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广博股份: 重大信息内部报告制度(2025年8月)
Zheng Quan Zhi Xing· 2025-08-22 16:16
Core Points - The document outlines the internal reporting system for significant information at Guangbo Group Co., Ltd, ensuring timely and accurate disclosure to protect investors' rights [1][2] - The internal reporting system applies to the company, subsidiaries, and affiliated companies, mandating that relevant personnel report significant information to the chairman and board secretary immediately [1][2] Group 1: Definition and Scope of Significant Information - Significant information includes periodic reports, matters for board review, transaction matters, and related party transactions, among others [2][3] - Specific thresholds for reporting include transactions exceeding 10 million yuan or 10% of audited annual revenue or net profit [2][3] Group 2: Reporting Procedures - Personnel with reporting obligations must report significant information to the chairman and board secretary immediately, followed by written documentation within 24 hours [6] - The board secretary is responsible for analyzing reported information and ensuring compliance with disclosure obligations [5] Group 3: Management and Responsibilities - The company implements a real-time reporting system, requiring all departments and subsidiaries to report significant information accurately and promptly [5][6] - The first responsible person for internal reporting is designated, and department heads are tasked with collecting and organizing significant information [6] Group 4: Confidentiality and Accountability - Individuals aware of undisclosed significant information have a confidentiality obligation until the information is publicly disclosed [6] - Failure to report significant information in a timely manner may result in accountability for the responsible personnel, including potential disciplinary actions [6]
广博股份: 委托理财管理制度(2025年8月)
Zheng Quan Zhi Xing· 2025-08-22 16:16
第二章 委托理财操作规则 第五条 公司进行委托理财的,应当选择资信状况及财务状况良好、无不良 诚信记录及盈利能力强的合格专业理财机构作为受托方,并与受托方签订书面合 同,明确委托理财的金额、期限、投资品种、双方的权利义务及法律责任等。 公司委托理财是以提高资金使用效率、增加现金资产收益为原则,通过商业 银行理财、信托理财及其他理财工具进行运作和管理行为。在确保安全性、流动 性的基础上实现资金的保值增值。达到《公司章程》《投资管理制度》等相关规 定的金额标准的,应当经董事会审议通过,审计委员会、保荐机构或独立财务顾 问发表明确同意意见。 第六条 公司必须以公司名义设立委托理财账户,不得使用其他公司或个人 账户进行与理财业务相关的行为。 广博集团股份有限公司 委托理财管理制度 第一章 总 则 第一条 为规范广博集团股份有限公司(以下简称"公司")的委托理财交 易行为,保证公司资金、财产安全,有效防范投资风险,维护股东和公司的合法 权益,根据中国证监会《上市公司信息披露管理办法》《深圳证券交易所股票上 市规则》(以下简称"《股票上市规则》")及《广博集团股份有限公司章程》 (以下简称"《公司章程》")等法律法规和相 ...
广博股份: 投资管理制度(2025年8月)
Zheng Quan Zhi Xing· 2025-08-22 16:16
Core Viewpoint - The investment management system of Guangbo Group Co., Ltd. aims to standardize investment behavior, reduce risks, enhance returns, and protect the rights of the company, shareholders, and creditors [1]. Group 1: General Principles - The investment behavior of the company must comply with national laws and regulations, align with national industrial policies, and adhere to the company's development strategy [1]. - Investments should focus on economic benefits, optimize resource allocation, and ensure cooperation and supervision among departments [1]. - The principle of protecting the legal rights of the company and its shareholders is emphasized [1]. Group 2: Investment Decision-Making and Procedures - The company's shareholders' meeting and board of directors are the decision-making bodies for investments, each exercising decision-making authority within their respective scopes [2]. - Certain external investment matters require board approval if they meet specific criteria, such as asset totals exceeding 10% of the company's audited total assets or net profits exceeding 10% of the audited net profits [2][3]. - Transactions involving related parties must also comply with the company's related party transaction decision-making system [4]. Group 3: Implementation and Management of External Investments - Once an external investment project is established, the company must monitor the entire implementation process [10]. - The general manager/chairman is responsible for tracking management aspects such as construction progress, capital input, and operational effectiveness [11]. - The audit department supervises investment projects and conducts audits after project completion [12]. Group 4: Financial Management and Auditing of External Investments - The company conducts a comprehensive review of investments at the end of each fiscal year and requires subsidiaries to submit financial reports regularly [20][21]. - Financial management policies and accounting estimates of subsidiaries must adhere to the company's accounting management system [21]. Group 5: Accountability for External Investments - If external investments do not meet planned expectations or result in significant losses, the company will investigate the causes and take corrective actions [24]. - Individuals responsible for causing losses due to negligence will be held accountable according to company regulations [26]. Group 6: Miscellaneous Provisions - The term "most recent audited" refers to the latest audit conducted within the last 12 months [28]. - The investment management system will take effect upon approval by the shareholders' meeting and will replace the previous major event disposal system [29][30].
