AGSW(600199)
Search documents
金种子酒:关于公司高级管理人员增持股份计划的公告
2023-11-03 08:41
证券代码:600199 证券简称:金种子酒 公告编号:临 2023-046 安徽金种子酒业股份有限公司 关于公司高级管理人员增持股份计划的公告 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。 重要内容提示: ◆ 安徽金种子酒业股份有限公司(以下简称"公司")副总经理刘辅弼先 生拟于 2023 年 11 月 6 日起 6 个月内,通过集中竞价交易方式增持公司股份 11,100 股。 ◆ 风险提示:本次增持计划可能存在因证券市场情况发生变化或政策因 素等,导致增持计划无法实施的风险。 近日,公司收到副总经理刘辅弼先生拟增持公司股份的通知,计划自2023 年11月6日起6个月内,以自有资金通过集中竞价交易方式增持公司股份。现将 有关事项公告如下: 一、增持主体的基本情况 1、增持主体:副总经理刘辅弼先生。 2、增持主体持有股份情况:截至本公告日,刘辅弼先生持有公司股票8,900 股,占公司总股本0.0014%。 3、本公告披露前12个月内,增持主体未曾披露过增持计划。 4、本公告披露前6个月内,增持主体不存在减持公司股份的情 ...
金种子酒(600199) - 2023 Q3 - 季度财报
2023-10-27 16:00
Financial Performance - In Q3 2023, the company's operating revenue reached ¥305,323,325.18, representing a 43.28% increase compared to the same period last year[9] - The net profit attributable to shareholders was ¥2,955,329.87, while the net profit after deducting non-recurring gains and losses was -¥5,986,100.52[9] - From the beginning of the year to the end of the reporting period, total revenue amounted to ¥1,073,051,897.04, reflecting a 31.73% increase year-on-year[9] - Operating revenue for the reporting period increased by 43.28% due to higher sales volume[17] - Total operating revenue for the first three quarters of 2023 reached CNY 1,073,051,897.04, an increase from CNY 814,610,409.31 in the same period of 2022, representing a growth of approximately 31.8%[39] - The company reported a net profit of CNY 447,483,665.24 for the first three quarters of 2023, down from CNY 482,343,023.80 in the same period of 2022, a decrease of about 7.2%[40] - The net profit for the third quarter of 2023 was -32,994,207.03 RMB, compared to -134,371,419.90 RMB in the same period of 2022, showing an improvement[41] - The total profit for the third quarter was -26,444,276.14 RMB, compared to -126,981,292.18 RMB in the previous year, reflecting a significant reduction in losses[41] Cash Flow and Assets - The company's cash flow from operating activities for the year-to-date was ¥114,937,194.04[11] - The net cash flow from operating activities for the year-to-date was 114,937,194.04, a significant recovery from a negative cash flow of -451,165,498.24 in the previous period[23] - The net cash flow from investing activities was -62,186,470.64, compared to a positive cash flow of 52,494,654.80 in the previous period[23] - Cash and cash equivalents at the end of the reporting period amounted to 511,375,811.79, up from 488,621,503.56 in the previous period[26] - The company's total assets as of September 30, 2023, were CNY 3,386,841,269.34, slightly down from CNY 3,394,502,005.53 at the end of the previous period[40] Shareholder Information - The equity attributable to shareholders was ¥2,509,164,950.33, down 1.41% from the previous year-end[11] - The total number of ordinary shareholders at the end of the reporting period was 79,364[13] - The company's equity attributable to shareholders decreased to CNY 2,509,164,950.33 from CNY 2,545,029,038.17, a decline of about 1.4%[40] Expenses and Liabilities - Total operating costs for the first three quarters of 2023 were CNY 1,115,219,695.02, compared to CNY 