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吉林泉阳泉股份有限公司关于签订募集资金专户存储四方监管协议的公告
证券代码:600189 证券简称:泉阳泉 公告编号:临2025一023 吉林泉阳泉股份有限公司 关于签订募集资金专户存储四方监管协议的公告 本公司及董事会全体成员保证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、准确和完整承担法律责任。 一、募集资金基本情况 经中国证券监督管理委员会证监许可[2017]1796号文《关于核准吉林森林工业股份有限公司向中国吉林 森林工业集团有限责任公司等发行股份购买资产并募集配套资金的批复》核准,吉林泉阳泉股份有限公 司(原名为吉林森林工业股份有限公司,以下简称"公司")向中国吉林森林工业集团有限责任公司、魏 方、赵立勋、吉林省吉盛资产管理有限责任公司、吉林省亚东国有资本投资有限公司非公开发行 62,100,000股新股募集配套资金,发行价格为人民币6.80元/股,募集资金总额为人民币422,280,000.00 元,扣减发行费用6,570,000.00元后,募集资金净额为415,710,000.00元。上述募集资金于2018年2月8日 到位,瑞华会计师事务所(特殊普通合伙)出具了瑞华验字[2018]22040002号《验资报告》,对上述募 集资金到位 ...
中航光电(002179.SZ):2025年一季报净利润为6.40亿元、同比较去年同期下降14.78%
Xin Lang Cai Jing· 2025-05-01 01:51
Core Viewpoint - 中航光电's Q1 2025 financial report shows strong revenue growth but a decline in net profit and cash flow, indicating mixed performance in the competitive landscape [1][3]. Financial Performance - The company's total revenue for Q1 2025 reached 4.839 billion yuan, ranking first among disclosed peers, with an increase of 0.825 billion yuan, representing a year-on-year growth of 20.56% [1]. - The net profit attributable to shareholders was 640 million yuan, ranking first among peers, but decreased by 111 million yuan, reflecting a year-on-year decline of 14.78% [1]. - Operating cash flow showed a net outflow of 1.126 billion yuan, ranking 64th among peers, a decrease of 0.981 billion yuan compared to the same period last year [1]. Financial Ratios - The latest debt-to-asset ratio is 36.68%, ranking 47th among peers, with a decrease of 2.09 percentage points from the previous quarter but an increase of 1.53 percentage points year-on-year [3]. - The gross profit margin is 28.44%, ranking 42nd among peers, down by 8.17 percentage points from the previous quarter and 7.12 percentage points year-on-year [3]. - Return on equity (ROE) stands at 2.63%, ranking first among peers, but has decreased by 0.85 percentage points compared to the same period last year [3]. Earnings Per Share and Turnover Ratios - The diluted earnings per share (EPS) is 0.31 yuan, ranking second among peers, down by 0.06 yuan, which is a year-on-year decline of 15.75% [3]. - The total asset turnover ratio is 0.12 times, ranking 6th among peers, remaining flat compared to last year but showing a year-on-year increase of 4.08% [3]. - The inventory turnover ratio is 0.71 times, ranking 6th among peers, with an increase of 0.11 times year-on-year, reflecting an 18.54% growth [3]. Shareholder Structure - The number of shareholders is 62,300, with the top ten shareholders holding 1.113 billion shares, accounting for 52.53% of the total share capital [3]. - The largest shareholder is China Aviation Technology Industry Company, holding 36.76% of the shares [3].
中航成飞(302132.SZ):2025年一季报净利润为1.56亿元、同比较去年同期下降89.50%
Xin Lang Cai Jing· 2025-05-01 01:49
公司最新总资产周转率为0.03次,在已披露的同业公司中排名第47,较去年同期总资产周转率减少0.05 次,同比较去年同期下降64.52%。最新存货周转率为0.11次,在已披露的同业公司中排名第55,较去年 同期存货周转率减少0.19次,同比较去年同期下降63.92%。 公司股东户数为5.47万户,前十大股东持股数量为24.29亿股,占总股本比例为90.73%,前十大股东持 股情况如下: | 序号 | 股东名称 | 持股比例 | | --- | --- | --- | | I | 中国航空工业集团有限公司 | 78.52% | | WN | 汉中汉航机电有限公司 | 5.74% | | | 汉中航空工业(集团)有限公司 | 5.28% | | 4 | 中国工商银行股份有限公司-易方达创业板交易型开放式指数证券投资基金 | 0.27% | | 5 | 中国航空科技工业股份有限公司 | 0.26% | | 6 | 王民 | 0.15% | | 7 | 中国农业银行股份有限公司-中证500交易型开放式指数证券投资基金 | 0.14% | | 8 | 中国建设银行股份有限公司-富国中证军工龙头交易型开放式指数证券投资基 ...
