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中钢天源:中国国际金融股份有限公司关于中钢天源股份有限公司收购报告书之2023年第二季度持续督导意见
2023-09-05 09:01
中国国际金融股份有限公司 关于中钢天源股份有限公司收购报告书之 2023 年第二季度持续督导意见 中国国际金融股份有限公司(以下简称"中金公司"、"本财务顾问")接受 委托,担任中国宝武钢铁集团有限公司(以下简称"中国宝武"、"收购人")豁 免要约收购中钢天源股份有限公司(以下简称"中钢天源"、"上市公司")的财 务顾问,依照《上市公司收购管理办法》(以下简称"《收购办法》")第六十九条、 第七十一条、《上市公司并购重组财务顾问业务管理办法》第三十一条等有关规 定,持续督导期从中钢天源公告收购报告书至收购完成后的 12 个月止(即从 2022 年 12 月 31 日至收购完成后的 12 个月止)。 2023 年 8 月 30 日,中钢天源披露了 2023 年半年度报告。结合上述 2023 年 半年度报告及日常沟通,中金公司出具了 2023 年第二季度(从 2023 年 4 月 1 日 至 2023 年 6 月 30 日,以下简称"本持续督导期")的持续督导意见(以下简称 "本意见")。本意见所依据的文件、书面资料等由收购人与中钢天源提供,收购 人与中钢天源保证对其真实性、准确性和完整性承担全部及连带责任。本财 ...
中钢天源(002057) - 2023 Q2 - 季度财报
2023-08-29 16:00
Financial Performance - The company's operating revenue for the first half of 2023 was CNY 1,408,927,454.98, a decrease of 1.69% compared to CNY 1,433,217,366.10 in the same period last year[21]. - The net profit attributable to shareholders was CNY 170,207,104.71, down 13.93% from CNY 197,759,871.51 year-on-year[21]. - Basic earnings per share decreased by 14.91% to CNY 0.2242 from CNY 0.2635 in the same period last year[21]. - The company reported a decrease of 15.68% in net profit after deducting non-recurring gains and losses, amounting to CNY 138,393,422.60 compared to CNY 164,129,277.99 in the previous year[21]. - The weighted average return on net assets was 5.57%, down from 7.12% in the same period last year, a decrease of 1.55%[21]. - The company reported a net profit for the first half of 2023 of CNY 195,744,447.50, down from CNY 216,755,618.85 in the previous year, reflecting a decrease of approximately 9.7%[150]. - The net profit for the first half of 2023 was CNY 123,165,033.69, a decrease of 29.3% compared to CNY 174,390,661.39 in the same period of 2022[152]. - The company reported a total comprehensive income for the first half of 2023 of 12.43 million, a decrease of 1.2% compared to the previous year[162]. Cash Flow and Financial Position - The net cash flow from operating activities was negative CNY 123,434,372.43, a decline of 500.64% compared to a positive CNY 30,808,979.56 in the previous year[21]. - The company reported a net cash inflow from investment activities of CNY 168,137,695.13, a substantial improvement compared to the previous year's outflow[40]. - The company's cash and cash equivalents decreased to CNY 910,211,681, representing 18.19% of total assets, down from 23.32%[46]. - The total liabilities rose to CNY 1,657,951,121.08 from CNY 1,636,430,125.58, indicating an increase of approximately 1.9%[143]. - The total equity of the company decreased to CNY 2,415,757,086.12 from CNY 2,467,673,944.84, a decline of about 2.1%[149]. - The total cash inflow from financing activities was CNY 446,880,623.48, compared to CNY 577,554,163.06 in the same period last year[156]. - The total cash outflow from investment activities was CNY 219,488,155.46, down from 338,339,433.56 CNY, indicating a decrease of about 35.1%[158]. Assets and Liabilities - The total assets at the end of the reporting period were CNY 5,004,766,371.44, reflecting a slight increase of 0.51% from CNY 4,979,440,878.32 at the end of the previous year[21]. - The company's accounts receivable increased to CNY 1,274,958,996, accounting for 25.47% of total assets, up from 22.16%[46]. - Current assets decreased to CNY 3,243,507,954.30 from CNY 3,307,302,010.86, representing a decline of about 1.9%[141]. - Short-term borrowings surged to CNY 216,657,554.24 from CNY 66,100,000.00, reflecting a significant increase of about 227.5%[143]. - The total liabilities of the company as of the end of the first half of 2023 were CNY 630,285,631.44, slightly down from CNY 633,675,653.33 at the end of 2022[149]. Research and Development - The company has established a strong R&D team of 362 personnel, with 12 enjoying special government allowances, and has set up multiple national-level innovation platforms[35]. - Research and development expenses were CNY 70,898,555.51, down 12.86% from the previous year, reflecting a strategic focus on cost efficiency[40]. - The company is focusing on enhancing its operational efficiency and exploring strategic partnerships to strengthen its competitive position in the market[168]. Environmental Compliance - The company has maintained compliance with environmental regulations and holds valid pollution discharge permits for its operations[79][80]. - The company reported a total chemical oxygen demand (COD) discharge of 2.12 tons, with a concentration of 68.83 mg/L, adhering to the GB8978-1996 standard[83]. - The company has implemented a comprehensive environmental management system, certified under ISO9001, ISO14001, and ISO45001[85]. - The company has established emergency response plans for environmental incidents, with several plans filed with local environmental authorities in 2022 and 2023[88][89]. Shareholder Information - The company reported a total of 37,479 ordinary shareholders at the end of the reporting period[127]. - The largest shareholder, China Steel Capital Holdings Limited, holds 16.25% of the shares, amounting to 123,345,380 shares, with 58,183,080 shares pledged[127]. - The company has not engaged in any significant related party transactions during the reporting period[105]. Future Plans and Market Strategy - The company plans to expand its battery-grade manganese tetroxide production capacity from 15,000 tons to 25,000 tons by the end of Q3, in response to increasing demand in the new energy sector[37]. - The company plans to enhance R&D investment and accelerate the transformation of technological achievements to improve product competitiveness[69]. - The company is exploring potential mergers and acquisitions to strengthen its market position[164].
