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奇安信科技集团股份有限公司 关于2025年年度业绩预亏的提示性公告
Core Viewpoint - The company, Qi Anxin Technology Group Co., Ltd., has announced an expected net loss for the fiscal year 2025, indicating a decline in operational performance [1]. Financial Performance - The company anticipates a negative net profit attributable to the parent company's shareholders for the year 2025 [1]. - The specific financial data regarding the expected loss has not yet been audited by a registered accountant and will be confirmed in the official audited annual report [1]. Compliance and Disclosure - The company commits to adhering to the Shanghai Stock Exchange's rules for the Science and Technology Innovation Board and will expedite its financial accounting processes [1]. - The company will fulfill its information disclosure obligations in a timely manner and aims to release the 2025 annual performance forecast within the stipulated timeframe [1].
深圳华侨城股份有限公司 2025年12月主要业务经营情况公告
Group 1: Real Estate Sales - In December 2025, the company achieved a contracted sales area of 135,000 square meters, a year-on-year decrease of 20%, but a month-on-month increase of 56% from November [2] - The contracted sales amount for December 2025 was 1.99 billion yuan, representing a year-on-year decrease of 31% and a month-on-month increase of 66% from November [2] - For the entire year of 2025, the company recorded a cumulative contracted sales area of 1.206 million square meters, down 30% year-on-year, and a total sales amount of 17.73 billion yuan, down 33% year-on-year [2] Group 2: Land Acquisition - There were no new land acquisitions reported by the company in December 2025 [3] Group 3: Tourism Business - In December 2025, the company's tourism enterprises received a total of 5.71 million visitors, a year-on-year decline of 6% [4] - For the full year of 2025, the total number of visitors to the company's tourism enterprises was 79.7 million, which is a decrease of 1% compared to the previous year [5] - The company focused on the New Year period by integrating resources to create diverse festive activities, enhancing the visitor experience with concerts and drone shows [5]
北京天宜上佳高新材料股份有限公司 关于2025年年度业绩预亏的提示性公告
登录新浪财经APP 搜索【信披】查看更多考评等级 公司将严格遵循《上海证券交易所科创板股票上市规则》等相关规定,加快推进财务核算工作,在规定 期限内尽快披露2025年年度业绩预告,具体准确的财务数据以公司正式披露的2025年年度报告为准。 公司指定信息披露媒体为《上海证券报》《中国证券报》《证券时报》《证券日报》及上海证券交易所 网站(www.sse.com.cn),公司发布的信息均以在上述媒体刊登的公告为准。敬请广大投资者理性投 资,注意投资风险。 特此公告。 北京天宜上佳高新材料股份有限公司 董事会 2026年1月15日 证券代码:688033 证券简称:天宜新材(维权) 公告编号:2026-003 北京天宜上佳高新材料股份有限公司 关于2025年年度业绩预亏的提示性公告 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、准确性和完整性依法承担法律责任。 经北京天宜上佳高新材料股份有限公司(以下简称"公司")财务部门初步测算,预计2025年度实现归属 于上市公司股东的净利润为负值,公司2025年年度经营业绩将继续出现亏损。 ...
康佳集团股份有限公司 关于2025年度业绩预告的提示性公告
133783、134294 24康佳03、25康佳01 134334 25康佳03 登录新浪财经APP 搜索【信披】查看更多考评等级 证券代码:000016、200016 证券简称:深康佳A、深康佳B 公告编号:2026-06 债券代码:133759、133782 债券简称:24康佳01、24康佳02 关于2025年度业绩预告的提示性公告 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。 经康佳集团股份有限公司(以下简称"公司")财务部初步测算,预计2025年年度归属于上市公司股东的 净利润为负值,公司2025年年度经营业绩将出现亏损。 康佳集团股份有限公司 董 事 会 康佳集团股份有限公司 二○二六年一月十五日 公司将严格遵循《深圳证券交易所股票上市规则》等相关规定,尽快披露2025年年度业绩预告。最终财 务数据请以公司正式披露的2025年年度报告为准。 公司指定的信息披露媒体为《中国证券报》《证券时报》和巨潮资讯网(http://www.cninfo.com.cn)。公 司所有信息均以公司在上述媒体刊登的公告为准。敬请广大投资者理性投资,注意投资风险。 特此 ...
国家能源集团长源电力股份有限公司关于全资子公司长源电力青山热电脱硫废水深度治理EPC项目关联交易的公告
Core Viewpoint - The company has been awarded a contract for an EPC project related to the deep treatment of desulfurization wastewater, with a bid amount of 36.700368 million yuan, through a public tender process, which constitutes a related party transaction due to the connection with its controlling shareholder [1][5]. Group 1: Related Transaction Overview - The project is awarded to Guoneng Water Environmental Protection Co., Ltd., a wholly-owned subsidiary of the company's controlling shareholder, National Energy Group [1][5]. - The transaction does not require board approval or shareholder approval as it is a result of a public tender [1]. - The transaction does not qualify as a major asset restructuring under relevant regulations [1]. Group 2: Related Party Information - Guoneng Water Environmental Protection Co., Ltd. is a specialized company in water treatment and noise control, with various environmental engineering qualifications [2][5]. - The company is fully owned by National Energy Group Technology and Environmental Protection Co., Ltd., which is controlled by National Energy Group [3][5]. Group 3: Financial Data - Guoneng Water has significant financial qualifications, including a registered capital of 150 million yuan and various environmental service capabilities [2][5]. - The financial data for the last three years shows a total asset increase from 192.22 billion yuan in 2022 to 287.19 billion yuan in 2024, with net profit rising from a loss of 36.37 million yuan in 2022 to a profit of 8.00 million yuan in 2024 [10]. Group 4: Project Impact - The project aims to achieve zero discharge of desulfurization wastewater, addressing environmental compliance for the urban power plant located in Wuhan [9]. - The implementation of this project is expected to enhance the company's clean production goals and align with green and low-carbon development strategies [9]. - The project will not have a significant impact on the company's current assets, liabilities, or profits [9].
