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每日聚焦:美晨生态: 关于前期会计差错更正的公告

2023-04-21 21:54:01 来源:证券之星

证券代码:300237      证券简称:美晨生态          公告编号:2023-032


(资料图片)

              山东美晨生态环境股份有限公司

  本公司及董事会全体成员保证信息披露内容的真实、准确和完整,没有虚假

记载、误导性陈述或重大遗漏。

  山东美晨生态环境股份有限公司(以下简称“公司”或“美晨生态”)于

会议,审议通过了《关于前期会计差错更正的议案》,具体情况如下:

  一、会计差错更正的原因

  中国证券监督管理委员会山东监管局在对公司 2022 年的日常监管及 2021

年年报审核中发现,一是 2018 年美晨生态诸城新厂区一期工程虚计施工成本

司出具警示函措施的整改报告》(公告编号:2022-082);二是公司 2021 年合

并报表编制存在合并抵消不充分的情况。

  根据《企业会计准则第 28 号——会计政策、会计估计变更和差错更正》和

中国证券监督管理委员会《公开发行证券的公司信息披露编报规则第 19 号—财

务信息的更正及相关披露》(2018 年修订)等相关规定,公司针对前述事项及

时进行相关整改,并对相关的差错事项进行更正。

  二、前期会计差错事项

资产相关科目披露不实。

  美晨生态 2021 年合并报表编制存在合并抵销不充分的情况。如美晨生态对

控股子公司往来款项抵销不充分,导致合并资产负债表预付账款、应付账款科目

多记;合并范围内关联交易抵消,但未开票部分的税差未抵销,导致合并资产负

债表预付账款、其他流动负债、应交税金科目多记;个别子公司间往来账款处置

存在合并报表抵销错误,导致合并利润表营业外收入、营业外支出、信用减值损

失科目多记等。

  三、前期会计差错更正对公司财务状况的影响

  (一)对 2021 年度合并报表的影响

  (1)对合并资产负债表的影响

        项 目         更正前金额                  更正金额              更正后金额

预付款项                   68,015,544.51        -1,669,145.36       66,346,399.15

其他流动资产                139,808,264.31         -708,745.50       139,099,518.81

固定资产                 1,189,306,626.51       -5,581,370.80     1,183,725,255.71

       资产总计         10,257,898,473.48       -7,959,261.66    10,249,939,211.82

应付账款                 2,028,044,238.60       -1,197,816.52     2,026,846,422.08

应交税费                   42,086,835.27          -63,642.39        42,023,192.88

其他流动负债                 81,368,438.57         -407,686.45        80,960,752.12

       负债合计          7,807,904,577.95       -1,669,145.36     7,806,235,432.59

未分配利润                 366,506,333.08        -6,290,116.30      360,216,216.78

所有者权益(或股东权益)合计       2,449,993,895.53       -6,290,116.30     2,443,703,779.23

负债和所有者权益(或股东权

益)总计

  (2)对合并利润表的影响

         项 目            更正前金额               更正金额              更正后金额

管理费用                      187,750,729.03       -318,935.48     187,431,793.55

信用减值损失(损失以“-”号填列)         -59,147,028.69      5,095,836.65      -54,051,192.04

加:营业外收入                    12,409,233.39     -6,582,548.86       5,826,684.53

减:营业外支出                     5,877,756.18     -1,486,712.21       4,391,043.97

        利润总额             -383,004,196.49        318,935.48    -382,685,261.01

     (3)对附注的影响

     (1) 预付款项按账龄列示

                        更正前金额              更正金额                   更正后金额

     账龄

                   金额           比例(%)        金额               金额              比例(%)

     合 计       68,015,544.51      --     -1,669,145.36    66,346,399.15         --

      项目               更正前金额             更正金额                      更正后金额

待抵扣进项税额                 68,090,686.61       -708,745.50                   67,381,941.11

留抵税额                    61,857,043.24                                     61,857,043.24

