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东财基金管理有限公司关于旗下部分基金基金 产品资料概要更新提示性公告
Group 1 - The announcement details the update of product information for several exchange-traded funds (ETFs) managed by Dongcai Fund Management Co., including those focused on new energy vehicles, innovative pharmaceuticals, and the semiconductor industry [1][2] - The change in the trading abbreviations for certain ETFs on the Shenzhen Stock Exchange will take effect on December 22, 2025, while other details such as fund codes and names will remain unchanged [2] - The management assures that the abbreviation change will not adversely affect the interests of fund shareholders and does not require a shareholder meeting [2] Group 2 - Investors are encouraged to review the updated legal documents and information available on the company's website and the China Securities Regulatory Commission's electronic disclosure site [1][2] - The fund management commits to managing and utilizing fund assets with honesty and diligence but does not guarantee profits or minimum returns [1][2]
宇环数控机床股份有限公司 关于2023年限制性股票激励计划第二个解除限售期解除 限售股份上市流通的提示性公告
Core Viewpoint - The company has successfully achieved the conditions for the second unlock period of its 2023 restricted stock incentive plan, allowing 128 eligible participants to unlock a total of 1,018,500 shares, which represents 0.65% of the company's total share capital of 156,698,000 shares [2][6]. Group 1: Incentive Plan Details - The second unlock period for the restricted stock is set to expire on December 6, 2025, with the listing date for the restricted stock being December 7, 2023 [6][7]. - The company granted a total of 3,640,000 shares to 142 participants under the 2023 restricted stock incentive plan, with 14 participants disqualified due to resignation, resulting in a net grant of 3,395,000 shares [8][9]. Group 2: Approval Process - The approval process for the incentive plan included multiple board meetings and shareholder meetings, with independent opinions provided by the board and supervisory committee [3][4][5]. - The company completed the registration of the granted restricted stock on December 4, 2023, with a grant price of 10.34 yuan per share [5][6]. Group 3: Stock Buyback and Cancellation - The company has conducted stock buybacks and cancellations for previously granted but unvested restricted stocks, including 70,000 shares for 7 resigned participants in November 2024 and 87,000 shares for 6 resigned participants in December 2025 [4][5][8]. - The buyback and cancellation processes were completed in accordance with the relevant regulations and were disclosed to stakeholders [4][5]. Group 4: Management Restrictions - Senior management members, including Yi Xin and Ling Jianjun, will have their unlocked shares subject to lock-up and transfer restrictions as per relevant laws and regulations [9].
广东宏大控股集团股份有限公司关于2023年限制性股票 激励计划第一个解除限售期解除限售股份上市流通的提示性公告
Core Viewpoint - The company has approved the first unlock period of its 2023 restricted stock incentive plan, allowing 326 eligible participants to unlock a total of 4,428,745 shares, which represents 0.5827% of the company's total share capital, effective December 25, 2025 [2][3][8]. Group 1: Incentive Plan Implementation - The company held its sixth board meeting on December 5, 2025, where it approved the achievement of conditions for the first unlock period of the 2023 restricted stock incentive plan [3][10]. - The first unlock period for the restricted stock will expire on December 24, 2025, with the shares granted on November 30, 2023, and listed on December 25, 2023 [7][8]. - The total number of eligible participants for the unlock is 326, with 4,428,745 shares available for unlocking [2][8]. Group 2: Adjustments and Approvals - The company received approval from the Guangdong Provincial Government's State-owned Assets Supervision and Administration Commission for the 2023 restricted stock incentive plan on September 27, 2023 [4]. - The number of incentive participants was adjusted from 407 to 331, and the total shares granted were reduced from 14,795,176 to 12,133,923 [5]. - The company announced the public disclosure of the incentive object list on November 1, 2023, and held a shareholder meeting on November 7, 2023, to approve the revised incentive plan [4][5]. Group 3: Unlock Conditions and Compliance - The unlock conditions for the restricted stock are based on the performance assessment of the individual and their respective business unit [7][8]. - The board's remuneration and assessment committee confirmed that the eligible participants meet the conditions for unlocking as per the incentive plan's management measures [11]. - Legal opinions confirm that the unlock conditions have been met and necessary approvals obtained, ensuring compliance with relevant laws and regulations [12][13].