广博股份: 年报信息披露重大差错责任追究制度(2025年8月)
Zheng Quan Zhi Xing· 2025-08-22 16:16
券交易所股票上市规则》《公开发行证券的公司信息披露内容与格式准则第 2 号 ——年度报告的内容与格式》等法律、法规、规范性文件及《广博集团股份有限 公司章程》(以下简称"《公司章程》")《信息披露管理制度》的有关规定,结合 公司的实际情况,特制定本制度。 广博集团股份有限公司 年报信息披露重大差错责任追究制度 第一章 总 则 第一条 为了进一步提高广博集团股份有限公司(以下简称"公司"或"本 公司")的规范运作水平,增强信息披露的真实性、准确性、完整性和及时性, 提高年报信息披露的质量和透明度,根据《中华人民共和国公司法》《中华人民 共和国证券法》 《上市公司信息披露管理办法》 《上市公司治理准则》和《深圳证 第二条 公司有关人员应当严格执行《企业会计准则》及相关规定,严格遵 守公司与财务报告相关的内部控制制度,确保财务报告真实、公允地反映公司的 财务状况、经营成果和现金流量。公司有关人员不得干扰、阻碍审计机构及相关 注册会计师独立、客观地进行年报审计工作。 第三条 公司董事、高级管理人员以及与年报信息披露相关的其他人员在年 报信息披露工作中违反国家有关法律、法规、规范性文件以及公司规章制度,未 勤勉尽责或者 ...
广博股份: 信息披露暂缓与豁免业务管理制度(2025年8月)
Zheng Quan Zhi Xing· 2025-08-22 16:16
广博集团股份有限公司 信息披露暂缓与豁免业务管理制度 第一章 总 则 第一条 为规范广博集团股份有限公司(以下简称"公司")信息披露暂缓与 豁免行为,确保公司及相关信息披露义务人(以下简称"信息披露义务人")依 法合规地履行信息披露义务,保护投资者的合法权益,根据《中华人民共和国公 司法》《中华人民共和国证券法》《上市公司信息披露管理办法》《深圳证券交易 所股票上市规则》 (以下简称" 《股票上市规则》")以及有关法律、法规、规章和 《广博集团股份有限公司章程》 (以下简称"《公司章程》")、 公司信息披露管理制度》的规定,结合公司信息披露工作的实际情况,制定本制 度。 第二条 公司按照《股票上市规则》及交易所其他相关业务规则的规定,办 理信息披露暂缓、豁免业务的,适用本制度。 第三条 公司拟披露的信息存在《股票上市规则》及交易所其他相关业务规 则中规定的可暂缓、豁免披露情形的,由公司自行审慎判断,并接受深圳证券交 易所对有关信息披露暂缓、豁免事项的事后监管。 第二章 信息披露暂缓与豁免的适用情形 第四条 公司拟披露的信息存在不确定性,属于临时性商业秘密等情形,及 时披露可能损害公司利益或者误导投资者的,可以 ...