预缴税费                     2,275,394.26                                      2,275,394.26

其他                       7,585,140.20                                      7,585,140.20

     合     计           139,808,264.31       -708,745.50                   139,099,518.81

 项目                更正前金额                 更正金额                      更正后金额

固定资产               1,189,306,626.51       -5,581,370.80              1,183,725,255.71

 合计                1,189,306,626.51       -5,581,370.80              1,183,725,255.71

(1)固定资产情况

                             更正前金额                                      更正金额                                    更正后金额

   项目

             房屋建筑物           ...          合计             房屋建筑物          ...      合 计            房屋建筑物            ...        合 计

一、账面原值:

   ...                       ...                                        ...                                      ...

   (3)其他        554,572.88                 630,472.88    6,378,709.50           6,378,709.50    6,933,282.38               7,009,182.38

二、累计折旧

   ...                       ...                                        ...                                      ...

   (3)其他                                   72,105.00       797,338.70             797,338.70      797,338.70                  869,443.70

三、减值准备

   ...                       ...                                        ...                                      ...

四、账面价值                       ...                                        ...                                      ...

     (1)应付账款列示

                   更正前金额                       更正金额                     更正后金额

          账龄

                    金      额                   金       额                   金      额

          合 计      2,028,044,238.60                -1,197,816.52           2,026,846,422.08

          项目         更正前金额                     更正金额                     更正后金额

     增值税              18,842,603.49                  -63,642.39                18,778,961.10

     企业所得税            19,369,375.25                                            19,369,375.25

     个人所得税                636,593.27                                              636,593.27

     城市维护建设税              623,013.76                                              623,013.76

     房产税                1,245,840.60                                            1,245,840.60

     土地使用税                719,153.48                                              719,153.48

     教育费附加                241,991.99                                              241,991.99

     地方水利建设基金               9,637.98                                                9,637.98

     其他                   398,625.45                                              398,625.45

          合    计      42,086,835.27                  -63,642.39                42,023,192.88

              项目        更正前金额                  更正金额                     更正后金额

     待转销项税额             48,036,683.94               -407,686.45                47,628,997.49

     商业承兑汇票贴现款             968,000.00                                             968,000.00

     应付利息               32,363,754.63                                          32,363,754.63

              合计        81,368,438.57               -407,686.45                80,960,752.12

                             更正前金额                         更正金额                       更正后金额

         项目

                        本期              上期             本期          上期             本期              上期

调整前上期末未分配利润

调整期初未分配利润合计数(调增    -677,326,95     -390,927,49      -6,609,051                 -670,717,90     -390,927,4

+,调减-)                     1.98           5.55             .78                         0.20        95.55

调整后期初未分配利润

                             .39         12.48             .78                          .61       612.48

加:本期归属于母公司所有者的净    -367,126,01     42,486,910.                                 -366,807,07     42,486,910

利润                         3.73               11                                       8.25          .11

减:应付普通股股利

期末未分配利润                                                             0.00

                             .08             .39           .30                          .78         6.39

                           更正前金额                                更正金额                       更正后金额

     项目

                 本期发生额                 上期发生额             本期发生额         上期发生额      本期发生额            上期发生额

职工薪酬            92,931,832.78          95,551,652.26                             92,931,832.78    95,551,652.26

折旧及摊销           33,579,082.47          30,871,142.02     -318,935.48             33,260,146.99    30,871,142.02

办公及差旅费          28,246,347.35          17,743,701.60                             28,246,347.35    17,743,701.60

咨询及服务费          14,865,962.32          16,287,114.85                             14,865,962.32    16,287,114.85

业务招待费            8,242,723.00           8,235,505.97                              8,242,723.00     8,235,505.97

养护费              4,427,291.18           4,043,811.73                              4,427,291.18     4,043,811.73

维修费              2,883,988.81           3,503,385.03                              2,883,988.81     3,503,385.03