964,357,128.96 in 2022, indicating an increase of about 15.7%[39] - The company experienced a 64.40% increase in taxes and surcharges year-to-date, driven by the rise in operating revenue[17] - Total liabilities increased to CNY 866,083,343.04 from CNY 839,745,142.92, reflecting a rise of approximately 3.1%[40] Profitability Metrics - The basic earnings per share for the reporting period was ¥0.0045, compared to -¥0.0530 for the same period last year[11] - The weighted average return on net assets was 0.12%, compared to -1.38% in the same period last year[11] - The gross profit margin for the first three quarters of 2023 was approximately 36.0%, down from the previous year's margin[39] - The basic and diluted earnings per share for the third quarter were both -0.0530 RMB, an improvement from -0.2062 RMB in the same quarter of 2022[42] Other Financial Activities - The company reported government subsidies related to normal business operations amounting to ¥3,556,591.31 for the year-to-date[11] - Investment income for the year-to-date decreased by 99.67% due to a reduction in wealth management business and related income[17] - The company reported a net credit impairment loss of 3,365,784.76 RMB during the third quarter[41] - The company recorded an operating income of 8,841,290.54 RMB from non-operating income, an increase from 3,625,555.35 RMB in the previous year[41] Future Outlook - The company plans to expand its market presence and invest in new product development to drive future growth[39]
金种子酒:2023年第三季度经营数据公告
2023-10-27 09:46
证券代码:600199 证券简称:金种子酒 公告编号:临 2023-045 安徽金种子酒业股份有限公司 1、产品分档次情况 单位:万元 币种:人民币 | 分产品 | 本期营业收入 | 主要代表品牌 | | --- | --- | --- | | 高端酒 | 1,460.85 | 馥合香馥 20、馫 20、醉三秋 1507 | | 中端酒 | 5,447.40 | 馥合香馫 15、馥合香馥 9、馥合香馥 7、柔 | | | | 和大师等 | | 低端酒 | 13,502.76 | 头号种子、特贡、柔和、祥和等 | | 小计 | 20,411.01 | | 注:白酒产品按照厂家名义零售价为基础,细分为下列三档次:高端(X >500 元/瓶、中端(100<X≤500 元/瓶)、低端(X≤100 元/瓶)。 2023年第三季度主要经营数据公告 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。 根据《上海证券交易所上市公司自律监管规则适用指引第 3 号——行业信 息披露》之《第十二号——酒制造》第十六条相关规定,现将安徽金种子酒业 ...
金种子酒:关于召开2023年第三季度业绩说明会的公告
2023-10-16 07:37
证券代码:600199 证券简称:金种子酒 公告编号:临 2023-044 安徽金种子酒业股份有限公司 关于召开2023年第三季度业绩说明会的公告 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。 重要内容提示: ● 会议召开时间:2023 年 10 月 30 日(星期一)上午 10:00-11:00 ● 会议召开地点:上海证券交易所上证路演中心(网址: https://roadshow.sseinfo.com/) ● 会议召开方式:上证路演中心网络互动 ● 投资者可于 2023 年 10 月 23 日(星期一)至 10 月 27 日(星期五)16:00 前登录上证路演中心网站首页点击"提问预征集"栏目或通过公司邮箱 jnsy199@163.com 进行提问。公司将在说明会上对投资者普遍关注的问题进行 回答。 安徽金种子酒业股份有限公司(以下简称"公司")拟于 2023 年 10 月 28 日发布公司 2023 年第三季度报告,为便于广大投资者更全面深入地了解公司 2023 年第三季度经营成果、财务状况,公司计划于 20 ...
金种子酒:关于公司董事及高级管理人员增持公司股份进展公告
2023-09-28 08:26
证券代码:600199 证券简称:金种子酒 公告编号:临2023-043 安徽金种子酒业股份有限公司 关于公司董事及高级管理人员增持公司股份 进展公告 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。 重要内容提示: ◆ 安徽金种子酒业股份有限公司(以下简称"公司")于 2023 年 5 月 23 日披露了《关于公司董事及高级管理人员增持股份计划的公告》,部分董事及高 级管理人员拟于 2023 年 5 月 23 日起 6 个月内,通过集中竞价交易方式增持公 司股份,合计增持金额不低于 320 万元且不超过 420 万元。本次增持不设价格 区间,增持主体将根据公司股票价格波动情况及资本市场整体趋势实施增持计 划。 ◆ 增持计划进展情况:截至本公告披露日,增持主体通过集中竞价交易方 式合计增持公司股份139,800股,占公司总股本的0.0213%,增持金额为334.53 万元。 ◆ 本次增持计划可能存在因证券市场情况发生变化或政策因素等,导致增 持计划无法实施的风险。 一、增持主体的基本情况 1、增持主体:本次计划增持人员包 ...
