> \n <\/tr> \n


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权益法投资收益<\/span>\/<\/span>亏损<\/span><\/p> <\/td> \n


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57,081<\/span><\/p> <\/td> \n


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195,044<\/span><\/p> <\/td> \n <\/tr> \n


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其他费用<\/span><\/p> <\/td> \n


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2,638<\/span><\/p> <\/td> \n


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(477)<\/span><\/p> <\/td> \n <\/tr> \n


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其他费用净额<\/span><\/p> <\/td> \n


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(4,236,708)<\/span><\/p> <\/td> \n


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(2,750,161)<\/span><\/p> <\/td> \n <\/tr> \n


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所得税前亏损<\/span><\/p> <\/td> \n


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7,318,882<\/span><\/p> <\/td> \n


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((85,155,971)<\/span><\/p> <\/td> \n <\/tr> \n


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所得税<\/span><\/p> <\/td> \n


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1,749<\/span><\/p> <\/td> \n


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-<\/span><\/p> <\/td> \n <\/tr> \n


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净利润(亏损)<\/span><\/p> <\/td> \n


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$<\/span><\/p> <\/td> \n

7,317,133<\/span><\/p> <\/td> \n

$<\/span><\/p> <\/td> \n

(85,155,971)<\/span><\/p> <\/td> \n <\/tr> \n


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减:归属于少数股东的净利润(亏损)<\/span><\/p> <\/td> \n


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642,211<\/span><\/p> <\/td> \n


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(5,499,859)<\/span><\/p> <\/td> \n <\/tr> \n


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归属于母公司所有者的净利润(亏损)<\/span><\/p> <\/td> \n


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$<\/span><\/p> <\/td> \n

6,674,922<\/span><\/p> <\/td> \n

$<\/span><\/p> <\/td> \n

(79,656,112)<\/span><\/p> <\/td> \n <\/tr> \n


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综合收益:<\/span><\/p> <\/td> \n


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净亏损<\/span><\/p> <\/td> \n


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7,317,133<\/span><\/p> <\/td> \n


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(85,155,971)<\/span><\/p> <\/td> \n <\/tr> \n


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其他综合收益(亏损)<\/span><\/p> <\/td> \n


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未实现的外汇折算收益(亏损)<\/span><\/p> <\/td> \n


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(187,190)<\/span><\/p> <\/td> \n


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3,310,552<\/span><\/p> <\/td> \n <\/tr> \n

综合利润(亏损)总计<\/span><\/p> <\/td> \n


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$<\/span><\/p> <\/td> \n

7,129,943<\/span><\/p> <\/td> \n

$<\/span><\/p> <\/td> \n

(81,845,419)<\/span><\/p> <\/td> \n <\/tr> \n


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减:归属于少数股东的综合利润(亏损)<\/span><\/p> <\/td> \n


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625,298<\/span><\/p> <\/td> \n


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(5,170,963)<\/span><\/p> <\/td> \n <\/tr> \n


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归属于公司所有者的综合利润(亏损)<\/span><\/p> <\/td> \n


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$<\/span><\/p> <\/td> \n

6,504,645<\/span><\/p> <\/td> \n

$<\/span><\/p> <\/td> \n

(76,674,456)<\/span><\/p> <\/td> \n <\/tr> \n


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归属于公司所有者的普通股每股净利润(亏损)<\/span><\/p> <\/td> \n


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基本和稀释<\/span><\/p> <\/td> \n


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$<\/span><\/p> <\/td> \n

0.08<\/span><\/p> <\/td> \n

$<\/span><\/p> <\/td> \n

(1.00)<\/span><\/p> <\/td> \n <\/tr> \n


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发行在外的普通股加权平均数:<\/span>:<\/span><\/p> <\/td> \n


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基本和稀释<\/span><\/p> <\/td> \n


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85,940,965<\/span><\/p> <\/td> \n


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79,302,428<\/span><\/p> <\/td> \n <\/tr> \n <\/tbody> \n <\/table> \n<\/div> \n

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平潭海洋企业有限公司及其子公司<\/b><\/span><\/p> <\/td> \n <\/tr> \n

运营和综合收益合并报表(未审计)<\/b><\/span><\/p> <\/td> \n <\/tr> \n

(单位:美元)<\/b><\/span><\/p> <\/td> \n <\/tr> \n


<\/td> \n <\/tr> \n

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截至<\/span>12<\/span>月<\/span>31<\/span>日年度<\/span><\/p> <\/td> \n


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2021<\/span><\/p> <\/td> \n


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2020<\/span><\/p> <\/td> \n


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2019<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