其他               2,573,501.12           2,864,910.36                              2,573,501.12     2,864,910.36

 合        计                           179,101,223.82     -318,935.48      0.00   187,431,793.55   179,101,223.82

                        更正前金额                                  更正金额                        更正后金额

     项目

                本期发生额                上期发生额             本期发生额           上期发生额       本期发生额            上期发生额

其他应收款坏

              -20,608,297.60        4,065,144.40                                 -20,608,297.60    4,065,144.40

账损失

应收账款坏

              -39,462,256.56       -31,640,403.42      5,095,836.65              -34,366,419.91   -31,640,403.42

账损失

应收票据坏账

准备

预付账款减值

                  -1,134.90                                                          -1,134.90

准备

     合计       -59,147,028.69       -30,011,378.52      5,095,836.65       0.00   -54,051,192.04   -30,011,378.52

                                  更正前金额                                         更正金额                                           更正后金额

                                                计入当期非经                                                                                        计入当期非经

        项目                                                                      上期发     计入当期非经常

                 本期发生额           上期发生额          常性损益的金           本期发生额                                        本期发生额            上期发生额          常性损益的金

                                                                                生额          性损益的金额

                                                     额                                                                                           额

  政府补助               3,218.07       98,360.91       3,218.07                                                     3,218.07        98,360.91       3,218.07

  罚款收入             902,511.50     486,137.02       902,511.50                                                   902,511.50     486,137.02       902,511.50

  税收返还                              7,892.14             0.00                                                                    7,892.14              0.00

  其他             1,378,043.66     280,638.55     1,378,043.66                                                 1,378,043.66     280,638.55     1,378,043.66

  质量索赔及违约金         248,395.65      97,809.52       248,395.65                                                   248,395.65      97,809.52       248,395.65

  非流动资产处置利得          1,094.36       7,766.99        1,094.36                                                     1,094.36        7,766.99        1,094.36

  债务重组利得            15,227.20                      15,227.20                                                    15,227.20                       15,227.20

  核销无需支付的款项      9,860,742.95                    9,860,742.95   -6,582,548.86               -6,582,548.86     3,278,194.09                    3,278,194.09

        合计      12,409,233.39     978,605.13    12,409,233.39   -6,582,548.86    0.00       -6,582,548.86     5,826,684.53     978,605.13     5,826,684.53

                                 更正前金额                                          更正金额                                            更正后金额

                                                计入当期非经                                        计入当期非经                                          计入当期非经

       项目                                                                       上期发生

              本期发生额             上期发生额           常性损益的金           本期发生额                        常性损益的金             本期发生额          上期发生额         常性损益的金

                                                                                  额

                                                     额                                             额                                               额

 对外捐赠         1,367,961.39      1,747,778.00    1,367,961.39                                                    1,367,961.39   1,747,778.00    1,367,961.39

 非流动资产报废损失      176,470.90        192,412.98      176,470.90                                                      176,470.90     192,412.98      176,470.90

 流动资产报废损失     1,364,454.85                      1,364,454.85                                                    1,364,454.85                   1,364,454.85

 非流动资产盘亏损失                        772,215.83                                                                                     772,215.83

 其他           1,571,459.80        288,904.77    1,571,459.80    -1,486,712.21                 -1,486,712.21        84,747.59     288,904.77       84,747.59

 违约赔偿及罚款支出    1,394,430.48                      1,394,430.48                                                    1,394,430.48                   1,394,430.48

 非流动资产处置损失       2,978.76                           2,978.76                                                        2,978.76                       2,978.76

       合计     5,877,756.18      3,001,311.58    5,877,756.18    -1,486,712.21        0.00     -1,486,712.21     4,391,043.97   3,001,311.58    4,391,043.97