金种子酒:关于公司董事及高级管理人员增持公司股份进展公告
2023-09-27 10:37
证券代码:600199 证券简称:金种子酒 公告编号:临2023-042 安徽金种子酒业股份有限公司 关于公司董事及高级管理人员增持公司股份 进展公告 一、增持主体的基本情况 1、增持主体:本次计划增持人员包括公司董事、总经理何秀侠女士,副总 经理何武勇先生,董事、总工程师杨红文先生,副总经理徐三能先生,副总经 理杨云先生,董事、董事会秘书金彪先生,财务总监金昊先生。 2、增持主体持有股份情况:本次增持计划实施前,徐三能先生持有公司股 票 5,600 股,占公司总股本 0.0009%;金昊先生持有公司股票 13,000 股,占公 司总股本 0.002%;其他人员未持有公司股票。 截至本公告披露日,增持主体合计持有公司股份 151,500 股,占公司总股 本的 0.023%。 二、增持计划的主要内容 1、本次拟增持股份的目的:基于对公司未来发展的信心和长期投资价值的 认可,拟实施本次增持计划。 2、本次拟增持股份的种类和方式:以集中竞价方式增持公司无限售条件流 通 A 股股份。 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 ...
金种子酒:关于公司董事及高级管理人员增持公司股份进展公告
2023-09-26 09:38
证券代码:600199 证券简称:金种子酒 公告编号:临2023-041 安徽金种子酒业股份有限公司 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: ◆ 安徽金种子酒业股份有限公司(以下简称"公司")于 2023 年 5 月 23 日披露了《关于公司董事及高级管理人员增持股份计划的公告》,部分董事及高 级管理人员拟于 2023 年 5 月 23 日起 6 个月内,通过集中竞价交易方式增持公 司股份,合计增持金额不低于 320 万元且不超过 420 万元。本次增持不设价格 区间,增持主体将根据公司股票价格波动情况及资本市场整体趋势实施增持计 划。 ◆ 增持计划进展情况:截至本公告披露日,增持主体通过集中竞价交易方 式合计增持公司股份129,200股,占公司总股本的0.0196%,增持金额为309.72 万元。 ◆ 本次增持计划可能存在因证券市场情况发生变化或政策因素等,导致增 持计划无法实施的风险。 一、增持主体的基本情况 1、增持主体:本次计划增持人员包括公司董事、总经理何秀侠女士,副总 经理何武勇先生 ...
金种子酒:关于召开2023年半年度业绩说明会的公告
2023-09-11 08:43
证券代码:600199 证券简称:金种子酒 公告编号:临 2023-040 安徽金种子酒业股份有限公司 关于召开 2023 年半年度业绩说明会的公告 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法律责任。 重要内容提示: ● 会议召开时间:2023 年 09 月 27 日(星期三)下午 15:00-16:00 ● 会议召开地点:上海证券交易所上证路演中心(网址: https://roadshow.sseinfo.com/) ● 会议召开方式:上证路演中心网络互动 ● 投资者可于 2023 年 09 月 20 日(星期三)至 09 月 26 日(星期二)16:00 前登录上证路演中心网站首页点击"提问预征集"栏目或通过公司邮箱 jnsy199@163.com 进行提问。公司将在说明会上对投资者普遍关注的问题进行 回答。 二、 说明会召开的时间、地点 (一) 会议召开时间:2023 年 09 月 27 日下午 15:00-16:00 (二) 会议召开地点:上证路演中心 安徽金种子酒业股份有限公司(以下简称"公司")已于 2023 年 8 ...