营业收入<\/span><\/p> <\/td> \n


<\/td> \n

$<\/span><\/p> <\/td> \n

164,083,044<\/span><\/p> <\/td> \n


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$<\/span><\/p> <\/td> \n

87,240,420<\/span><\/p> <\/td> \n


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$<\/span><\/p> <\/td> \n

89,622,156<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

营业成本<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

176,724,581<\/span><\/p> <\/td> \n


<\/td> \n

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89,661,883<\/span><\/p> <\/td> \n


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64,396,571<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

毛利润<\/span><\/p> <\/td> \n


<\/td> \n

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(12,641,537)<\/span><\/p> <\/td> \n


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(2,421,463)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

25,225,585<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

营业费用<\/span>:<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

销售费用<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

7,632,730<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

4,850,044<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

2,715,599<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

行政管理费<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

5,892,080<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

4,091,729<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

4,163,873<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

行政管理费<\/span> - <\/span>折旧<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

836,142<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

3,066,522<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

3,726,061<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

补助收入<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(20,449,471)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(13,660,284)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(6,440,299)<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

减值损失<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

6,301,373<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

67,713,324<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

7,951,635<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

合同结算<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(26,408,130)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

固定资产处置亏损(收益)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(59,432)<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

营业费用总计<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(26,195,276)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

66,061,335<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

12,057,437<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

营业利润(亏损)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

13,553,739<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(68,482,798)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

13,168,148<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

其他收益(费用)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

利息收入<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

371,695<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

3,745,611<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

780,604<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

利息支出<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(17,371,089)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(13,432,919)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(6,055,310)<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

外汇折算收益(亏损)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

1,231,614<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

607,674<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(298,304)<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

成本法投资红利收益<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

612,734<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

135,338<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

312,727<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

利息售出亏损<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(86,603)<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

权益法投资亏损<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(708,020)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(156,085)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(486,803)<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

其他(费用)收益<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(74,223)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(35,401)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(954,394)<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

其他费用小计<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(15,937,289)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(9,135,782)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(6,788,083)<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

所得税前利润<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(2,383,550)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(77,618,580)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

6,380,065<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

所得税<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

1,749<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

净利润(亏损)<\/span><\/p> <\/td> \n


<\/td> \n

$<\/span><\/p> <\/td> \n

(2,385,299)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

(77,618,580)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

6,380,065<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

减:归属于少数股东的净利润(亏损)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

95,420<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(4,740,332)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

698,041<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

归属于公司所有者的净利润(亏损)<\/span><\/p> <\/td> \n


<\/td> \n

$<\/span><\/p> <\/td> \n

(2,480,719)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

(72,878,248)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

5,682,024<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

减:优先股红利<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(640,922<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

归属于公司普通股东的净利润(亏损)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(3,121,641)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(72,878,248)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

5,682,024<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

综合收益:<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

净利润(亏损)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(2,385,299)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(77,618,580)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

6,380,065<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

其他综合收益(亏损)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

未实现的外汇折算(亏损)收益<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

2,895,972<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

7,156,773<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(2,861,319)<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

综合收益(亏损)<\/span><\/p> <\/td> \n


<\/td> \n

$<\/span><\/p> <\/td> \n

510,673<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

(70,461,807)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

3,518,746<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

减:归属于少数股东的综合收益<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

342,401<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(4,095,594)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

469,583<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

归属于公司所有者的综合收益<\/span><\/p> <\/td> \n


<\/td> \n

$<\/span><\/p> <\/td> \n

168,272<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

(66,366,213)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

3,049,163<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

归属于公司所有者的普通股每股净利润(亏损)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

基本和稀释<\/span><\/p> <\/td> \n


<\/td> \n

$<\/span><\/p> <\/td> \n

(0.03)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

(0.92)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

0.07<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

发行在外的普通股加权平均数:<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

基本和稀释<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

84,906,368<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

79,121,471<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

79,055,053<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n <\/tbody> \n <\/table> \n<\/div> \n

 <\/p> \n

\n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n

平潭海洋企业有限公司及其子公司<\/b><\/span><\/p> <\/td> \n <\/tr> \n

合并资产负债表<\/b><\/span><\/p> <\/td> \n <\/tr> \n

(单位:美元)<\/b><\/span><\/p> <\/td> \n <\/tr> \n


<\/td> \n <\/tr> \n

<\/td> \n

<\/td> \n

12<\/span>月<\/span>31<\/span>日<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