(二)对 2022 年半年度合并报表的影响

(1)对合并资产负债表的影响

                                              期初余额

项 目                       更正前金额               更正金额              更正后金额

预付款项                       68,015,544.51     -1,669,145.36       66,346,399.15

其他流动资产                    139,808,264.31       -708,745.50      139,099,518.81

固定资产                    1,189,306,626.51     -5,581,370.80    1,183,725,255.71

         资产总计          10,257,898,473.48     -7,959,261.66   10,249,939,211.82

应付账款                    2,028,044,238.60     -1,197,816.52    2,026,846,422.08

应交税费                       42,086,835.27        -63,642.39       42,023,192.88

其他流动负债                     81,368,438.57       -407,686.45       80,960,752.12

         负债合计           7,807,904,577.95     -1,669,145.36    7,806,235,432.59

未分配利润                     366,506,333.08     -6,290,116.30      360,216,216.78

所有者权益(或股东权益)合计          2,449,993,895.53     -6,290,116.30    2,443,703,779.23

负债和所有者权益(或股东权益)总计      10,257,898,473.48     -7,959,261.66   10,249,939,211.82

                                              期末余额

项 目                   更正前金额                更正金额              更正后金额

预付款项                       45,217,110.96     -1,669,145.36       43,547,965.60

其他流动资产                    140,018,971.44       -708,745.50      139,310,225.94

固定资产                    1,151,832,069.24     -5,421,903.06    1,146,410,166.18

         资产总计          10,024,039,209.68    -7,799,793.92    10,016,239,415.76

应付账款                    1,843,443,611.50     -1,197,816.52    1,842,245,794.98

应交税费                       30,401,752.67        -63,642.39       30,338,110.28

其他流动负债                    119,787,440.41       -407,686.45      119,379,753.96

         负债合计           7,819,468,022.99    -1,669,145.36     7,817,798,877.63

未分配利润                     105,578,337.52     -6,130,648.56       99,447,688.96

所有者权益(或股东权益)合计          2,204,571,186.69    -6,130,648.56     2,198,440,538.13

负债和所有者权益(或股东权益)总计      10,024,039,209.68    -7,799,793.92    10,016,239,415.76

(2)对合并利润表的影响

       项 目       更正前金额                     更正金额              更正后金额

管理费用                84,801,525.29           -159,467.74        84,642,057.55

       利润总额      -258,415,535.73            159,467.74       -258,256,067.99

(3)对附注的影响

(1) 预付款项按账龄列示

                                  更正前金额                                      更正金额                                      更正后金额

                    期末余额                         期初余额                期末余额             期初余额                 期末余额                        期初余额

   账龄

           金额                 比例          金额              比例       金额               金额              金额              比例        金额                比例

   合 计     45,217,110.96                  68,015,544.51            -1,669,145.36    -1,669,145.36   43,547,965.60             66,346,399.15

                                   更正前金额                                      更正金额                                           更正后金额

      项目

                       期末余额                     期初余额                期末余额                  期初余额                  期末余额                    期初余额

 待抵扣进项税额               57,393,219.87            68,090,686.61         -708,745.50           -708,745.50         56,684,474.37            67,381,941.11

 留抵税额                  67,927,251.86            61,857,043.24                                                   67,927,251.86            61,857,043.24

 预缴税费                        124,841.79          2,275,394.26                                                       124,841.79            2,275,394.26

 其他                    14,573,657.92             7,585,140.20                                                   14,573,657.92             7,585,140.20

    合     计           140,018,971.44           139,808,264.31         -708,745.50           -708,745.50        139,310,225.94           139,099,518.81

                           更正前金额                                     更正金额                                                更正后金额

  项目

                  期末余额                 期初余额               期末余额                    期初余额                    期末余额                     期初余额

 固定资产          1,151,832,069.24     1,189,306,626.51       -5,421,903.06          -5,581,370.80           1,146,410,166.18         1,183,725,255.71

       合计      1,151,832,069.24     1,189,306,626.51       -5,421,903.06          -5,581,370.80           1,146,410,166.18         1,183,725,255.71

(1)固定资产情况

 项目                  更正前金额                                          更正金额                                          更正后金额

                    房屋建筑物              ...       合计                 房屋建筑物             ...         合 计             房屋建筑物            ...     合 计

 一、账面原值:

 ...                                   ...                                            ...                                          ...