中钢天源:2023年1-6月份募集资金存放与使用情况专项报告
2023-08-29 12:13
中钢天源股份有限公司 2023年1-6月份募集资金存放与使用情况专项报告 根据《深圳证券交易所上市公司自律监管指引第 1 号——主板上市公司规范 运作》及相关格式指引的规定,现将中钢天源股份有限公司(以下简称公司)2023 年 1-6 月份(以下简称本报告期)募集资金存放与使用情况专项说明如下: 一、募集资金基本情况 (一)实际募集资金金额、资金到位时间 1.2017年非公开发行股票 经中国证券监督管理委员会证监许可〔2017〕742 号文核准,公司向中国中 钢股份有限公司及其他不超过 9 名特定对象非公开发行不超过 22,375,681 股新 股募集配套资金。 公司向特定投资者非公开发行人民币普通股 21,215,363 股,每股发行价格为 13.33 元,募集资金总额为 282,800,788.79 元,承销、保荐等发行费用共计 25,868,300.00 元(含税),扣除发行费用后,募集资金净额为 256,932,488.79 元。 本次非公开发行股票募集资金扣除承销、保荐费用 20,000,000.00 元后的 262,800,788.79 元已于 2017 年 9 月 15 日到达公司于徽商银行马鞍 ...
中钢天源:半年度非经营性资金占用及其他关联资金往来情况汇总表
2023-08-29 12:13
单位:元 | | 中钢天源安徽智能装备股份有限 | 控股子公司 | 应收账款 | 2,166,554.70 | 2,351,305.92 | 487,135.90 | 4,030,724.72 | 销售商品 | 经营性往来 | | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | | | 公司 | | | | | | | | | | | 中钢天源( 马鞍山) 通力磁材 | 控股子公司 | 应收账款 | 253,034.23 | 1,446.00 | 8,692.00 | 245,788.23 | 销售商品 | 经营性往来 | | | 有限公司 | | | | | | | | | | | 江苏阜宁海天金宁三环电子有限 公司 | 控股子公司 | 应收账款 | 40,500.00 | 263,800.00 | 120,900.00 | 183,400.00 | 销售商品 | 经营性往来 | | | 中钢天源( 马鞍山) 通力磁材 有限公司 | 控股子公司 | 其他应收款 | 63,607,923.42 | 19,885,355.79 | 14,9 ...
中钢天源:独立董事关于控股股东及其他关联方占用公司资金、公司对外担保情况的专项说明和独立意见
2023-08-29 12:11
公司 2023 年 1-6 月份募集资金存放与使用情况符合有关法律、法规和公司 《募集资金管理办法》的规定,对募集资金进行了专户存储和专项使用,不存在 变相改变募集资金用途的情形,不存在违规存放与使用募集资金的情况,不存在 损害公司及中小股东合法权益的情形,公司已严格按照有关规定使用募集资金, 并及时、真实、准确、完整的对相关信息进行了披露。 二、关于控股股东及其他关联方占用公司资金、公司对外担保情况的专项说 明和独立意见 公司能够认真贯彻执行《上市公司监管指引第 8 号——上市公司资金往来、 对外担保的监管要求》的规定,建立完善的对外担保风险控制制度,公司 2023 年半年度报告披露的对外担保情况与实际情况一致,均按照相关法律法规及《公 司章程》等有关规定,履行了必要的审议程序。截至报告期末,公司不存在任何 违规对外担保的行为。 关于第七届董事会第二十三次会议相关事项的独立意见 根据《中华人民共和国公司法》、《中华人民共和国证券法》、《上市公司独立 董事规则》、《深圳证券交易所股票上市规则》、《深圳证券交易所上市公司自律监 管指引第 1 号——主板上市公司规范运作》、《深圳证券交易所上市公司自律监管 指南第 ...
