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北控水务集团(00371) - 海外监管公告-北控水务集团有限公司在中国公开发行2025年可续期公司...

2025-05-07 14:41
香港交易及結算所有限公司及香港聯合交易所有限公司對本公告的內容概不負責,對其 準確性或完整性亦不發表任何聲明,並明確表示,概不對因本公告全部或任何部份內容 而產生或因倚賴該等內容而引致的任何損失承擔任何責任。 海外監管公告 北控水務集團有限公司 在中國公開發行 2025 年可續期公司債券 本海外監管公告乃由北控水務集團有限公司(「本公司」)根據香港聯合交易所 有限公司證券上市規則第 13.10B 條刊發。 謹此提述本公司日期為二零二五年四月三十日就有關中國證券監督管理委員會批 准本公司公開發行面值總額不超過人民幣100億元之公司債券的公告。除另有界定 者外,本公告所用詞彙與該公告所界定者具相同涵義。 首期可續期公司債券分為兩個品種,根據簿記建檔結果,最終確定品種一的票面 利率為 2.21%,品種二的票面利率為 2.42%。 本公司已在上交所網站(www.sse.com.cn) 上載以下有關首期可續期公司債券發行 的文件: 1. 關於延長北控水務集團有限公司 2025 年面行專業投資者公開發行科技創新 可續期公司債券(第一期)簿記建檔時間的公告。詳細內容,請參閱本公司 於上交所網站刊發的公告,網址如下: htt ...
北控水务集团(00371) - 海外监管公告-北控水务集团有限公司在中国公开发行2025年可续期公司...

2025-04-30 10:33
北控水務集團有限公司 在中國公開發行 2025 年可續期公司債券 香港交易及結算所有限公司及香港聯合交易所有限公司對本公告的內容概不負責,對其 準確性或完整性亦不發表任何聲明,並明確表示,概不對因本公告全部或任何部份內容 而產生或因倚賴該等內容而引致的任何損失承擔任何責任。 海外監管公告 本海外監管公告乃由北控水務集團有限公司(「本公司」)根據香港聯合交易所 有限公司證券上市規則第 13.10B 條刊發。 本公司董事會(「董事會」)欣然宣佈,中國證券監督管理委員會(「證監 會」)已批准本公司建議發行面值總額不超過人民幣100億元的公司債券之申請 (「公司債券」)。 公司債券將分期發行,本公司計劃首期發行規模不超過人民幣20億元,本公司將 根據發行時資金需求及市場情況等因素與主承銷商協商確定各期發行時間、發行 規模及其他發行條款,最終票面利率將根據主承銷商的簿記建檔過程確定。分期 發行公司債券可於自證監會同意註册之日起24個月內完成。公司債券計劃在上海 證券交易所(「上交所」)上市。 首期公司債券扣除發行費用所得款項用於償還本公司到期公司有息負債。 中信建投證券股份有限公司將作爲發行之牽頭主承銷商,中國國際金融 ...
北控水务集团(00371) - 海外监管公告
2025-04-30 09:29
香港交易及結算所有限公司及香港聯合交易所有限公司對本公告的內容概不負責,對其準確性 或完整性亦不發表任何聲明,並明確表示,概不對因本公告全部或任何部份內容而產生或因倚 賴該等內容而引致的任何損失承擔任何責任。 香港,二零二五年四月三十日 於本公告日期,本公司董事會由七名執行董事包括熊斌先生(主席)、周敏先生(行政總裁)、李海 楓先生、沙寧女士、張文江先生、董渙樟先生及李力先生,一名非執行董事袁建偉先生,以及 五名獨立非執行董事包括佘俊樂先生、郭銳先生、周安達源先生、戴曉虎先生及陳肇始女士組 成。 謹此提述本公司日期為二零二四年八月十九日就有關中國證券監督管理委員會批准本公 司全資附屬公司北控水務(中國)投資有限公司(「發行人」)公開發行面值總額不超過人 民幣50億元的可續期公司債券的公告、日期為二零二四年八月二十二日就發行第一期可 續期公司債券人民幣10億元的公告及日期為二零二四年十二月五日就發行第二期可續期 公司債券人民幣15億元的公告(「該等公告」) 。該等債券仍在上交所上市。除另有界定 者外,本公告所用詞彙與該等公告所界定者具相同涵義。 發行人已在上交所網站(www.sse.com.cn)上載以下有關可 ...
北控水务集团(00371) - 海外监管公告
2025-04-28 14:17
香港交易及結算所有限公司及香港聯合交易所有限公司對本公告的內容概不負責,對其準確性 或完整性亦不發表任何聲明,並明確表示,概不對因本公告全部或任何部份內容而產生或因倚 賴該等內容而引致的任何損失承擔任何責任。 承董事會命 北控水務集團有限公司 主席 熊斌 本海外監管公告乃由北控水務集團有限公司(「本公司」)根據香港聯合交易所有限公司 證券上市規則第 13.10B 條刊發。 謹此提述本公司日期為二零二一年七月九日就有關中國證券監督管理委員會批准本公司 公開發行面值總額不超過人民幣35億元之熊貓債券的公告、日期為二零二一年七月十五 日有關發行第一期熊貓債券人民幣20億元的公告、日期為二零二四年七月十七日有關發 行熊貓債券(第一期)(品種一)人民幣10億元提前摘牌的公告(「該等公告」)。當中 熊貓債券(第一期)(品種二)人民幣10億元仍在上交所上市。除另有界定者外,本公 告所用詞彙與該等公告所界定者具相同涵義。 本公司已在上交所網站(www.sse.com.cn)上載以下有關熊貓債券的文件: - 北控水務集團有限公司 2024 年公司債券年度報告。詳情請參閱本公司於上交所網站 刊發的公告,網址如下: https:/ ...
北控水务集团(00371) - 二零二四年可持续发展报告