 二、累计折旧                                                                                                           0.00                     0.00

       (1)计提        23,818,120.39      ...       47,419,301.76      -159,467.74       ...         -159,467.74     23,658,652.65    ...     47,259,834.02

 ...

 三、减值准备

 ...                                   ...                                            ...                                          ...

 四、账面价值                                                                                                                                    0.00

               (1) 应付账款列示

                          更正前金额                                  更正金额                                   更正后金额

    账龄

                 期末余额                 期初余额                期末余额             期初余额               期末余额                期初余额

    合 计       1,843,443,611.50   2,028,044,238.60      -1,197,816.52     -1,197,816.52   1,842,245,794.98      2,026,846,422.08

                                 更正前金额                                 更正金额                              更正后金额

      项目

                       期末余额              期初余额              期末余额              期初余额                期末余额              期初余额

增值税                 22,979,071.41      18,842,603.49        -63,642.39          -63,642.39     22,915,429.02     18,778,961.10

企业所得税                4,100,059.91      19,369,375.25                                            4,100,059.91     19,369,375.25

个人所得税                  264,202.45         636,593.27                                              264,202.45         636,593.27

城市维护建设税                780,662.63         623,013.76                                              780,662.63         623,013.76

房产税                  1,175,605.51       1,245,840.60                                            1,175,605.51      1,245,840.60

土地使用税                  427,327.83         719,153.48                                              427,327.83         719,153.48

教育费附加                  311,739.29         241,991.99                                              311,739.29         241,991.99

地方水利建设基金                11,317.84          9,637.98                                                11,317.84          9,637.98

其他                     351,765.80         398,625.45                                              351,765.80         398,625.45

     合    计         30,401,752.67      42,086,835.27        -63,642.39          -63,642.39     30,338,110.28     42,023,192.88

                                  更正前金额                                更正金额                              更正后金额

         项目

                         期末余额              期初余额             期末余额             期初余额                期末余额              期初余额

待转销项税额                 52,071,792.13     48,036,683.94     -407,686.45        -407,686.45      51,664,105.68     47,628,997.49

商业承兑汇票贴现款                 968,000.00        968,000.00                                            968,000.00         968,000.00

应付利息                   66,747,648.28     32,363,754.63                                         66,747,648.28     32,363,754.63

         合计           119,787,440.41     81,368,438.57     -407,686.45        -407,686.45     119,379,753.96     80,960,752.12

                                       更正前金额                             更正金额                           更正后金额

         项目

                                 本期                  上期                本期           上期             本期                 上期

调整前上期末未分配利

调整期初未分配利润合

                                                                -6,290,116.30                  -6,290,116.30

计数(调增+,调减-)

调整后期初未分配利润                366,506,333.08      742,283,836.39    -6,290,116.30                 360,216,216.78     742,283,836.39

加:本期归属于母公司

                         -260,927,995.56      -53,330,739.54       159,467.74                -260,768,527.82     -53,330,739.54

所有者的净利润

减:应付普通股股利                                       6,310,087.50                                            0.00      6,310,087.50

期末未分配利润                   105,578,337.52      682,643,009.35    -6,130,648.56        0.00      99,447,688.96     682,643,009.35

                    更正前金额                          更正金额                      更正后金额

  项目

           本期发生额           上期发生额           本期发生额         上期发生额      本期发生额           上期发生额

职工薪酬       43,385,633.24   44,603,502.90                            43,385,633.24   44,603,502.90

折旧及摊销      20,008,537.59   16,250,122.07   -159,467.74              19,849,069.85   16,250,122.07

办公及差旅费      3,659,456.27    5,342,288.01                             3,659,456.27    5,342,288.01

业务招待费       3,784,525.44    3,033,280.44                             3,784,525.44    3,033,280.44