<\/td> \n

<\/td> \n

2021<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

2020<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

资产<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

流动资产<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

现金<\/span><\/p> <\/td> \n


<\/td> \n

$<\/span><\/p> <\/td> \n

5,789,508<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

691,933<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

限定用途的现金<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

14,831,138<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

9,912,666<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

应收账款,扣除坏账准备<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

26,861,827<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

31,946,561<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

应收关联方欠款<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

5,660,857<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

存货,扣除存货跌价准备<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

54,969,973<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

67,611,136<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

预付费用<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

18,559,252<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

170,706<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

关联方预付费用<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

2,015,357<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

其他应收账款<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

113,765,721<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

1,901,094<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

流动资产合计<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

240,438,276<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

114,249,453<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

其它资产:<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

成本法投资<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

3,293,756<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

3,218,440<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

权益法投资<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

29,674,764<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

29,689,813<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

长期资产预付款<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

30,114,340<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

66,083,041<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

使用权资产<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

465,016<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

64,220<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

物业、厂房和设备净值<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

272,249,346<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

250,155,011<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

其它资产合计<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

335,797,222<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

349,210,525<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

资产总计<\/span><\/p> <\/td> \n


<\/td> \n

$<\/span><\/p> <\/td> \n

576,235,498<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

463,459,978<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

负债和股东权益<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

流动负债:<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

应付账款<\/span><\/p> <\/td> \n


<\/td> \n

$<\/span><\/p> <\/td> \n

54,153,711<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

18,792,983<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

应付账款<\/span>-<\/span>关联方<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

4,960,300<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

9,966,708<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

短期借款<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

72,305,786<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

52,414,596<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

一年内到期的长期借款<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

76,856,590<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

39,987,577<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

应计负债和其他应付款<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

27,531,333<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

12,151,633<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

一年内到期的租赁负债<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

400,557<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

32,349<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

应付关联方欠款<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

7,175,988<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

18,354<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

流动负债合计<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

243,384,265<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

133,364,200<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

其他负债:<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

租赁负债<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

32,161<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

长期借款<\/span>-<\/span>非流动负债<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

240,729,193<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

245,116,088<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

负债合计<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

484,145,619<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

378,480,288<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

承诺及或有事项<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

股东权益:<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

归属于公司所有者权益:<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

普通股(面值<\/span>0.001<\/span>美元;授权发行<\/span>125,000,000<\/span>股;<\/span>2021<\/span>年<\/span>12<\/span>月<\/span>31<\/span>日和<\/span>2020<\/span>年<\/span>12<\/span>月<\/span>31<\/span>
已对外发行股数分别为<\/span>85,940,965<\/span>股和<\/span>79,302,428<\/span>股)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

85,941<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

79,302<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

附加实收资本<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

89,279,792<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

82,045,993<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

(赤字)留存收益<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(21,842,858<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(18,594,755<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n <\/tr> \n

法定储备<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

15,878,174<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

15,751,712<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

累计其他综合损失<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(6,919,882<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(9,568,873<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n <\/tr> \n

归属于公司所有者权益总额<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

76,481,167<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

69,713,379<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

少数股东权益<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

15,608,712<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

15,266,311<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

股东权益合计<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

92,089,879<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

84,979,690<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

负债和股东权益总计<\/span><\/p> <\/td> \n


<\/td> \n

$<\/span><\/p> <\/td> \n

576,235,498<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

463,459,978<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n <\/tbody> \n <\/table> \n<\/div> \n

 <\/p> \n

\n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n \n

平潭海洋企业有限公司及其子公司<\/b><\/span><\/p> <\/td> \n <\/tr> \n

合并现金流量表<\/b><\/span><\/p> <\/td> \n <\/tr> \n

(单位:美元)<\/b><\/span><\/p> <\/td> \n <\/tr> \n


<\/td> \n <\/tr> \n

<\/td> \n

<\/td> \n

截至<\/span>12<\/span>月<\/span>31<\/span>日年度<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

<\/td> \n

<\/td> \n

2021<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

2020<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

2019<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

营业活动现金流量<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

净利润(亏损)<\/span><\/p> <\/td> \n


<\/td> \n

$<\/span><\/p> <\/td> \n

(2,385,299)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

(77,618,580<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n


<\/td> \n

$<\/span><\/p> <\/td> \n

6,380,065<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

将营业净利润调节为经营活动产生(使用)的现金流量净额:<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

折旧<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

16,129,686<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

14,722,446<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

11,308,882<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

坏账准备<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

178,244<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

380,866<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

8,050<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

存货跌价准备增加(减少)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

9,366,467<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

14,984,980<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(142,370<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n <\/tr> \n

权益法投资亏损<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

708,020<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

156,085<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

486,803<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

普通股发行收取专业费用<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

209,793<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

利息售出亏损<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

86,603<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

固定资产处置收益<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(59,432<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n <\/tr> \n

渔船减值损失<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

6,301,373<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

67,713,324<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

7,943,585<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

 <\/p>

合同结算<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(26,408,129<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

经营性资产和负债的变动:<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

应收账款<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

5,669,874<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(21,222,129<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(3,110,730<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n <\/tr> \n

