闲置资金理财
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新钢股份: 新钢股份第十届董事会第十一次会议决议公告
Zheng Quan Zhi Xing· 2025-08-22 16:36
Meeting Overview - The 11th meeting of the 10th Board of Directors of Xinyu Steel Co., Ltd. was held, with all 8 directors present, and the meeting complied with legal and regulatory requirements [1] Financial Reports - The Board approved the full and summary report for the first half of 2025, with a unanimous vote of 8 in favor [2] Governance Changes - The proposal to abolish the Supervisory Board and its rules was approved, with the Audit and Risk Committee of the Board taking over its responsibilities, pending shareholder approval [2] - The Board agreed to change the registered capital and amend the Articles of Association, also pending shareholder approval [2] - The Board approved amendments to four governance documents, including the Rules of Procedure for Shareholders' Meetings, which will be submitted for shareholder approval [3] Policy Revisions - The Board approved revisions to 11 management systems, including the Information Disclosure Management System, in accordance with the new Company Law effective July 1, 2024, pending shareholder approval [3] Investment Strategy - The Board proposed to utilize idle funds for financial investments, with a limit of up to 3 billion yuan, allowing for rolling use within this limit, and the investment period for individual products not exceeding one year, pending shareholder approval [3] Asset Management - The Board approved a proposal to recognize asset impairment losses totaling 17.2689 million yuan, which will reduce the net profit for the first half of 2025 by the same amount [5] Risk Assessment - The Board reviewed a risk assessment report for Baowu Financial Company, with non-related directors voting in favor [5] Upcoming Meetings - The Board scheduled the third extraordinary general meeting of shareholders for September 8, 2025, with details to be disclosed [5]
德业股份: 关于使用部分暂时闲置募集资金购买理财产品到期赎回的公告
Zheng Quan Zhi Xing· 2025-08-22 16:16
Core Points - The company, Ningbo Deye Technology Co., Ltd., has announced the redemption of a financial product purchased with temporarily idle raised funds amounting to 100 million yuan [1][2] - The cash management was approved by the board and supervisory committee, allowing the company to use up to 800 million yuan for cash management within a 12-month period [2] Financial Management Details - The cash management trustee is China Construction Bank, and the specific financial product is a customized structured deposit with a term of 94 days [1] - The total amount used for cash management in the last twelve months is 790 million yuan, with 290 million yuan yet to be recovered [2] - The actual return from the structured deposit was 414,035.75 yuan, with an annualized return rate of 1.61% [2] Recent Financial Performance - The highest single-day investment in the last twelve months was 50 million yuan, which represents 5.29% of the net assets for the past year [2] - Cumulative earnings from cash management in the last twelve months accounted for 0.05% of the net profit for the past year [2] - Currently, the company has utilized 50 million yuan of the cash management quota, leaving 30 million yuan available for future use [2]
普莱柯: 普莱柯关于使用闲置募集资金进行现金管理到期赎回的公告
Zheng Quan Zhi Xing· 2025-08-22 08:12
证券代码:603566 证券简称:普莱柯 公告编号:2025-029 普莱柯生物工程股份有限公司 关于使用闲置募集资金进行现金管理到期赎回的公告 本公司董事会及全体董事保证本公告内容不存在任何虚假记载、误导性陈 述或者重大遗漏,并对其内容的真实性、准确性和完整性承担法律责任。 一、使用闲置募集资金进行现金管理履行的审议程序 收益的合计数据与各加数之和的尾差系四舍五入所致。 截至本公告日的最近 12 个月内,公司使用闲置募集资金进行现金管理在股 东大会审议批准的金额及期限范围内,以上理财产品均已到期赎回,并已及时将 上述募集资金的归还情况告知保荐机构华泰联合证券有限责任公司及保荐代表 人。 特此公告 普莱柯生物工程股份有限公司 董 事 会 普莱柯生物工程股份有限公司(以下简称"公司")分别于 2024 年 8 月 29 日召开第五届董事会第十三次会议和第五届监事会第九次会议、2024 年 9 月 19 日召开 2024 年第三次临时股东大会,审议通过了《关于使用部分闲置募集资金 进行现金管理的议案》。为提高公司部分闲置募集资金使用效率,在确保募集资 金投资项目建设正常开展、募集资金安全的前提下,公司拟对额度不超 ...