中钢天源:半年报董事会决议公告
2023-08-29 12:11
一、董事会会议召开情况 中钢天源股份有限公司(以下简称"公司")第七届董事会第二十三次会议 于 2023 年 8 月 28 日(星期一)以现场结合通讯方式召开。会议通知已于 2023 年 8 月 18 日通过专人及电讯方式送达各位董事。本次会议应出席董事 9 人,实 际出席董事 9 人。会议由董事长毛海波先生主持。公司监事及部分高级管理人员 列席了本次会议。会议召开符合有关法律、法规、规章和《公司章程》的规定。 证券代码:002057 证券简称:中钢天源 公告编号:2023-032 中钢天源股份有限公司 第七届董事会第二十三次会议决议公告 本公司及董事会全体成员保证公告内容真实、准确和完整,没有虚假 记载、误导性陈述或者重大遗漏。 二、董事会审议情况 经各位董事认真审议,会议形成了如下决议: (一)审议通过《2023 年半年度报告》 公司《2023 年半年度报告》及其摘要详见公司指定信息披露网站巨潮资讯 网(www.cninfo.com.cn),《2023 年半年度报告摘要》同时刊登在 2023 年 8 月 30 日的《证券时报》、《中国证券报》和《上海证券报》上。 (二)审议通过《2023 年 1-6 月份 ...
中钢天源(002057) - 中钢天源股份有限公司投资者关系活动记录表(2022年度网上业绩说明会)(2)
2023-05-16 12:14
证券代码: 002057 证券简称:中钢天源 中钢天源股份有限公司投资者关系活动记录表 | --- | --- | --- | --- | |----------------|----------------------------------|--------------------------------------|--------------------| | 投资者关系活动 | □特定对象调研 | □ 分析师会议 | | | 类别 | □ 媒体采访 | √ 业绩说明会 | | | | □ 新闻发布会 | □ 路演活动 | | | | □ 现场参观 | | | | | □ 其他 | (请文字说明其他活动内容) | | | 活动参与人员 | 投资者网上提问 | | | | 时间 | 2023 年 5 月 16 日 ( | 周二) 下午 15:00~17:00 | | | 地点 | | 公司通过全景网"投资者关系互动平台"( | https://ir.p5w.net | | | 采用网络远程的方式召开业绩说明会 | | | 形式 线上交流 投资者提出的问题及公司回复情况 公司就投资者在本次说明会中提出的问 ...
中钢天源:中钢天源股份有限公司投资者关系活动记录表(2022年度网上业绩说明会)(2)
2023-05-16 12:14
证券代码: 002057 证券简称:中钢天源 中钢天源股份有限公司投资者关系活动记录表 编号:2023-001 | 投资者关系活动 | □特定对象调研 □ 分析师会议 | | --- | --- | | 类别 □ | 媒体采访 √ 业绩说明会 | | □ | 新闻发布会 路演活动 □ | | □ | 现场参观 | | □ | 其他 (请文字说明其他活动内容) | | 活动参与人员 | 投资者网上提问 | | 时间 | 年 月 日 2023 5 16 (周二) 下午 15:00~17:00 | | 地点 | 公司通过全景网"投资者关系互动平台"(https://ir.p5w.net) | | | 采用网络远程的方式召开业绩说明会 | | 形式 | 线上交流 | | | 投资者提出的问题及公司回复情况 | | | 公司就投资者在本次说明会中提出的问题进行了回复: | | | 1、公司未来将在检验检测领域深度布局,这是高科技含量 | | | 领域,板块是否可以加入科技、AI 等要素,推动该领域高 | | | 速发展 | | | 感谢您的建议。公司将会在以上方面积极谋划,加快推进。 | | | 2、请问并入宝武后是否 ...