机构风向标 | 方正证券(601901)2025年一季度已披露前十大机构累计持仓占比64.83%
Xin Lang Cai Jing· 2025-05-01 01:27
Group 1 - The core viewpoint of the news is that as of April 30, 2025, institutional investors hold a significant portion of the shares of Founder Securities, with a total of 53.44 billion shares, representing 64.91% of the company's total equity [1] - The top ten institutional investors collectively hold 64.83% of the shares, with a slight decrease of 0.32 percentage points compared to the previous quarter [1] - The major institutional investors include New Founder Holdings, National Social Security Fund, China Cinda Asset Management, and several major banks and investment funds [1] Group 2 - In the public fund sector, two funds increased their holdings, accounting for a 0.15% increase, while three funds saw a slight decrease in their holdings [2] - A total of 220 public funds did not disclose their holdings in this period, including several major ETFs related to the securities industry [2]
机构风向标 | 上声电子(688533)2025年一季度已披露前十大机构持股比例合计下跌2.25个百分点
Xin Lang Cai Jing· 2025-05-01 01:22
Group 1 - The core viewpoint of the news is that the institutional ownership of Shangsheng Electronics has seen a slight decline in the first quarter of 2025, with significant holdings concentrated among a few key investors [1] - As of April 30, 2025, a total of 12 institutional investors hold 121 million shares of Shangsheng Electronics, representing 74.58% of the total share capital [1] - The top ten institutional investors account for 74.54% of the total shares, with a decrease of 2.25 percentage points compared to the previous quarter [1] Group 2 - In the public fund sector, three funds increased their holdings, including E Fund New Silk Road Mixed Fund, Ping An Enjoy Flexible Allocation Mixed A, and Everbright Baodexin Anyang One-Year Mixed A, with an increase ratio of 0.30% [2] - Two public funds reduced their holdings, namely Southern Science and Technology Innovation Board 3-Year Regular Open Mixed and Ping An Flexible Allocation Mixed A, also with a decrease ratio of 0.30% [2] - Two new public funds were disclosed this quarter, including China Europe Yongyu Mixed A and Jingguan Taifu Technology Driven Mixed A, while 166 public funds were not disclosed this quarter [2]
机构风向标 | 瑞达期货(002961)2025年一季度已披露前十大机构持股比例合计下跌1.17个百分点
Xin Lang Cai Jing· 2025-05-01 01:19
Group 1 - The core viewpoint of the news is that as of April 30, 2025, institutional investors hold a significant majority of Ruida Futures' A-shares, with a total holding of 359 million shares, representing 80.59% of the total share capital [1] - The top ten institutional investors collectively hold 80.54% of the shares, which is a decrease of 1.17 percentage points compared to the previous quarter [1] Group 2 - In the public fund sector, there was a slight increase in holdings from one public fund, namely Baoying New Sharp Mixed A, while four new public funds were disclosed compared to the previous quarter [2] - A total of 155 public funds were not disclosed in this period, including several notable funds such as GF Multi-Factor Mixed and GF Ruiyu One-Year Holding Period Mixed A [2] - Regarding foreign investment, one foreign fund, Hong Kong Central Clearing Limited, reduced its holdings by 0.44% compared to the previous quarter, while one new foreign institution, Morgan Stanley & Co. International PLC, was disclosed [2]
机构风向标 | 力芯微(688601)2025年一季度机构持仓风向标
Xin Lang Cai Jing· 2025-05-01 01:19