赛升药业:关于公司及控股子公司使用部分闲置自有资金购买理财产品的公告
Zheng Quan Ri Bao Zhi Sheng· 2025-08-21 14:09
Core Viewpoint - The company announced the approval of a proposal to use idle funds for financial investments, indicating a strategic move to optimize asset utilization [1] Group 1 - The company plans to use up to 120,000 million yuan of its idle self-owned funds for investment in financial products [1] - The investment will be conducted by the company and its subsidiaries, ensuring that normal operations are not affected [1] - The investment period is valid for one year from the date of approval by the shareholders' meeting [1]
天润工业: 半年报董事会决议公告
Zheng Quan Zhi Xing· 2025-08-21 12:18
Meeting Information - The company held its 23rd meeting of the 6th Board of Directors on August 21, 2025, with all 9 directors present, including one via remote voting [1] - The meeting was conducted in accordance with the Company Law and the Articles of Association [1] Financial Report - The company approved the 2025 Half-Year Report and its summary, which is available on the company's official disclosure platforms [2][3] Profit Distribution Plan - The profit distribution plan for the first half of 2025 proposes a cash dividend of 0.50 RMB per 10 shares (tax included), based on a total share capital of 1,139,457,178 shares as of June 30, 2025 [2] - The plan will adjust the dividend amount if the total share capital changes due to stock options, convertible bonds, or share buybacks [2] Compliance and Justification - The profit distribution plan complies with relevant regulations and considers the company's current operating conditions, future development plans, and reasonable shareholder returns [3] Investment Decisions - The company approved the use of up to 1 billion RMB of idle funds to purchase low-risk bank financial products, with the investment decision authority granted to the chairman [5] - The company also agreed to increase the expected amount for daily related transactions with affiliated companies by 10 million RMB and 100,000 RMB respectively for 2025 [5]
奥雅股份: 2025年半年度报告摘要
Zheng Quan Zhi Xing· 2025-08-19 09:14
(公告编号:2025-013)及《关于自有资金委托理财产品进展情况暨风险提示的公告(三)》(公告编 号:2025-021)。 | 2025 深圳奥雅设计股份有限公司 | | | 年半年度报告摘要 | | | | --- | --- | --- | --- | --- | --- | | 证券代码:300949 | 证券简称:奥雅股份 | | 公告编号:2025-061 | | | | 深圳奥雅设计股份有限公司 | | | | | | | 深圳奥雅设计股份有限公司 | | | | | 2025 | | 年半年度报告摘要 | | | | | | | 一、重要提示 | | | | | | | 本半年度报告摘要来自半年度报告全文,为全面了解本公司的经营成果、财务状况及未来发展规划,投 | | | | | | | 资者应当到证监 | | | | | | | 会指定媒体仔细阅读半年度报告全文。 | | | | | | | 所有董事均已出席了审议本报告的董事会会议。 | | | | | | | 非标准审计意见提示 | | | | | | | □适用 ?不适用 | | | | | | | 董事会审议的报告期利润分配预案或公积 ...
宋城演艺:2025年度使用不超过人民币30亿元的闲置自有资金开展投资理财业务
Zheng Quan Ri Bao· 2025-08-18 12:36
Group 1 - The company, Songcheng Performance, announced on August 18 that it will use up to RMB 3 billion of its idle self-owned funds for investment and wealth management activities by 2025 [2] - The investment strategy focuses on bank principal-protected and extremely low-risk deposit/wealth management products, ensuring that normal production and operations are not affected [2] - The company emphasized that there are no issues of fund misappropriation and that the operations are legal and compliant [2]
北路智控:拟使用不超过7.6亿元的部分闲置自有资金购买理财产品
Mei Ri Jing Ji Xin Wen· 2025-08-18 10:48
Core Viewpoint - The company, Nanjing Beilu Zhikong Technology Co., Ltd., has announced a plan to utilize part of its idle funds for financial investments, aiming to enhance returns while maintaining operational stability [2]. Financial Strategy - The company will use up to RMB 760 million of its idle self-owned funds to purchase various financial products, including those issued by banks, fund companies, securities companies, insurance companies, or trust companies [2]. - The investment period for these financial products will not exceed 12 months, ensuring high safety and liquidity [2]. - The company has the flexibility to reinvest the returns from these financial products, with the total reinvestment amount remaining within the approved limit [2]. Governance - The decision was made during the 19th meeting of the second board of directors held on August 15, 2025, and does not require approval from the shareholders' meeting [2].
深圳机场: 半年报监事会决议公告
Zheng Quan Zhi Xing· 2025-08-15 11:17
证券代码:000089 证券简称:深圳机场 公告编号:2025-034 本公司及监事会全体成员保证信息披露的内容真实、准确、完整,没有虚假记载、误导性陈 述或重大遗漏。 深圳市机场股份有限公司第八届监事会第十六次会议通知提前十天书面送达各 位监事,会议于 2025 年 8 月 14 日 16:30 在深圳宝安国际机场 T3 商务办公楼 A 座 802 会议室召开。会议应到监事 3 人,实到 2 人,监事潘明华、李洁亲自出席了本次会 议(监事会主席叶文华因公请假未能出席本次会议,特委托监事潘明华代为出席并 就本次会议的议题行使表决权)。会议的召开符合相关法律法规及规章和《公司章程》 的规定。会议由监事潘明华主持,审议并表决通过如下议案: 一、公司 2025 年半年度报告及摘要; 经审议,监事会认为:公司 2025 年半年度报告及摘要内容真实、准确、完整, 不存在任何虚假记载、误导性陈述或重大遗漏。 本项议案以 3 票同意,0 票反对,0 票弃权获得通过。 深圳市机场股份有限公司 第八届监事会第十六次会议决议公告 二、关于使用闲置自有资金购买银行理财产品的议案。 经审议,监事会认为:在符合国家法律法规及保障投资资 ...
通达集团附属认购若干厦门国际银行理财产品
Zhi Tong Cai Jing· 2025-08-14 14:59
Core Viewpoint - Tongda Group (00698) announced that its indirect non-wholly owned subsidiary, Tongda Chuangzhi (001368), will utilize idle funds to subscribe to several financial products from Xiamen International Bank, with total investments amounting to RMB 9.6 million [1] Group 1 - The company plans to subscribe to three financial products from Xiamen International Bank [1] - The subscription amounts for the financial products are RMB 30 million, RMB 18 million, and RMB 48 million respectively [1]