2025-04-28 11:39
| 關於本報告 | | --- | | 董事會聲明 | | 董事長致辭 | | 總裁致辭 | | 關於我們 | | | 0 0 | | --- | --- | | 高品質水務運營 | | | 築牢社會用水安全屏障 (Water) ロ 可同 | DID | | 品質用水保障 | 25 | | 高質量污水處理 | 29 | | 資源化利用 | 37 | | 全方位責任踐行 | | | --- | --- | | 共築和諧社會民生福祉 (Satisfaction) ים 日日 | | | 合規經營 | 63 | | 人才管理 | 69 | | 安全健康 | 79 | | 客户服務 | 83 | | 供應鏈管理 | 87 | | 温暖社會 | 91 | | 间 | | | --- | --- | | | 可持續發展進展 | | 画面 | | | 2024 北控水務榮譽及成果展示 | 1 | | --- | --- | | ESG 管治 | 1 | | 可持續發展行動方向 | 1 | | W.I.S.E.關鍵指標 | 1 | | ם ₪ | ם | | --- | --- | | 數智化轉型賦能 | | | a 打造智 ...
北控水务集团(00371) - 股东週年大会通告

2025-04-28 08:51
香港交易及結算所有限公司及香港聯合交易所有限公司對本通告的內容概不負責,對其準確性 或完整性亦不發表任何聲明,並明確表示,概不對因本通告全部或任何部份內容而產生或因倚 賴該等內容而引致的任何損失承擔任何責任。 (於百慕達註冊成立之有限公司) (股份代號:371) 股東週年大會通告 普通決議案 1 1. 省覽及考慮截至二零二四年十二月三十一日止年度之本公司經審核綜合財務 報表及董事會報告書及核數師報告書。 2. 宣派每股9.1港仙的本公司末期股息。 3. (a) 每項以獨立決議案方式重選下列人士作為本公司董事(各為一名「董事」, 連同本公司全體其他董事統稱為「董事」): (i) 周敏先生為執行董事; (ii) 沙寧女士為執行董事; (iii) 袁建偉先生為非執行董事; 「動議 2 (iv) 郭銳先生為獨立非執行董事; (v) 周安達源先生為獨立非執行董事;及 (vi) 戴曉虎先生為獨立非執行董事。 (b) 授權本公司董事會釐定董事酬金。 4. 續聘德勤 • 關黃陳方會計師行為本公司之核數師並授權本公司董事會釐定其酬 金。 5. 作為特別事項,考慮並酌情通過下列決議案(不論有否修訂)為本公司普通決議 案: (A) ...
北控水务集团(00371) - 致非登记股东之函件 - 刊发二零二四年年报及日期為二零二五年四月二十...