科沃斯机器人股份有限公司 关于“科沃转债”可选择回售的第一次提示性公告
Core Viewpoint - The company announces the conditional redemption terms for its convertible bonds, "Kewo Convertible Bonds," allowing bondholders to sell their bonds back to the company at a specified price during a designated period in early 2026 [2][5]. Group 1: Redemption Terms - Redemption Price: 100.26 RMB per bond (including accrued interest and tax) [9]. - Redemption Period: From January 21, 2026, to January 27, 2026 [8]. - Payment Date for Redemption Funds: January 30, 2026 [10]. - Bondholders have the right to choose whether to redeem their bonds; the redemption is not mandatory [5][6]. Group 2: Conditions for Redemption - The redemption clause is activated if the company's stock price is below 70% of the bond's conversion price for 30 consecutive trading days during the last two interest years [2]. - If bondholders do not exercise their redemption rights during the specified period, they will lose the right to redeem for the current interest year [2][3]. Group 3: Interest Calculation - The interest rate for the fifth year (November 30, 2025, to November 29, 2026) is set at 1.8%, with the accrued interest calculated to be approximately 0.26 RMB per bond [4]. Group 4: Trading During Redemption Period - "Kewo Convertible Bonds" will continue to trade during the redemption period but will stop conversion [12]. - If the total face value of the bonds in circulation falls below 30 million RMB due to redemptions, trading will continue until the end of the redemption period [12]. Group 5: Contact Information - For inquiries, bondholders can contact the company's securities department at 0512-83880000-2 [13].
粤海永顺泰集团股份有限公司 关于部分募集资金专户销户完成的公告
Fundraising Overview - The company raised a total of RMB 855,451,068.56 by issuing 125,432,708 shares at RMB 6.82 per share, with a net amount of RMB 794,245,421.45 after deducting issuance costs of RMB 61,205,647.11 [1] Fund Management - The company established a dedicated account for the management of raised funds, adhering to relevant regulations and guidelines to protect investor interests [2] - A tripartite supervision agreement was signed with the managing bank and the sponsor, ensuring strict compliance in the storage, usage, and management of the raised funds [2][3] Account Closure - As of January 12, 2026, the special account held by a subsidiary had a balance of 0 RMB, leading to the completion of account closure procedures to streamline management and reduce costs [5][6]
招商局公路网络科技控股股份有限公司2025年度第二期超短期融资券到期兑付公告
登录新浪财经APP 搜索【信披】查看更多考评等级 证券代码:001965 证券简称:招商公路 公告编号:2026-05 招商局公路网络科技控股股份有限公司2025年度第二期超短期融资券到期兑付公告 特此公告。 招商局公路网络科技控股股份有限公司董事会 二〇二六年一月十四日 招商局公路网络科技控股股份有限公司(以下简称"公司"或"招商公路")于2025年9月19日发布《招商 公路关于债务融资工具获准注册的公告》(公告编号:2025-56),公司收到中国银行间市场交易商协 会出具的《接受注册通知书》(中市协注[2025]DFI58号),同意接受公司债务融资工具注册,注册有 效期为2年。 2025年10月15日,公司发行了2025年度第二期超短期融资券(简称:25招商公路SCP002,代码: 012582466),发行规模为15亿元,期限为90天,发行利率为1.64%。具体内容请详见于2025年10月21 日披露的《招商公路关于2025年度第二期超短融发行结果公告》(公告编号:2025-61)。 公司2025年度第二期超短期融资券已于2026年1月14日到期,公司已在到期日兑付了2025年度第二期超 短期融资券本息 ...
浙江东尼电子股份有限公司 关于完成工商变更登记的公告
Core Viewpoint - The company has announced the cancellation of its supervisory board and the revision of its articles of association, which has been approved by the board and shareholders [1] Group 1: Corporate Governance Changes - The company held its fourth board meeting and third extraordinary shareholders' meeting on December 8 and December 25, 2025, respectively, to review and approve the proposal to cancel the supervisory board and amend the company's articles of association [1] - The company has completed the business registration change procedures and obtained a new business license from the Zhejiang Provincial Market Supervision Administration [1]
易普力股份有限公司 2025年日常经营合同情况公告
Core Viewpoint - Yipuli Co., Ltd. has announced significant new contracts for 2025, indicating strong business activity in the blasting service and product sales sectors [1] Group 1: Contract Details - The total amount of new blasting service contracts signed by the company for 2025 is RMB 15.019 billion, with RMB 4.193 billion signed in the last quarter of the year [1] - The total amount of new product sales contracts signed for 2025 is RMB 5.436 billion, with RMB 0.465 billion signed in the last quarter [1] - A specific list of blasting service contracts exceeding RMB 1 billion each has been provided, totaling RMB 1.586 billion [1] Group 2: Financial Reporting - The contract amounts are based on the agreed service content and duration, and the final confirmed revenue amounts will be disclosed in periodic reports [1]