金种子酒(600199) - 2023 Q2 - 季度财报
2023-08-30 16:00
Revenue and Sales Performance - Revenue increased by 27.63% to 767,728,571.86 RMB due to higher sales volume[6] - Total operating revenue for the first half of 2023 was 767,728,571.86 RMB, a 27.6% increase compared to 601,508,597.17 RMB in the same period of 2022[32] - Revenue from sales of goods and services increased from 603,783,024.22 RMB to 873,464,479.38 RMB, an increase of 44.67%[57] - Revenue for the first half of 2023 was RMB 313,497,815.28, an increase from RMB 235,526,913.26 in the same period last year[62] Operating Costs and Expenses - Operating costs rose by 33.66% to 536,673,474.29 RMB, driven by increased sales volume[6] - Operating costs rose to 536,673,474.29 RMB, up 33.7% from 401,530,684.06 RMB in the previous year[32] - Operating costs for the first half of 2023 were RMB 311,063,090.28, up from RMB 206,384,442.62 in the previous year[62] - Payments for goods and services decreased from 615,823,378.66 RMB to 527,267,193.40 RMB, a decrease of 14.38%[57] - Payments to employees increased from 127,638,414.44 RMB to 171,328,772.74 RMB, an increase of 34.23%[57] Research and Development (R&D) Expenses - R&D expenses dropped by 39.45% to 7,486,731.16 RMB as project investments decreased[6] - R&D expenses decreased to 7,486,731.16 RMB, a 39.5% drop from 12,365,218.81 RMB in 2022[32] - Research and development expenses for the first half of 2023 were RMB 1,912,375.42, a decrease from RMB 8,918,653.62 in the same period last year[62] Financial Performance and Income - Other income fell by 70.92% to 3,318,830.47 RMB due to reduced government subsidies[6] - Investment income plummeted by 98.29% to 11,004.44 RMB as financial product returns decreased[6] - Financial expenses showed a net income of 4,013,736.60 RMB, compared to a net income of 8,997,209.99 RMB in 2022[32] - Comprehensive income for the first half of 2023 was RMB -36,832,632.04, compared to RMB -53,979,845.05 in the previous year[71] - Basic earnings per share for the first half of 2023 were RMB -0.0575, an improvement from RMB -0.0837 in the same period last year[71] - Comprehensive income for the period decreased by 55,080,217.04 RMB, impacting total equity[83] - The company's comprehensive income for the period was a loss of RMB 37,814,688.43, contributing to a total decrease in owner's equity of RMB 38,096,047.32[116] - The company's comprehensive income for the first half of 2023 was a loss of RMB 146,223,520.72[117] Tax and Surcharges - Tax and surcharges increased by 49.61% to 96,785,441.28 RMB due to higher sales volume[6] - Income tax expenses decreased by 43.51% to 3,930,771.04 RMB[6] Asset and Liability Management - The company's total assets as of the reporting period amounted to 3,298,222,831.64 RMB, with non-current assets totaling 1,271,042,369.95 RMB[31] - The company's total liabilities as of the reporting period were 780,579,960.96 RMB, with current liabilities accounting for 616,292,698.18 RMB and non-current liabilities at 164,287,261.78 RMB[31] - The company's intangible assets were valued at 247,021,745.23 RMB, while deferred tax assets stood at 3,554,116.39 RMB[31] - The company's short-term borrowings amounted to 29,720,874.98 RMB, and accounts payable were 281,046,899.26 RMB[31] - The company's contract liabilities were 91,072,365.60 RMB, and other payables were 139,453,965.71 RMB[31] - The company's deferred income was 136,574,761.78 RMB, and deferred tax liabilities were 27,712,500.00 RMB[31] - The company's total equity attributable to shareholders of the parent company was 2,517,642,870.68 RMB[31] - Total liabilities increased to 1,355,279,102.69 RMB from 1,259,733,200.38 RMB, reflecting a 7.6% rise[32] - Total equity increased to 1,856,082,808.13 RMB from 1,709,795,513.54 RMB, indicating an 8.6% growth[32] - Total assets decreased from 3,115,816,008.51 RMB to 3,065,074,616.23 RMB, a decrease of 1.63%[55] - Cash and cash equivalents decreased from 510,641,096.39 RMB to 455,462,485.61 RMB, a decrease of 10.81%[54] - Accounts receivable increased from 80,344,350.14 RMB to 87,784,072.75 RMB, an increase of 9.26%[54] - Inventory decreased slightly from 1,328,567,555.88 RMB to 1,324,793,558.36 RMB, a decrease of 