三木集团:截至2025年8月12日,公司及控股子公司对外担保余额为9000万元
Group 1 - The revenue composition of Sanmu Group for the year 2024 is as follows: 90.74% from commodity trading, 6.94% from real estate, 0.99% from property management fees, 0.87% from leasing, and 0.22% from hotel services [1] Group 2 - As of August 12, 2025, the total external guarantee balance for Sanmu Group and its subsidiaries is 90 million yuan; the parent company guarantees approximately 3.13 billion yuan for wholly-owned subsidiaries; the parent company guarantees 971 million yuan for controlling subsidiaries; the total amount of these three guarantees is approximately 4.191 billion yuan, which accounts for 412.02% of the company's most recent audited net assets [3]