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晋亿实业股份有限公司 2025年年度业绩预告
Core Viewpoint - The company, Jinyi Industrial Co., Ltd., forecasts a significant increase in net profit for the year 2025, with expectations of a net profit ranging from 210 million to 260 million yuan, representing a year-on-year increase of 61% to 100% [2][4]. Group 1: Performance Forecast - The company anticipates a net profit attributable to shareholders of 210 million to 260 million yuan for the year 2025, an increase of 79.86 million to 129.86 million yuan compared to the previous year [2][4]. - The expected net profit, excluding non-recurring gains and losses, is projected to be between 200 million and 250 million yuan, reflecting an increase of 69.08 million to 119.08 million yuan year-on-year [2][4]. Group 2: Previous Year’s Performance - In the previous year, the total profit was 198.27 million yuan, with a net profit attributable to shareholders of 130.14 million yuan and a net profit excluding non-recurring gains and losses of 130.92 million yuan [6]. Group 3: Reasons for Performance Increase - The increase in performance is attributed to winning contracts for high-speed rail line supply, an increase in sales of railway fastening products, and a decrease in inventory costs, leading to a growth in main business profits [8]. - The company has also been optimizing production operations and product structure, contributing to cost reduction and efficiency improvements [8].
证券代码:600789 证券简称:鲁抗医药 公告编号:2026-005
Core Viewpoint - The company anticipates a significant decline in net profit for the fiscal year 2025, projecting a decrease of 63.26% to 72.13% compared to the previous year, primarily due to non-recurring gains and market pressures [2][4]. Group 1: Performance Forecast - The performance forecast applies to a scenario where the company achieves profitability but experiences a net profit decline of over 50% compared to the same period last year [2]. - For the fiscal year 2025, the company expects a net profit attributable to shareholders of the parent company to be between 110 million and 145 million yuan, representing a year-on-year decrease of 24.962 million to 28.462 million yuan [4]. - The forecasted net profit, excluding non-recurring gains and losses, is expected to be between 80 million and 118 million yuan, reflecting a year-on-year decrease of 9.058 million to 12.858 million yuan [4]. Group 2: Previous Year’s Performance and Financial Status - In the previous year, the total profit was 433.9014 million yuan, with a net profit attributable to shareholders of the parent company at 394.6157 million yuan [6]. - The net profit attributable to shareholders, excluding non-recurring gains and losses, was 208.5835 million yuan, with earnings per share at 0.44 yuan [6]. Group 3: Reasons for Performance Decline - The decline in performance is primarily attributed to the impact of non-recurring gains from the previous year, where significant asset disposal gains were realized due to the completion of land transfer procedures [6]. - Market factors such as reduced product demand, intense industry competition, and price reductions from national procurement policies have pressured overall industry profits, leading to a decline in revenue and gross profit for the company [6]. - Strategic investments in high-quality development and increased R&D expenditures for innovative drugs and high-end formulations have also contributed to short-term cost pressures affecting profits [6].
重庆建工集团股份有限公司 关于第二大股东国有股权无偿划转过户完成的公告
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、准确性和完整性承担个别及连带责任。 注:上表中"持股比例"涉及的"总股本"为公司近期公告的公司可转债到期兑付后的相关数据。 三、其他说明 本次股东权益变动系国有股权无偿划转,不涉及要约收购,本次国有股权无偿划转事项不会导致公司控 股股东及实际控制人的情况发生变化,不会对公司日常经营活动产生不利影响,亦不存在损害公司及其 他股东利益,特别是中小股东利益的情形。 特此公告。 一、本次国有股权无偿划转前期基本情况 重庆建工集团股份有限公司(以下简称"公司")于2025年12月2日收到公司第二大股东重庆高速公路集 团有限公司(以下简称"重庆高速集团")书面函告,重庆高速集团分别与重庆市城市建设投资(集团) 有限公司(以下简称"重庆城投集团")签订《重庆建工约1.52亿股股份无偿划转协议》,与重庆市地产 集团有限公司(以下简称"重庆地产集团")签订《无偿划转协议》,拟将其直接持有的公司152,144,548 股股份无偿划转至重庆城投集团,将其直接持有的公司94,139,439股股份无偿划转至重庆地产集团。重 庆市国有资 ...