证券代码:002892 证券简称:科力尔 公告编号:2025-117
Group 1 - The company’s wholly-owned subsidiary, Shenzhen Pengrui Investment Development Co., Ltd., signed a strategic cooperation agreement with Shenzhen Ruiye Digital Private Equity Fund Management Co., Ltd. to establish a private equity fund platform focused on the motor-related industry [1] - The agreement was terminated due to changes in the conditions for establishing the partnership fund, influenced by market environment changes and adjustments in the actual situation of both parties [1][2] - The termination was a mutual decision made through friendly negotiations, and neither party is liable for compensation or other legal responsibilities [2] Group 2 - As of the announcement date, no formal cooperation agreements or legally binding documents had been signed, and no actual capital contributions were made [2] - The proposed partnership fund has not been established, and there has been no substantial progress [2] - The termination of the agreement will not have a significant impact on the company's daily operations or financial status, nor will it harm the interests of the company and its shareholders [2]
三湘印象股份有限公司 股票交易异常波动公告
Group 1 - The company's stock price experienced an abnormal fluctuation, with a cumulative increase of over 20% in closing prices on December 18 and 19, 2025 [2] - The company conducted a self-examination and confirmed that there were no corrections or supplements needed for previously disclosed information [3] - The company's current operating conditions are normal, with no significant changes in the internal and external business environment [3] Group 2 - The company and its controlling shareholders did not engage in any trading of the company's stock during the period of abnormal price fluctuation [3] - The board confirmed that there are no undisclosed matters that should have been disclosed according to the Shenzhen Stock Exchange's listing rules [4] - The company emphasizes that all information should be verified through designated media outlets, including China Securities Journal and Shanghai Securities Journal [5]
财通资管鸿福短债债券型证券投资基金暂停大额申购、转换转入、定期定额投资业务公告
Core Viewpoint - The company will adjust the large subscription limits for its fund starting December 22, 2025, across various sales channels, impacting both individual and institutional investors [1][2][3][4][5]. Group 1: Subscription Adjustments - From December 22, 2025, the company will limit large subscriptions for the A-class shares of the fund at specific sales institutions, with a cap of RMB 50 million for certain channels [1]. - For China Postal Savings Bank, the cap for large subscriptions will be set at RMB 100 million starting December 22, 2025 [2]. - At Shanghai Wind Fund Sales Co., the limit for large subscriptions will be RMB 10,000 starting December 22, 2025 [3]. - For subscriptions through Caixin Securities, the limit will be RMB 200 million starting December 24, 2025 [4]. - Large subscription services at various sales institutions will resume on December 23, 2025, with adjusted limits of RMB 10 million for non-individual investors and RMB 100 million for individual investors [5]. Group 2: Resumption of Services - The large subscription services at Caixin Securities will resume on December 26, 2025, with the same adjusted limits as mentioned previously [5]. - During the suspension of these services, redemption and other operations of the fund will continue as normal [5].