咨询及服务费      6,942,391.47    7,258,258.39                             6,942,391.47    7,258,258.39

其他费用        4,602,977.92    4,736,305.52                             4,602,977.92    4,736,305.52

绿化苗木养护费     1,630,159.42    2,000,543.26                             1,630,159.42    2,000,543.26

维修费用          787,843.94    1,491,076.34                               787,843.94    1,491,076.34

  合计       84,801,525.29   84,715,376.93   -159,467.74       0.00   84,642,057.55   84,715,376.93

         上述前期会计差错更正事项对 2021 年度、2022 年 1-6 月的合并现金流量表无影响。

         三、会计师事务所就更正事项出具专项说明

         永拓会计师事务所(特殊普通合伙)对本次前期差错更正及追溯调整事项出具了专

   项说明。具体内容详见公司同日在巨潮资讯网(http://www.cninfo.com.cn)披露的《关

   于山东美晨生态环境股份有限公司前期会计差错更正情况的鉴证报告》(永证专字

   (2023)第 310172 号)。

         四、公司董事会、监事会、独立董事关于前期会计差错更正的意见

         董事会认为,公司本次对前期会计差错更正符合《企业会计准则第 28 号——会计

   政策、会计估计变更和差错更正》和《公开发行证券的公司信息披露编报规则第 19 号

   ——财务信息的更正及相关披露》等相关规定,更正后的财务数据及财务报表能够更加

   客观、准确、真实地反映公司财务状况、经营成果,公司本次前期会计差错更正是必要

   的、合理的。因此,董事会同意本次会计差错更正事项。

         监事会认为,公司本次对前期会计差错更正符合《企业会计准则第 28 号——会计

   政策、会计估计变更和差错更正》和《公开发行证券的公司信息披露编报规则第 19 号

   ——财务信息的更正及相关披露》等相关规定,上述事项的审议和表决程序,符合相关

   法律、法规以及《公司章程》等有关规定,不存在损害公司及全体股东利益的情形。监

   事会一致同意公司此次对前期会计差错更正的事项。

  独立董事认为,公司本次会计差错更正符合《企业会计准则第 28 号——会计政策、

会计估计变更和差错更正》《公开发行证券的公司信息披露编报规则第 19 号——财务

信息的更正及相关披露》的相关规定,更正后的财务数据及财务报表能够更加客观、准

确、真实地反映公司财务状况和经营成果。公司本次前期会计差错更正的决策程序符合

法律、法规和《公司章程》等相关规定,不存在损害公司及股东利益的情形。因此,独

立董事一致同意本次前期会计差错更正及追溯调整事项。

  五、备查文件

  特此公告。

                         山东美晨生态环境股份有限公司

                                董事会

查看原文公告

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2023-04-21 18:38:36

宁德时代:新技术及产品近期密集落地,凝聚态电池车规级应用版本可在今年内具备量产能力-天天新视野

​宁德时代4月21日披露投资者关系活动记录表显示,公司新技术及产品近期密集落地,其中包括极氪009和001搭载

2023-04-21 18:24:47

被拐26年女子向人贩子索赔790万元:害我失去双亲

​杨妞妞说:“主要是我父母的死亡赔偿金,我和亲人失散多年的赔偿金、我多年寻亲的费用以及精神抚慰金。我知