华工科技产业股份有限公司 关于为全资子公司新增担保额度的公告
Group 1 - The company has proposed to hire Fuhui Mazhe Accounting Firm as the auditing institution for its H-share issuance and listing in Hong Kong [3][4][5] - The decision to hire the auditing firm was approved during the 21st meeting of the 9th Board of Directors held on January 27, 2026, and will be submitted for shareholder approval [3][8] - Fuhui Mazhe has been providing auditing services for over 70 companies listed on the Hong Kong Stock Exchange and has a good reputation with no significant legal issues in the past three years [5][6][7] Group 2 - The company has approved the establishment of a bill pool business to manage and utilize its bills more effectively, which includes services like bill custody, financing, and discounting [10][11] - The bill pool will allow the company and its subsidiaries to share a total limit of up to 2 billion RMB, with the ability to roll over the collateralized amounts [15][16] - The purpose of the bill pool business is to reduce management costs, optimize financial structure, and improve the efficiency of fund utilization [17][19][20] Group 3 - The company plans to increase the bank financing guarantee limit for its wholly-owned subsidiary, Wuhan Huagong International Development Co., Ltd., by 500 million RMB, pending shareholder approval [26][28] - This new guarantee limit is part of a broader strategy to support the subsidiary's operational needs and is expected to be effective for 12 months after shareholder approval [28][29] - The total amount of guarantees provided by the company has exceeded 30% of its audited total assets, necessitating special resolutions for approval [28][35] Group 4 - The company has scheduled its first extraordinary general meeting of 2026 for February 12, 2026, to discuss various proposals, including the hiring of the auditing firm and the bill pool business [37][39] - The meeting will allow both on-site and online voting, ensuring participation from shareholders [40][41] - Specific proposals requiring special resolutions will need to be approved by at least two-thirds of the voting rights present at the meeting [47]
深圳市京基智农时代股份有限公司 关于取得金融机构股票 回购专项贷款承诺函的公告
登录新浪财经APP 搜索【信披】查看更多考评等级 证券代码:000048 证券简称:京基智农 公告编号:2026-012 公司实际使用回购专项贷款金额与用于回购的自有资金金额合计不超过本次回购股份金额的上限,具体 贷款事宜以双方签订的贷款合同为准。本次股票回购专项贷款额度不代表公司对回购金额的承诺,具体 回购资金总额以回购期限届满或回购实施完成时实际回购使用的资金总额为准。 深圳市京基智农时代股份有限公司 关于取得金融机构股票 回购专项贷款承诺函的公告 本公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有虚假记载、误导性陈述或重大遗 漏。 一、回购方案的基本情况 深圳市京基智农时代股份有限公司(以下简称"公司")于2025年12月5日召开第十一届董事会第十二次 临时会议,审议通过了《关于回购公司股份方案的议案》。公司拟使用自有资金和/或自筹资金通过深 圳证券交易所系统以集中竞价交易方式回购部分公司股份,用于实施股权激励或员工持股计划,本次拟 回购股份的资金总额不低于人民币10,000万元且不超过人民币20,000万元,回购股份的实施期限为自公 司董事会审议通过本次回购股份方案之日起不超过6个月。具体 ...
京蓝科技股份有限公司 关于公司股票交易异常波动情况的公告
登录新浪财经APP 搜索【信披】查看更多考评等级 本公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有虚假记载、误导性陈述或重大遗 漏。 一、股票交易异常波动的情况介绍 京蓝科技股份有限公司(以下简称"公司")股票交易于2026年1月23日、2026年1月26日、2026年1月27 日连续3个交易日收盘价格涨幅偏离值累计超过12.32%,根据深圳证券交易所的有关规定,属于股票交 易异常波动情形。 二、公司关注并核实的相关情况 针对公司股票交易异常波动,公司董事会对公司、实际控制人就有关事项进行核查,现将有关情况说明 如下: 1、近期公司经营情况及内外部经营环境未发生重大变化; 2、公司前期披露的信息截至本公告提交披露时不存在需要补充、更正之处; 3、公司未发现近期公共媒体报道了可能或已经对本公司股票交易价格产生较大影响的未公开重大信 息; 4、公司及控股股东、实际控制人不存在关于公司的应披露而未披露的重大事项,也不存在处于筹划阶 段的重大事项; 6、公司不存在违反公平信息披露规定的情形。 三、是否存在应披露而未披露信息的说明 公司董事会确认,公司目前没有根据《深圳证券交易所股票上市规则》(2025年 ...