0.28%[54] - Fixed assets increased from 600,351,307.88 RMB to 681,224,251.30 RMB, an increase of 13.47%[55] - Total current liabilities increased from 1,100,612,947.37 RMB to 1,198,039,816.28 RMB, an increase of 8.85%[55] - Total current assets decreased to 1,590,358,038.91 RMB from 1,634,507,290.20 RMB, a decline of approximately 2.7%[77] - Monetary funds decreased to 251,922,089.44 RMB from 315,345,205.08 RMB, a decline of approximately 20.1%[77] - Accounts receivable financing increased to 59,410,000.00 RMB from 50,230,000.00 RMB, an increase of approximately 18.3%[77] - Inventory increased slightly to 1,242,616,315.73 RMB from 1,228,458,142.30 RMB, an increase of approximately 1.2%[77] - Other current assets decreased significantly to 1,187,210.51 RMB from 5,500,938.53 RMB, a decline of approximately 78.4%[77] - The company's total assets at the end of the period amounted to RMB 2,517,642,871.68, with a breakdown of RMB 657,796,824.00 in current assets and RMB 1,174,961,782.84 in non-current assets[133] - The company's total liabilities at the end of the period were RMB 2,506,932,990.85, with current liabilities of RMB 444,528,335.37 and non-current liabilities of RMB 122,917,310.76[133] - The company's equity at the end of the period was RMB 10,709,880.83, with a total equity and liabilities of RMB 2,517,642,871.68[133] - The company's reserves at the end of the period were RMB 1,966,132.58, with RMB 321,224.48 used during the period[134] - The company's total assets at the end of the period increased to RMB 2,691,559,208.87, with a breakdown of RMB 657,796,824.00 in current assets and RMB 1,174,961,782.84 in non-current assets[134] - The company's total liabilities at the end of the period increased to RMB 2,681,765,505.46, with current liabilities of RMB 614,384,828.53 and non-current liabilities of RMB 122,917,310.76[134] - The company's equity at the end of the period decreased to RMB 9,793,703.41, with a total equity and liabilities of RMB 2,691,559,208.87[134] - The company's cash and cash equivalents decreased from RMB 510,641,096.39 at the beginning of the period to RMB 455,462,485.61 at the end of the period, with bank deposits decreasing from RMB 510,325,060.45 to RMB 449,292,969.79[162][163] - Other receivables increased from RMB 1,176,962.13 at the beginning of the period to RMB 1,430,628.39 at the end of the period[165] - The bad debt provision for other receivables decreased by RMB 50,000.00, from RMB 2,856,325.16 at the beginning of the period to RMB 2,806,325.16 at the end of the period[166] - The company's inventory decreased slightly from RMB 1,338,526,485.36 at the beginning of the period to RMB 1,334,752,487.84 at the end of the period, with inventory write-downs remaining at RMB 9,958,929.48[178] - The company's fixed assets increased from RMB 640,698,393.11 at the beginning of the period to RMB 719,698,826.21 at the end of the period[187] - Construction in progress decreased from 157,619,970.67 yuan to 75,735,012.00 yuan, a reduction of 81,884,958.67 yuan[189] - Total engineering materials remained relatively stable at 11,919,073.50 yuan compared to 11,925,220.45 yuan at the beginning of the period[189] - Total combined value of construction in progress and engineering materials decreased from 169,545,191.12 yuan to 87,654,085.50 yuan[189] - Accounts receivable from the top five debtors totaled 25,795,683.27 yuan, representing 15.43% of total accounts receivable[195] - Bad debt provision for the top five debtors amounted to 5,136,004.85 yuan[195] - Inventory of goods remained unchanged at 7,106,944.55 yuan[199] - Total inventory, including turnover materials, remained stable at 9,958,929.48 yuan[199] - No significant changes in bad debt provisions for other receivables were reported[198] Cash Flow and Financial Activities - Cash flow from operating activities was negative at -12,594,969.94 RMB, compared to -302,306,666.86 RMB in the previous period[57] - Net cash flow from operating activities for the first half of 2023 was RMB (63,423,115.64), compared to RMB (253,525,768.39) in the same period last year[65] - Cash and cash equivalents at the end of the period were RMB 251,922,089.44, down from RMB 415,071,516.38 at the end of the previous