2025-04-28 08:50
(Incorporated in Bermuda with limited liability) (於百慕達註冊成立之有限公司) (Stock code: 371) (股份代號:371) NOTIFICATION LETTER 通知信函 Should you have any queries relating to this notification, please call the Branch Share Registrar's telephone hotline at (852) 2980 1333 from 9:00 a.m. to 6:00 p.m., Monday to Friday (excluding public holidays). Yours faithfully, For and on behalf of Beijing Enterprises Water Group Limited Tung Woon Cheung Eric Director and Company Secretary Notes: 3. It is the responsibility of a Non-regis ...
北控水务集团(00371) - 致登记股东之函件 – 刊发二零二四年年报及日期為二零二五年四月二十九...

2025-04-28 08:49
(Incorporated in Bermuda with limited liability) (於百慕達註冊成立之有限公司) (Stock code: 371) (股份代號:371) NOTIFICATION LETTER 通知信函 29 April 2025 Dear Registered Shareholders (1) , Beijing Enterprises Water Group Limited (the "Company") – Notice of publication of 2024 Annual Report, Circular dated 29 April 2025 containing Notice of Annual General Meeting together with the Form of Proxy and 2024 Sustainability Report (collectively the "Current Corporate Communications") The Current Corporate Communications of the Company ...
北控水务集团(00371) - 建议发行及购回股份之一般授权、重选退任董事及继续委任任期超过九年之独...

2025-04-28 08:46
此乃要件 請即處理 閣下如對本通函任何方面或應採取的行動有任何疑問,應諮詢 閣下的持牌證券商或其他註 冊證券機構、銀行經理、律師、專業會計師或其他專業顧問以獲取獨立意見。 閣下如已出售或轉讓所有名下的北控水務集團有限公司股份,應立即將本通函及隨附的代 表委任表格送交買主或承讓人,或經手買賣或轉讓的銀行、持牌證券商或註冊證券機構或其 他代理商,以便轉交買主或承讓人。 香港交易及結算所有限公司及香港聯合交易所有限公司對本通函的內容概不負責,對其準 確性或完整性亦不發表任何聲明,並明確表示概不對因本通函全部或任何部份內容而產生 或因倚賴該等內容而引致的任何損失承擔任何責任。 (於百慕達註冊成立之有限公司) (股份代號:371) 建議發行及購回股份之一般授權、 重選退任董事及 繼續委任任期超過九年之獨立非執行董事 及 股東週年大會通告 載有北控水務集團有限公司董事會推薦建議之董事會函件載於本通函第3頁至第8頁。 北控水務集團有限公司謹訂於二零二五年六月三日(星期二)下午三時正假座香港灣仔港灣 道18號中環廣場66樓舉行股東週年大會,大會通告載於本通函第20頁至第24頁,並隨函附上 供本公司股東週年大會使用的代表委任表 ...
北控水务集团(00371) - 2024 - 年度财报