中节能太阳能股份有限公司 关于2025年度装机容量及发电量完成情况的公告
登录新浪财经APP 搜索【信披】查看更多考评等级 证券代码:000591 证券简称:太阳能 公告编号:2026-07 债券代码:127108 债券简称:太能转债 债券代码:149812 债券简称:22太阳G1 债券代码:148296 债券简称:23太阳GK02 中节能太阳能股份有限公司 关于2025年度装机容量及发电量完成情况的公告 2025年1月1日至2025年12月31日,公司累计完成发电量83.71亿千瓦时,同比增加20.17%。 上述数据为公司内部初步统计结果,可能与公司后期披露的定期报告存在差异,最终以公司披露的定期 报告为准,提醒投资者不宜以此数据简单推算公司业绩,并注意投资风险。 特此公告。 中节能太阳能股份有限公司 董 事 会 本公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有虚假记载、误导性陈述或重大遗 漏。 为便于广大投资者了解公司运营情况,现将中节能太阳能股份有限公司(以下简称公司)2025年度装机 容量及发电量完成情况公告如下: 一、公司装机容量情况 经初步统计,2025年1月1日至2025年12月31日,公司新增运营、开工、取得备案的项目容量,及占2024 年度总装机容量 ...
金融街控股股份有限公司2026年度第一期中期票据发行情况公告
Core Viewpoint - Financial Street Holdings Co., Ltd. announced the issuance of its first phase of medium-term notes for 2026, confirming the authenticity and completeness of the information disclosed [1]. Group 1: Issuance Details - The company issued the medium-term notes 26 Financial Street MTN001 on January 23, 2026 [1]. - The company did not directly subscribe or fund the issuance but indicated that it was indirectly involved through related institutions and asset management products [1]. Group 2: Participation and Compliance - The board members, senior management, shareholders with over 5% ownership, and other related parties did not participate in the subscription of this debt financing tool [1]. - The company confirmed that it was not aware of any related parties indirectly participating in the subscription through asset management products [1].
辽宁和展能源集团股份有限公司第 十二届董事会第十九次会议决议公告
Group 1 - The company held its 19th meeting of the 12th Board of Directors on January 27, 2026, to discuss various proposals, including the expected guarantee limits for 2026 [2][3][30] - The company plans to provide a total guarantee amount not exceeding 524,840.00 million yuan for its subsidiaries in 2026, with specific allocations based on their debt ratios [3][30][41] - The guarantee limits include 305,640.00 million yuan for subsidiaries with a debt ratio above 70% and 219,200.00 million yuan for those below 70% [3][30][41] Group 2 - The company proposed to revise its "Special Business Incentive Management System" to enhance investment decision-making and competitiveness [6][7] - The proposal for the revision has been approved by the Board's Compensation and Assessment Committee and will be submitted for shareholder approval [6][7] Group 3 - The company plans to hold its first extraordinary general meeting of 2026 on February 12, 2026, to discuss the approved proposals [9][12] - The meeting will be conducted both in-person and via online voting, with specific timeframes for each [14][15][27] Group 4 - The company has provided details about its subsidiaries, including their establishment dates, registered capital, and main business activities, to support the guarantee proposal [35][36][37][38][39] - The company emphasizes that the guarantees are primarily for operational needs and will not adversely affect its normal operations or shareholder interests [40][41]
超讯通信股份有限公司 关于公司及全资子公司涉及诉讼的公告
登录新浪财经APP 搜索【信披】查看更多考评等级 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、准确性和完整性承担个别及连带责任。 重要内容提示: ● 案件所处的诉讼阶段:法院已受理,尚未开庭审理 ● 公司及子公司所处的当事人地位:被告 (一)诉讼各方当事人 原告:济宁高新宁华大数据有限公司 (二)审理机构:济宁市中级人民法院 二、诉讼的案件事实及请求 (一)诉讼理由 2023年12月,超讯设备与济宁高新宁华大数据有限公司(以下简称"济宁宁华")签订《销售合同》,约 定济宁宁华向超讯设备采购英伟达H800 GPU模组,含税价款4.72亿元;合同签订后,济宁宁华向超讯 设备支付2.36亿元预付款。截至本诉讼提起之日,超讯设备累计向济宁宁华交付英伟达H800 GPU模组 等货物对应预付款61,590,450元。因双方目前在合同执行上存在分歧,济宁宁华就尚未供货部分的预付 款174,359,550元及相应违约金向法院提起诉讼,同时,因公司为超讯设备单一股东,其要求公司对超讯 设备的债务承担连带责任。 (二)诉讼请求 ● 涉案的金额:2.22亿元 ● 是否会对上 ...