year[65] - Cash flow from investing activities for the first half of 2023 was RMB (38,567,632.84), compared to RMB (71,589,902.66) in the previous year[73] - Cash flow from financing activities for the first half of 2023 was RMB (5,780,000.00), compared to RMB 12,800,400.00 in the same period last year[73] - Cash and cash equivalents at the beginning of the period were RMB 315,345,205.08, down from RMB 668,597,284.77 in the previous year[65] Environmental and Sustainability Initiatives - The company has prepared a comprehensive and practical environmental emergency response plan, which has been reviewed by experts and filed with the Environmental Protection Bureau of Yingzhou District and Economic Development Zone in Fuyang City. Regular drills are conducted, and an environmental emergency accident pool has been established to ensure strict compliance with relevant regulations. No environmental incidents have occurred[16] - The company strictly adheres to green factory standards, using green materials, implementing green design, adopting green packaging, and promoting green consumption. The factory area has successfully created a 3A-level scenic spot, focusing on energy conservation, pollution control, and environmental responsibility[25] - The company implemented carbon reduction measures, including the use of photovoltaic and biogas power generation, totaling 600,000 kWh[49] - The company maintained compliance with environmental regulations, with no penalties for environmental issues during the reporting period[40] Subsidiaries and Ownership - The company's subsidiaries include Anhui Jin Taiyang Biochemical Pharmaceutical Co., Ltd. (92% direct ownership) and Anhui Jin Taiyang Pharmaceutical Operation Co., Ltd. (100% indirect ownership)[102] - The company's subsidiary Fuyang Jinzhongzi Fuhexiang Marketing Co., Ltd. has a 66.67% direct ownership and 33.33% indirect ownership[102] - The company's subsidiary Anhui Zhongjiu Liquor Co., Ltd. has a 90% direct ownership and 10% indirect ownership[102] - The company's subsidiary Anhui Jinzhongzi IoT Technology Co., Ltd. is fully owned with 100% direct ownership[102] - The company's subsidiary Anhui Dajin Health Liquor Co., Ltd. is fully owned with 100% direct ownership[102] - The company's subsidiary Anhui Jinzhongzi Sales Co., Ltd. is fully owned with 100% direct ownership[102] Shareholder and Equity Information - The company's total equity attributable to shareholders of the parent company was 2,517,642,870.68 RMB[31] - Total equity at the end of the period was 1,995,992,002.90 RMB, reflecting a decrease from the previous period[85] - The company's share capital remained unchanged at 657,796,824.00 RMB[85] - Capital reserves decreased slightly to 1,174,897,068.31 RMB from 1,174,961,782.84 RMB[85] - Retained earnings decreased to -62,473,936.60 RMB, indicating a loss for the period[85] - The company's total owner's equity at the beginning of the year was RMB 2,076,559,296.34, with a decrease of RMB 80,567,293.44 during the period[113] - The company's total owner's equity at the beginning of 2023 was RMB 1,856,082,808.13, with a decrease of RMB 146,287,294.59 during the first half of the year[117] - The company's total number of ordinary shareholders at the end of the reporting period was 81,671[129] Financial Statements and Reporting - The company's financial statements are prepared on a going concern basis[147] - The company's functional currency is RMB[135] Risk and Strategic Planning - The company plans to dispose of certain real estate assets to improve asset utilization[8] - The company faces risks from intensified industry competition and potential environmental regulation changes[9]
金种子酒:关于公司董事及高级管理人员增持公司股份进展公告
2023-08-22 08:21
证券代码:600199 证券简称:金种子酒 公告编号:临2023-035 安徽金种子酒业股份有限公司 关于公司董事及高级管理人员增持公司股份 进展公告 ◆ 本次增持计划可能存在因证券市场情况发生变化或政策因素等,导致增 持计划无法实施的风险。 一、增持主体的基本情况 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: ◆ 安徽金种子酒业股份有限公司(以下简称"公司")于 2023 年 5 月 23 日披露了《关于公司董事及高级管理人员增持股份计划的公告》,部分董事及高 级管理人员拟于 2023 年 5 月 23 日起 6 个月内,通过集中竞价交易方式增持公 司股份,合计增持金额不低于 320 万元且不超过 420 万元。本次增持不设价格 区间,增持主体将根据公司股票价格波动情况及资本市场整体趋势实施增持计 划。 ◆ 增持计划进展情况:截至本公告披露日,增持主体通过集中竞价交易方 式合计增持公司股份110,800股,占公司总股本的0.0168%,增持金额为265.40 万元。原定增持计划时间已过半,增持计划主 ...