2025-04-28 08:44
Financial Performance - For the fiscal year ending December 31, 2024, the company achieved a total revenue of RMB 24,270,499,000, representing a year-on-year decrease of 1.0%[11] - The company's net profit attributable to shareholders was RMB 1,677,600,000, reflecting a year-on-year decline of 11.5%[11] - The company's operating revenue decreased by 1% to RMB 24.27 billion, with a 12% reduction in profit attributable to shareholders, amounting to RMB 1.68 billion[22] - The total revenue for the previous year was RMB 24,519.4 million, indicating a slight decrease in overall performance year-over-year[27] - For the fiscal year ending December 31, 2024, the company's total revenue was RMB 24,270.5 million, a decrease of 1% compared to RMB 24,519.4 million in 2023[30] - The company's net profit attributable to shareholders for 2024 was RMB 6,246.2 million, down 4% from RMB 6,487.8 million in 2023[30] - The total revenue from water treatment services in China reached RMB 8.75 billion, with a gross margin of 57%[23] - The company's overseas water treatment services generated revenue of RMB 429.2 million, with a gross margin of 15%[23] - The water treatment services segment generated RMB 11,622.2 million in revenue, accounting for 47% of total revenue, with a profit attributable to shareholders of RMB 4,672.2 million, representing a 72% margin[26] - The construction of BOT water projects contributed RMB 2,616.0 million in revenue, with a gross profit margin of 17% and a profit attributable to shareholders of RMB 286.8 million[24] - The technology services and equipment sales segment reported revenue of RMB 2,549.4 million, with a gross profit margin of 42% and a profit attributable to shareholders of RMB 499.7 million[24] - The revenue from urban resource services was RMB 6,027.7 million, with a profit attributable to shareholders of RMB 108.5 million, reflecting a 2% margin[24] - The total revenue from sewage and reclaimed water treatment services was RMB 8,748.8 million, with a net profit attributable to shareholders of RMB 3,873.2 million[38] Strategic Focus and Development - The company is focusing on cash flow management and enhancing operational efficiency as part of its strategic transformation towards high-quality development[10] - The company is actively pursuing market expansion and technological innovation to support its strategic goals[12] - The company plans to focus on light asset transformation and deepen strategic changes in 2024, aiming to enhance operational efficiency[14] - The company has successfully secured over a hundred light-asset project contracts, contributing to the steady increase in the proportion of light-asset business[12] - The light-asset business is becoming a significant contributor to the company's overall performance, enhancing its "new content" and "gold content"[12] - The establishment of two technology platforms, Beikong Water Future Technology Co., Ltd. and Beikong Cloud Service Co., Ltd., aims to drive innovation and sustainable development[17] - The company is committed to integrating sustainable development principles into its long-term strategy, enhancing customer communication, and improving service quality[18] - The company has established a business strategy focused on "quality growth, valuable assets, cash profits, and capable organizations," aiming to enhance core capabilities such as quality delivery and smart operations[100] Governance and Corporate Structure - The board of directors is committed to maintaining high corporate governance standards to ensure transparency and protect shareholder rights[99] - The board consists of various members, including executive, non-executive, and independent directors, with a focus on compliance with corporate governance codes[103][104] - The board aims to ensure gender diversity and avoid a single-gender composition among its members[113] - The company has a board diversity policy in place since 2013, focusing on various factors such as gender, age, and professional experience for board member selection[111] - The board has appointed new directors to maintain a balance of experience and skills, with recent appointments made in February and June 2024[115] - The company has established four committees under the board to enhance governance practices[124] - The audit committee is responsible for overseeing the integrity of the company's financial statements and the relationship with the auditor[125] - The company has adopted a nomination policy outlining the selection criteria and procedures for new and reappointed directors[130] Risk Management and Compliance - The company has established a risk management framework consisting of "three lines of defense" to ensure effective risk management and internal controls[143] - The risk management department has implemented strict guidelines and procedures to monitor each investment unit, aiming to reduce risks and external impacts[146] - The company has taken corrective actions based on last year's findings and deficiencies in internal controls[147] - The audit committee reported no significant internal control deficiencies as of December 31, 2024, affirming the effectiveness of the group's risk management and internal control systems[149] - The group has established a whistleblowing policy to allow employees and stakeholders to report potential misconduct confidentially[151] - The group has implemented an anti-bribery and anti-corruption system to prevent fraudulent activities among employees[152] Shareholder Engagement and Communication - The company is committed to regular communication and reasonable disclosure of information to shareholders, utilizing various channels for effective engagement[162] - The board believes that effective investor relations play a crucial role in creating shareholder value and enhancing company transparency[163] - The company has actively taken measures to improve communication with shareholders and increase transparency as of the fiscal year ending December 31, 2024[165] - The company has established a dedicated email account for inquiries from shareholders or potential investors[162] - The company has a policy in place to solicit feedback from shareholders and institutional investors[162] Employee and Social Responsibility - The company emphasizes the importance of maintaining close relationships with employees, customers, and business partners to ensure sustainable development[138] - The company provides competitive compensation and benefits to employees based on their merits and performance[138] - The gender diversity ratio among employees is approximately 53% male and 47% female, indicating satisfactory gender diversity within the workforce[118] Financial Instruments and Debt Management - The total debt amounted to RMB 75,502,200,000, including bank and other borrowings of RMB 60,931,000,000 and corporate bonds of RMB 14,571,200,000[90] - The debt-to-equity ratio as of December 31, 2024, was 1.19, up from 1.18 as of December 31, 2023, primarily due to increased borrowings[91] - The company issued medium-term notes with an outstanding principal amount of RMB 1,000,000,000 at an annual interest rate of 4.49%, maturing in January 2029[199] - A wholly-owned subsidiary issued medium-term notes with an outstanding principal of RMB 2,000,000,000, maturing in March 2028 and March 2030, with interest rates of 3.43% and 3.98% respectively[199] - The company has outstanding medium-term notes of RMB 1,500,000,000 at an interest rate of 3.98%, maturing in April 2029[200]