中钢天源(002057) - 2022 Q4 - 年度财报
2023-04-28 16:00
Financial Performance - The company's operating revenue for 2022 was CNY 2,762,372,289, representing a 5.70% increase compared to CNY 2,587,854,350 in 2021[20]. - Net profit attributable to shareholders for 2022 was CNY 389,773,813, an increase of 80.75% from CNY 213,688,231 in 2021[20]. - The net profit after deducting non-recurring gains and losses was CNY 336,849,987, a 94.58% increase from CNY 172,992,917 in 2021[20]. - The net cash flow from operating activities for 2022 was CNY 166,884,543, up 29.11% from CNY 127,754,424 in 2021[20]. - Basic earnings per share for 2022 were CNY 0.5200, a 69.66% increase from CNY 0.3038 in 2021[20]. - Total assets at the end of 2022 were CNY 4,979,440,870, reflecting a 1.70% increase from CNY 4,862,596,850 at the end of 2021[21]. - Net assets attributable to shareholders increased by 10.06% to CNY 2,967,808,860 from CNY 2,669,605,220 in 2021[21]. - The company reported a significant increase in quarterly net profit, with Q2 2022 showing CNY 136,385,038, compared to CNY 61,374,833 in Q1 2022[25]. - The company achieved operating revenue of 2,762.37 million yuan, a year-on-year increase of 5.70%[37]. - The net profit attributable to shareholders reached 389.77 million yuan, reflecting a significant year-on-year growth of 80.75%[37]. Dividends and Profit Distribution - The company reported a cash dividend of 2.41 yuan per 10 shares (including tax) based on a total of 759,047,776.00 shares[4]. - The company distributed cash dividends of RMB 182,930,514.02, amounting to RMB 2.41 per 10 shares, representing 100% of the profit distribution total[149]. - The company has a profit distribution policy that mandates at least 30% of the distributable profit to be allocated as dividends when the parent company reports a profit[146]. - The company reported a distributable profit of RMB 389,180,959.69 for the year[149]. - The company has no plans for stock dividends or capital reserve transfers in the current profit distribution proposal[149]. Research and Development - The company holds 501 patents, including 119 invention patents, and has applied for 215 patents during the reporting period[38]. - The company completed 78 new R&D projects and authorized nearly 170 patents during the year[49]. - Research and development expenses increased by 1.02% to ¥152,008,627.99 in 2022 from ¥150,466,498.88 in 2021[67]. - The company is currently developing several key projects, including a digital marketing platform for its quality inspection center, aimed at enhancing its competitive edge in the inspection and testing field[68]. - The company is focusing on innovation and technology development, establishing a research center system across three cities to enhance its R&D capabilities and attract high-end talent[102]. Market Expansion and Strategy - The company is focused on expanding its market presence and enhancing its product offerings through new technology development[4]. - The company aims to achieve ultra-low emissions for waste gas and zero emissions for wastewater in its industrial parks[102]. - The company plans to implement strict budget management and resource allocation to ensure effective goal achievement and cost reduction[102]. - The company aims to establish three industry clusters with over 1 billion in revenue by 2025, focusing on permanent magnet ferrite, rare earth permanent magnets, and soft magnetic materials, with planned capacities of 40,000 tons, 10,000 tons, and 20,000 tons respectively[96]. - The company is expanding its market presence, targeting a 25% increase in market share in the next fiscal year[113]. Risk Management - The company emphasizes the importance of risk management and has outlined potential risks and countermeasures in its future development outlook[4]. - The company has made significant progress in risk prevention and control, with a focus on compliance across all project life cycles[50]. - The company anticipates facing macroeconomic risks, including inflation and demand contraction, which may adversely affect its operations[104]. Governance and Compliance - The financial report has been confirmed by the board and management, ensuring its accuracy and completeness[4]. - The company maintains a strong governance structure, ensuring compliance with regulations and protecting shareholder interests[111]. - The company has implemented a structured approach to determining remuneration based on performance assessments[131]. - The company has a structured management team with clear roles and responsibilities, ensuring effective governance[114][115]. - The company has not reported any unfulfilled commitments or reasons for delays in execution during the reporting period[198]. Environmental Compliance - The company has ensured that all emissions from its facilities are within the limits set by the relevant environmental standards, demonstrating commitment to sustainability[164]. - The company has implemented strict measures to monitor and control emissions from its production processes, ensuring compliance with national standards[164]. - The company reported a total discharge of 1.139 tons of COD, with a concentration of 24.3 mg/L, which is within the emission standards[162]. - The company achieved a total nitrogen discharge of 0.5170 tons, with a concentration of 24.96 mg/L, meeting the required standards[164]. - The company has invested in environmental protection measures across all subsidiaries to enhance compliance and reduce environmental impact[161]. Employee Management - The total number of employees at the end of the reporting period was 1,332, with 174 in the parent company and 1,158 in major subsidiaries[143]. - The employee training program included various professional courses, focusing on technology, management, and leadership skills[145]. - The company has implemented a structured training system for employees, enhancing skills from entry-level to key positions[145]. - The company has zero retired employees requiring pension expenses, indicating a focus on current workforce management[143]. Acquisitions and Investments - The company completed the acquisition of shares in multiple subsidiaries, including New Graphite Materials and Nanjing Environmental Engineering Technology Research Institute[154]. - The company is actively monitoring and reporting on its environmental impact, ensuring transparency and accountability in its operations[167]. - The company is exploring potential mergers and acquisitions to strengthen its market position and expand its operational footprint[167].