存货<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

4,820,618<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(48,067,241<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(24,918,904<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n <\/tr> \n

预付供应商款项<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(18,341,059)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

1,199,764<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(727,857<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n <\/tr> \n

预付费用<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

2,057,259<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(1,906,460<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

预付费用<\/span>-<\/span>关联方<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(5,646,422)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

其他应收款<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(8,091,258)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(1,177,998<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

74,967<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

应付账款<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

35,780,524<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

8,933,807<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(22,443,999<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n <\/tr> \n

应付账款<\/span>-<\/span>关联方<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(5,226,281)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

7,701,504<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(1,501,793<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n <\/tr> \n

应计负债和其他应付款项<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

14,108,415<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

738,755<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

5,527,508<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

应计负债和其他应付款项<\/span>-<\/span>关联方<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(1,290<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n <\/tr> \n

应付关联方款项<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

297,678<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

672,932<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(9,483,868<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n <\/tr> \n

经营活动产生(使用)的现金流量净额<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

29,319,709<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(32,578,152<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(30,573,780<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n <\/tr> \n

投资活动产生的现金流量:<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

长期资产预付的现金<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(54,141,296)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(12,913,191<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(49,592,695<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n <\/tr> \n

购买物业、厂房和设备的资金<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(30,718,417<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(86,611,283<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(118,468,793<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n <\/tr> \n

取得处置物业、厂房和设备的现金<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

72,480<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

取得用于渔船改造的政府补助金<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

18,460,576<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

29,358,038<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

35,524,824<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

投资活动产生的现金流量净额<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(66,399,137<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(70,166,436<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(132,464,184<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n <\/tr> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

融资活动产生的现金流量:<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

取得短期借款收到的现金<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

72,121,401<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

93,075,852<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

10,147,133<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

偿还短期债务支付的现金<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(53,504,380<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(53,641,846<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(5,062,771<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n <\/tr> \n

取得长期借款收到的现金<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

98,315,781<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

108,821,094<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

208,023,483<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

偿还长期债务支付的现金<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(72,571,291<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(58,952,604<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(18,880,916<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n <\/tr> \n

关联方的预付款<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

6,992,000<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(22,664,328<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n <\/tr> \n

关联方应付款项<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

12,619,964<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

发行普通股所得款项<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

4,351,243<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

发行优先股所得款项<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

3,698,273<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

来自关联方收益<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(11,913,633<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

回购股份<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

(1,450,000<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

支付分红的款项<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

融资活动产生(使用)的现金流量净额<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

46,039,394<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

101,922,460<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

171,562,601<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

汇率变动对现金、现金等价物和<\/span>限定用途现金<\/span>的影响<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

1,056,081<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

1,334,522<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

(399,287<\/span><\/p> <\/td> \n

)<\/span><\/p> <\/td> \n <\/tr> \n

现金、现金等价物,限定用途现金的净增长<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

10,016,047<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

512,394<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

8,125,350<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

现金、现金等价物,限定用途现金<\/span>-<\/span>期初<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

10,604,599<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

10,092,205<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

1,966,855<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

现金、现金等价物,限定用途现金<\/span>-<\/span>期末<\/span><\/p> <\/td> \n


<\/td> \n

$<\/span><\/p> <\/td> \n

20,620,646<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

10,604,599<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

10,092,205<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

现金流信息的补充披露<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

现金用于支付:<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

利利息<\/span><\/p> <\/td> \n


<\/td> \n

$<\/span><\/p> <\/td> \n

17,759,215<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

20,549,990<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

6,419,569<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

所得税<\/span><\/p> <\/td> \n


<\/td> \n

$<\/span><\/p> <\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

合并资产负债表金额核对<\/span>:<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

现金和现金等价物<\/span><\/p> <\/td> \n


<\/td> \n

$<\/span><\/p> <\/td> \n

5,789,508<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

691,933<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

10,092,205<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

限定用途的现金<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

14,831,138<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

9,912,666<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

现金、现金等价物和限定用途的现金总计<\/span><\/p> <\/td> \n


<\/td> \n

$<\/span><\/p> <\/td> \n

20,620,646<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

10,604,599<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

10,092,205<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n

非现金投融资活动<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n <\/tr> \n

通过减少长期资产的预付款来购买物业和设备<\/span><\/p> <\/td> \n


<\/td> \n

$<\/span><\/p> <\/td> \n

37,419,467<\/span><\/p> <\/td> \n


<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

<\/td> \n

$<\/span><\/p> <\/td> \n

-<\/span><\/p> <\/td> \n


<\/td> \n <\/tr> \n <\/tbody> \n <\/table> \n<\/div> \n

 <\/p>"]; $("#dvExtra").html(content_array[0]);})();