广博股份: 子公司管理制度(2025年8月)
Zheng Quan Zhi Xing· 2025-08-22 16:16
General Principles - The purpose of the management system is to strengthen control over subsidiaries, standardize internal operations, protect the rights of the company and investors, and promote healthy development of subsidiaries [1][2] - Subsidiaries are defined as companies where the parent company holds more than 50% of the shares or has actual control over them [1] Corporate Governance - Subsidiaries must operate independently within the framework of the company's overall strategic goals and comply with relevant laws and regulations [3][6] - Subsidiaries are required to establish a sound governance structure and internal management systems [3][4] - Meeting proposals from subsidiaries must be submitted to the parent company for review before being organized [4][5] Financial Management - Subsidiaries must develop financial and accounting systems based on their operational characteristics and management requirements [4][11] - Financial reports must be submitted to the parent company regularly, including balance sheets and cash flow statements [4][12] - Subsidiaries are prohibited from lending funds or providing guarantees without the parent company's approval [4][14] Operational Management - Subsidiaries should create strategic plans aligned with the parent company's overall development strategy [5][18] - Any significant operational changes or emergencies must be reported to the parent company promptly [5][19] - Regular operational reports must be submitted to the parent company [5][20] Investment Management - Subsidiaries must obtain approval from their decision-making bodies for external investments, and significant transactions must be approved by the parent company's board [6][21] - Investment management procedures should be established to enhance project management and risk control [6][22] Management of Directors and Senior Executives - The parent company appoints or recommends directors and senior executives to subsidiaries based on investment ratios or agreements [7][23] - Appointed individuals must comply with laws and regulations and ensure the company's interests are protected [7][25] Audit Supervision - The parent company has the right to conduct regular or irregular audits of subsidiaries [8][27] - Subsidiaries must cooperate with audits and implement corrective actions based on audit findings [8][29] Information Disclosure - Subsidiaries are required to report significant business and financial matters to the parent company in a timely manner [9][31] - The legal representative of the subsidiary is responsible for managing and reporting information disclosure [9][34] Performance Assessment and Incentives - The company will establish performance assessment and incentive policies for subsidiaries to promote sustainable development [9][35] - Subsidiaries must create internal assessment systems for their senior management [9][36]
广博股份: 信息披露管理制度(2025年8月)
Zheng Quan Zhi Xing· 2025-08-22 16:16
广博集团股份有限公司 信息披露管理制度 第一章 总则 第一条 为规范广博集团股份有限公司(以下简称"公司")的信息披露行 为,加强信息披露事务管理,保护投资者合法权益,根据《中华人民共和国公司 法》(以下简称"《公司法》")《中华人民共和国证券法》(以下简称"《证 券法》")《上市公司信息披露管理办法》《深圳证券交易所股票上市规则》(以 下简称"《股票上市规则》")等法律、法规及《广博集团股份有限公司章程》 (以下简称"《公司章程》")的有关规定,制定本制度。 第二条 本制度所称信息披露是指达到证券监管部门关于公司信息披露的标 准要求,根据相关法律、法规、部门规章及证券监管部门的规范性文件,将可能 对公司股票及衍生品种价格产生较大影响而投资者尚未得知的重大信息,在规定 时间内,通过规定的媒体,以规定的方式向社会公众公布,并在证券监管部门备 案。 第三条 本制度所指信息是指可能对公司证券及其衍生品种交易价格或对投 资者作出价值判断和投资决策产生较大影响的信息及证券监管机构要求披露的 其他信息。 第四条 公司的信息披露义务人包括但不限于: 信息披露义务人披露的信息应当同时向所有投资者披露,不得提前向任何单 位和个 ...
广博股份: 关联交易公允决策制度(2025年8月)
Zheng Quan Zhi Xing· 2025-08-22 16:16
第二条 本制度所称关联交易,是指公司或者控股子公司与公司关联人之间发 生的转移资源或者义务的事项,包括以下交易: 广博集团股份有限公司 -1- 第三条 公司的关联人包括关联法人(或者其他组织)和关联自然人。具有以 下情形之一的法人或者其他组织,为公司的关联法人(或者其他组织): 关联交易公允决策制度 第一章 总 则 第一条 为进一步加强广博集团股份有限公司(以下简称"本公司"或"公司") 关联交易管理,明确管理职责和分工,维护公司股东和债权人的合法利益,特别 是中小投资者的合法利益,保证公司与关联方之间订立的关联交易合同符合公平、 公正、公开的原则,依据《中华人民共和国公司法》《深圳证券交易所股票上市 规则》《广博集团股份有限公司章程》(以下简称"《公司章程》")以及其它有 关法律、法规、规章的规定,制定本制度。 (一)直接或者间接控制公司的法人(或者其他组织); (二)由前项所述法人(或者其他组织)直接或者间接控制的除公司、控股 子公司及控制的其他主体以外的法人(或者其他组织); (三)持有公司5%以上股份的法人(或者其他组织)及其一致行动人; (四)由公司关联自然人直接或者间接控制的,或者担任董事(不含同 ...