深圳市亿道信息股份有限公司 关于使用部分闲置自有资金进行现金管理的进展公告
Core Viewpoint - The company, Shenzhen Yidao Information Co., Ltd., has approved the use of idle self-owned funds for cash management, with a limit of up to RMB 100 million for a period of 12 months starting from November 14, 2025 [1] Group 1: Cash Management Progress - The company has initiated cash management using part of its idle self-owned funds, with details on the status of cash management products yet to be disclosed [2] - The company has subsidiaries involved in this cash management process, including Yidao Digital Technology Co., Ltd. and others [2] Group 2: Decision-Making Process - The decision to use idle self-owned funds for cash management was approved by the company's fourth board of directors and supervisory board meetings, with the sponsor institution providing a non-objection opinion [4] Group 3: Impact on the Company - Utilizing self-owned funds for cash management is expected to enhance the efficiency of fund usage, increase returns, and lower financial costs, all while ensuring that the company's main business operations remain unaffected [9] - As of the announcement date, the company has RMB 51.96 million in cash management products that have not yet matured, which is within the approved limits [9]
中欧基金管理有限公司 关于财达证券股份有限公司旗下2只集合资产管理计划正式变更为中欧基金管理有限公司旗下公募基金的公告
Core Viewpoint - Caida Securities has officially changed the management of two collective asset management plans to China Europe Fund Management Co., Ltd., effective December 22, 2025, following the approval of the holders' meeting on December 8, 2025 [1][3]. Group 1: Product Change Information - The management change includes the alteration of product names, management personnel, and investment strategies, transitioning from "bond-type collective asset management plans" to "bond-type securities investment funds" [1]. - The duration of the products has been changed to "indefinite," and the registration institution has shifted from Caida Securities to China Europe Fund Management [1][6]. - Adjustments have been made to the investment scope, restrictions, strategies, and performance benchmarks, as detailed in the holders' meeting announcements [1]. Group 2: Fund Contract Effectiveness - The new fund contracts will take effect on December 22, 2025, rendering the original asset management contracts invalid [3]. - The management of the newly registered public funds will officially commence on the same date, with all relevant legal documents available on the company's website and the China Securities Regulatory Commission's electronic disclosure site [3][8]. Group 3: Investor Guidance - Investors who do not redeem or transfer their holdings during the redemption period will have their shares automatically converted to the corresponding categories of the new public funds [5]. - Original holders must open accounts with China Europe Fund Management to conduct transactions for the new funds, with guidance available through original sales institutions or the company's customer service [6]. - The accounting firm for the new funds has been changed to Deloitte Huayong [7].
凯瑞德控股股份有限公司关于持股5%以上股东减持股份的预披露公告
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公告内容真实、准确和完整,公告不存在虚假记载、误导性陈述或者重大 遗漏。 特别提示: 持有凯瑞德控股股份有限公司(以下简称"公司")股份34,900,000股(约占公司总股本比例的9.49%)的 大股东湖北农谷实业集团有限责任公司(以下简称"农谷集团")计划在本公告披露之日起的15个交易日 后的3个月内以集中竞价或大宗交易方式减持公司股份合计不超过11,030,400股(占公司总股本比例的 3%)。其中,以集中竞价方式减持不超过3,676,800股(占公司总股本比例的1%),以大宗交易方式减 持不超过7,353,600股(占公司总股本比例的2%)。 一、股东的基本情况 (一)股东名称:湖北农谷实业集团有限责任公司 (二)截至本公告披露之日,湖北农谷实业集团有限责任公司持有公司股份34,900,000股(约占公司总 股本比例的9.49%)。 二、本次减持计划的主要内容 (一)本次减持计划的具体安排 6、减持价格:根据减持时的二级市场价格确定 (二)承诺及履行情况 农谷集团于2021年公司破产重整过程中承诺,其所持有的公司股票34,900 ...
关于申万菱信天添利货币基金变更快速取现业务协议的公告
登录新浪财经APP 搜索【信披】查看更多考评等级 自2025年12月22日起,申万宏源证券资产管理有限公司(以下简称"申万宏源证券资管")旗下申万宏源 天添利货币型集合资产管理计划变更管理人为申万菱信基金管理有限公司(以下简称"基金管理人")并 转型变更为申万菱信天添利货币市场基金(以下简称"本基金")。因管理人变更,原由投资者、申万宏 源证券有限公司(以下简称"申万宏源证券")与申万宏源证券资管签署的《申万宏源天添利货币型集合 资产管理计划快速取现业务协议》(以下简称"原协议")的权利和义务相应发生变更,即快速取现服务 仍由申万宏源证券提供,申万宏源证券资管将原协议项下相关权利和义务转让至基金管理人。原协议将 变更为投资者、申万宏源证券及基金管理人三方签署。新协议主要修订如下: ■ 修改后的快速取现业务协议全文详见本公告附件。 若投资者已签署原协议,若不同意上述对原协议的修订,有权解除快速取现业务协议,即后续不再使用 快速取现服务;若投资者继续使用快速取现服务的,即视为同意并接受修改后的快速取现业务协议。 投资人欲了解详细情况,可以登录本基金管理人网站(www.swsmu.com)或拨打本基金管理人的客户 ...