Group 1 - The core viewpoint of the news is that Lixun Microelectronics (688601.SH) reported its Q1 2025 financial results, highlighting significant institutional investor holdings [1] - As of April 30, 2025, a total of 10 institutional investors disclosed holdings in Lixun Microelectronics, with a combined shareholding of 70.39 million shares, accounting for 52.65% of the total share capital [1] - The top ten institutional investors include Wuxi Yijing Investment Co., Ltd., Wuxi High-tech Venture Capital Co., Ltd., and several insurance and investment funds, collectively holding 52.65% of the shares [1] Group 2 - Compared to the previous quarter, the combined shareholding percentage of the top ten institutional investors decreased by 0.55 percentage points [1] - In the public fund sector, one fund, Xinao Credit Bond A, increased its holdings, while two funds, Xinao Advanced Manufacturing Equity and Xinao Leading Growth Mixed A, reduced their holdings by 0.14% [2] - A total of 47 public funds did not disclose their holdings this quarter, including notable funds such as Haitong Reform-Driven Mixed and Bosera Sci-Tech Innovation Board Three-Year Open Mixed [2]
机构风向标 | 拓普集团(601689)2025年一季度已披露持股减少机构超60家
Xin Lang Cai Jing· 2025-05-01 01:18
Group 1 - Top Group (601689.SH) reported its Q1 2025 results, with 191 institutional investors holding a total of 1.223 billion shares, representing 70.35% of the total share capital [1] - The top ten institutional investors collectively hold 66.54% of the shares, with a decrease of 1.68 percentage points compared to the previous quarter [1] Group 2 - In the public fund sector, 48 funds increased their holdings, accounting for 0.64% of the total, while 63 funds decreased their holdings, representing a decrease of 0.56% [2] - A total of 64 new public funds disclosed their holdings, while 623 funds did not disclose their holdings in the current period [2] Group 3 - One new social security fund disclosed its holdings in Top Group, specifically the National Social Security Fund 104 Portfolio [3] - One insurance fund decreased its holdings, while one new insurance investor disclosed its holdings in the current period [3]
机构风向标 | 老百姓(603883)2025年一季度已披露前十大机构累计持仓占比55.05%
Xin Lang Cai Jing· 2025-05-01 01:13
Group 1 - The core viewpoint of the news is that the institutional ownership of Laobaixing (603883.SH) has increased, with 17 institutional investors holding a total of 423 million shares, representing 55.65% of the total share capital as of April 30, 2025 [1] - The top ten institutional investors collectively hold 55.05% of the shares, with an increase of 1.19 percentage points compared to the previous quarter [1] Group 2 - In the public fund sector, three funds increased their holdings, accounting for a 1.28% increase, while one fund saw a slight decrease in holdings [2] - Eight new public funds were disclosed during this period, including several focused on healthcare and medical sectors [2] - One insurance fund decreased its holdings slightly, while one pension fund was no longer disclosed [2]
机构风向标 | 模塑科技(000700)2024年四季度已披露前十大机构持股比例合计下跌2.67个百分点
Xin Lang Cai Jing· 2025-04-29 01:12
养老金视角,本期较上一季度持股减少的养老金基金共计1个,即基本养老保险基金九零三组合,持股 减少占比小幅下跌。 外资态度来看,本期较上一期持股增加的外资基金共计1个,即香港中央结算有限公司,持股增加占比 达1.13%。 2025年4月29日,模塑科技(000700.SZ)发布2024年年度报告。截至2025年4月28日,共有61个机构投资 者披露持有模塑科技A股股份,合计持股量达3.76亿股,占模塑科技总股本的40.94%。其中,前十大机 构投资者包括江阴模塑集团有限公司、香港中央结算有限公司、中国建设银行股份有限公司-中欧价值 发现股票型证券投资基金、基本养老保险基金九零三组合、中欧潜力价值灵活配置混合A、工银双利债 券A、汇添富中证500指数增强A、工银灵活配置混合A、嘉实沪深300指数研究增强A、中欧优势成长混 合,前十大机构投资者合计持股比例达40.81%。相较于上一季度,前十大机构持股比例合计下跌了2.67 个百分点。 公募基金方面本期较上一季度持股减少的公募基金共计2个,包括中欧价值发现混合A、中欧潜力价值 灵活配置混合A,持股减少占比达0.66%。本期较上一季度新披露的公募基金共计56个,主要包 ...