广博股份: 内部控制制度(2025年8月)
Zheng Quan Zhi Xing· 2025-08-22 16:16
Core Points - The internal control system of Guangbo Group aims to enhance operational efficiency, profitability, and the reliability of financial information while safeguarding assets and mitigating risks [2][3] - The internal control objectives include ensuring compliance with laws and regulations, improving operational efficiency, safeguarding assets, and ensuring accurate financial reporting [3][4] - The internal audit department is responsible for supervising the establishment and execution of the internal control system and reporting significant deficiencies [4][6] Internal Control Environment - The internal control environment encompasses governance structure, organizational setup, authority distribution, human resource policies, and corporate culture [3][8] - The company establishes a clear division of responsibilities and organizational structure to ensure accountability [8][9] - The company emphasizes the importance of internal audit independence and the need for a robust internal audit framework [4][5] Risk Assessment - Risk assessment is designed to help the company identify and analyze risks associated with achieving internal control objectives [6][14] - The company is committed to continuously collecting relevant information for risk assessment and adjusting strategies accordingly [14][16] - Various risk response strategies, including risk avoidance and risk reduction, are employed to effectively manage risks [16][17] Control Activities - Control activities include departmental setup, job responsibilities, business regulations, and processes [7][19] - The company has established a risk warning mechanism and emergency response procedures for significant risks [19][21] - A scientific evaluation system is in place to assess employee performance, which influences compensation and career progression [21][23] Information and Communication - The company has established internal communication protocols to enhance information flow and management transparency [9][27] - An intelligent office system is utilized to facilitate internal communication and external information dissemination [27][29] - The company has a dedicated information disclosure management system to ensure timely and accurate information release [29][30] Internal Supervision - The audit committee of the board is responsible for overseeing the internal control system and ensuring its effectiveness [10][31] - Internal audit reports are submitted to the board and audit committee, highlighting deficiencies and improvement suggestions [31][36] - Regular self-assessments of internal control effectiveness are conducted, with findings reported to the board [36][38] Conclusion - The internal control system is crucial for the company's operational integrity and compliance with regulations, with ongoing evaluations and adjustments to enhance its effectiveness [15][42] - The board is responsible for interpreting and revising the internal control system, which takes effect upon approval [15][43]
广博股份: 股东会议事规则(2025年8月)
Zheng Quan Zhi Xing· 2025-08-22 16:16
Core Points - The document outlines the rules for the shareholders' meeting of Guangbo Group Co., Ltd, ensuring compliance with relevant laws and regulations [1][2][3] - The shareholders' meeting is the authority of the company, responsible for key decisions such as electing directors, approving financial reports, and making significant corporate changes [3][4] - The document specifies the procedures for convening meetings, including the rights of independent directors and shareholders to propose meetings [6][7][8] Group 1 - The shareholders' meeting must be held annually within six months after the end of the previous fiscal year, with provisions for extraordinary meetings as needed [1][2] - Legal opinions must be obtained for the meeting's procedures, attendance qualifications, and voting results [2] - The meeting has the authority to elect and replace directors, approve profit distribution plans, and make decisions on capital changes and major asset transactions [3][4] Group 2 - The document details the conditions under which guarantees and significant transactions must be submitted for shareholder approval [4][5] - Shareholders holding more than 10% of shares can request a temporary meeting, and the board must respond within ten days [6][7] - The notice for the meeting must include essential details such as time, location, and agenda, ensuring transparency for all shareholders [10][11] Group 3 - Voting procedures are outlined, including the requirement for a majority or two-thirds majority for different types of resolutions [42][44] - The document emphasizes the importance of maintaining order during meetings and the responsibilities of the board and independent directors [24][25] - It mandates that meeting records be kept for at least ten years, ensuring accountability and traceability of decisions made [15][41]