2023-04-21 17:23:05

世界短讯!江苏省气象台发布海上大雾黄色预警【Ⅲ级/较重】【2023-04-19】

​江苏省气象台发布海上大雾黄色预警【Ⅲ级 较重】【2023-04-19】

2023-04-21 17:22:05

郑钦文出局!连输两盘完败于世界第一斯瓦泰克,职业生涯已三连败

​本场比赛的胜利,同样是具有突破性,郑钦文也是继李娜之后,第二位在斯图加特站中收获正赛首胜的中国金花。

2023-04-21 17:36:13

跌停!跌停!多股濒临退市_环球新视野

​中国基金报江右  全面注册制时代,投资者更要理性投资、价值投资、长期投资,过去的炒小炒差炒新,风险不

2023-04-21 17:27:44

五一假期热门旅游城市出炉!你去哪里? 环球今亮点

​出境游机票搜索热度超疫情前出境游方面,机票价格在“五一”假期持续下降,而酒店价格则涨幅明显

2023-04-21 15:47:36

天天讯息:动车是不是高铁_两者有什么区别

​高铁(high-speedrail)主要指最高运营速度大于(200,250,300因标准不同而不同)的铁路,主要是铁路

2023-04-21 15:06:11

河北省保定市“四色”精品旅游线路推介活动在津举办

​4月18日,河北省保定市在天津举办“四色”精品旅游线路推介活动。天津市文化和旅游局二级巡视员唐海波、河

2023-04-21 14:47:12

约旦副首相兼外交大臣与伊朗外长通电话

​萨法迪表示,与所有阿拉伯国家一样,约旦希望在睦邻友好、不干涉内政和合作原则的基础上与伊朗建立良好关系

2023-04-21 14:40:37

“云座谈”助力“走出去”企业行稳致远

​今年4月是第32个全国税收宣传月,近日,天津经开区税务局开展“春风送暖‘走出去’税收助力跨国门”为主题

2023-04-21 14:51:45

沉浸式史诗剧《红岩红》内测试运营

​4月19日,重庆市歌乐山麓、渣滓洞景区门口,来自全国各地的游客来到这里缅怀革命先烈,感悟红岩精神。其中

2023-04-21 14:48:42

襄阳市获批创建国家级车联网先导区 以应用推动产业生态集聚

​襄阳市获批创建国家级车联网先导区以应用推动产业生态集聚

2023-04-21 14:30:19

环己酮-15冠-5_关于环己酮-15冠-5介绍 天天热点评

​环己酮-15冠-5,关于环己酮-15冠-5介绍这个很多人还不知道,我们一起来看看!1、环己酮-15冠-5是一种化学物

2023-04-21 14:31:35

环球看点!清香型白酒适合长时间储藏吗,先看看这篇小哥,学一下正确方法!

​。但是,即使是清香型白酒,在储藏上也有技巧。总而言之,储藏清香型白酒需要注意避免高温和潮湿,保持干燥

2023-04-21 13:12:31

贝莱德副董事长:美国债务违约将撼动全球金融体系的“基准锚” 今热点

​App4月21日消息,贝莱德副董事长PhilippHildebrand周四在于都柏林附近举办的BloombergNewEconomyGatewayEur

2023-04-21 13:06:06

豆皮_豆皮寿司

​今天小编肥嘟来为大家解答以上的问题。豆皮,豆皮寿司相信很多小伙伴还不知道,现在让我们一起来看看吧!1、

2023-04-21 12:35:58

揭阳惠来:室外观摩+室内讲座,全力推进荔枝高质量发展

​文、图 羊城晚报全媒体记者张晓宜通讯员蔡永刚张舒婷为了让农技人员和荔枝种植大户掌握荔枝换种的要诀,4月

2023-04-21 12:07:18

竟有这种好事?荷兰惊现负电价:用电反而能赚钱

​财联社4月20日讯(编辑马兰)去年,欧洲电力系统因俄乌冲突饱受惊吓,各国电价屡屡突破历史高点,停电声层

2023-04-21 11:59:02

广州海关查获5000张境外电话卡 天天简讯

​近日,广州海关在广州白云机场空港口岸进境寄递渠道查获5000张境外电话卡。目前,已作进一步处理。广州海关

2023-04-21 11:56:23

高中社会实践报告范文 高中生社会实践报告_环球热资讯

​今天来聊聊关于高中社会实践报告范文,高中生社会实践报告的文章,现在就为大家来简单介绍下高中社会实践报

2023-04-21 11:12:17