利润分配

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禾迈股份: 关于调整2024年年度利润分配现金分红总额的公告
Zheng Quan Zhi Xing· 2025-06-03 12:11
综上所述,截至本公告披露日,公司拟参与利润分配的股本总数为 记日的总股本扣减公司回购专用证券账户中的股份为基数,向全体股东每10股 派发现金红利32元(含税),合计派发现金红利393,922,569.60元(含税), 本次利润分配不送红股,不进行资本公积金转增股本,具体以权益分派实施公 告为准。 特此公告。 杭州禾迈电力电子股份有限公司董事会 一、调整前利润分配方案 公司于2025年4月29日召开第二届董事会第二十二次会议、2025年5月20日 召开2024年年度股东大会,审议通过了《关于2024年年度利润分配方案的议 案》。公司拟以实施权益分派股权登记日的总股本扣减公司回购专用证券账户 中的股份为基数,向全体股东每10股派发现金红利32元(含税)。截至2025年3 月 31 日 , 公 司 总 股 本 124,073,545 股 , 扣 减 回 购 专 用 证 券 账 户 中 股 份 总 数 派发现金红利396,039,651.20元(含税),占公司2024年度归属于上市公司股 东净利润的115.06%。在实施权益分派的股权登记日前公司总股本扣减公司回购 专用证券账户中的股份数量发生变动的,公司拟维持每股分 ...
广大特材: 关于调整2024年年度利润分配方案每股分红金额的公告
Zheng Quan Zhi Xing· 2025-06-03 11:12
Core Viewpoint - The company has adjusted its 2024 annual profit distribution plan, increasing the cash dividend per share from 0.375 yuan (tax included) to 0.3825 yuan (tax included) due to an increase in the number of shares outstanding [1][2][3] Summary by Sections Adjustment Details - The cash dividend per share was adjusted from 0.375 yuan to 0.3825 yuan due to the issuance of an additional 4,857,100 shares [1][2] - As of the announcement date, the total share capital of the company is 215,114,294 shares, with 15,163,797 shares in the repurchase account, resulting in 199,950,497 shares eligible for distribution [1][3] Previous Profit Distribution Plan - The initial profit distribution plan approved on April 18 and May 12, 2025, proposed a cash dividend of 3.75 yuan for every 10 shares, totaling 76,475,826 yuan (tax included) [1][2] - The company will not issue bonus shares or convert capital reserves into share capital for this fiscal year [1] Reasons for Adjustment - From April 1 to June 3, 2025, the company issued 872,061 new shares through convertible bonds, increasing the total share capital from 214,242,233 shares to 215,114,294 shares [2] - The company repurchased an additional 4,857,100 shares during the same period, necessitating the adjustment of the profit distribution per share while keeping the total cash distribution amount unchanged [2][3] Final Profit Distribution Plan - The final profit distribution plan states that for every 10 shares, a cash dividend of 0.3825 yuan (tax included) will be distributed, resulting in a total profit distribution amount of 76,481,065.10 yuan (tax included) [3][4]
中国电信: 中国电信股份有限公司2024年年度A股利润分配实施公告
Zheng Quan Zhi Xing· 2025-06-03 11:12
Core Viewpoint - China Telecom announced a cash dividend of 0.0927 RMB per share (including tax) for its A-shares, approved during the annual shareholders' meeting on May 21, 2025 [1][2]. Dividend Distribution Details - The total number of shares for the dividend distribution is 91,507,138,699 shares, resulting in a total cash dividend payout [2]. - The key dates for the dividend distribution are as follows: - Record date: June 10, 2025 - Last trading date: June 11, 2025 - Dividend payment date: June 11, 2025 [2][3]. Distribution Implementation - Cash dividends will be distributed through China Securities Depository and Clearing Corporation Limited Shanghai Branch to registered shareholders as of the record date [3]. - Shareholders who have not completed designated transactions will have their dividends held by the clearing company until the transactions are completed [3]. Taxation Policies - For individual shareholders holding unrestricted shares for over one year, dividend income is exempt from personal income tax. For those holding shares for one year or less, tax will be calculated upon transfer of shares [4][5]. - The effective tax burden varies based on the holding period, with a 20% tax for holdings of one month or less, and a 10% tax for holdings between one month and one year [5]. - For Hong Kong investors holding shares via the Shanghai-Hong Kong Stock Connect, a 10% withholding tax applies, resulting in a net dividend of 0.08343 RMB per share [6]. - Qualified Foreign Institutional Investors (QFIIs) will also face a 10% withholding tax on dividends [6]. H Share Dividend Arrangement - The dividend distribution arrangements for H-share shareholders will be detailed in the announcements made on the Hong Kong Stock Exchange [7].
普利特: 2024年年度权益分派实施公告
Zheng Quan Zhi Xing· 2025-06-03 10:17
上海普利特复合材料股份有限公司(以下简称"公司")2024 年年度权益分 派方案已获 2025 年 5 月 12 日召开的 2024 年年度股东会审议通过,现将权益分 派事宜公告如下: 证券代码:002324 证券简称:普利特 公告编号:2025-037 上海普利特复合材料股份有限公司 本公司及董事会全体成员保证公告内容真实、准确和完整,不存在虚假记载、误导性 陈述或者重大遗漏。 本次分派对象为:截止 2025 年 6 月 9 日下午深圳证券交易所收市后,在中 国证券登记结算有限责任公司深圳分公司(以下简称"中国结算深圳分公司") 登记在册的本公司全体股东。 五、 权益分派方法 一、股东会审议通过权益分派方案的情况 分配方案》。公司 2024 年度利润分配方案如下:以公司总股本 1,097,262,708 股为基数(总股本 1,113,548,288 股扣除库存股 15,073,540 股以及因股权激励 计划拟注销 1,212,040 股),向全体股东每 10 股派 0.5 元人民币现金(含税), 共计派发现金 54,863,135.40 元,剩余未分配利润结转以后年度再行分配。利润 分配完成后,公司总股本数 ...
斯达半导体股份有限公司关于2024年度利润分配方案调整每股分配金额的公告
Shang Hai Zheng Quan Bao· 2025-06-02 21:36
● 本次调整原因:由于公司2021年股票期权激励计划第三期自主行权,公司总股本发生变化。公司按照 现金分配总额不变的原则,相应调整每股分配金额。 斯达半导体股份有限公司(以下简称"公司")分别于2025年04月25日召开第五届董事会第八次会议、第 五届监事会第八次会议和2025年05月28日召开2024年年度股东大会,会议审议通过了《关于公司2024年 度利润分配的议案》,同意公司拟以实施权益分派的股权登记日总股本为基数,每10股派发现金红利 6.36元(含税),截至2024年12月31日,公司总股本为239,469,014股,预计派发现金红利152,302,292.90 元(含税)。如在实施权益分派股权登记日前,因可转债转股/回购股份/股权激励授予股份回购注销/重 大资产重组股份回购注销等致使公司总股本发生变动的,公司拟维持分配总额不变,相应调整每股分配 金额。具体内容详见公司分别于2025年04月26日、05月29日披露的《关于2024年度利润分配预案的公 告》(公告编号:2025-007)、《2024年年度股东大会决议公告》(公告编号:2025-017)。 自2025年01月01日至本公告披露日,由于公 ...
芯朋微: 利润分配管理制度(2025年5月)
Zheng Quan Zhi Xing· 2025-05-30 15:21
Core Viewpoint - The company aims to establish a scientific, sustainable, and stable profit distribution mechanism to enhance transparency and protect the rights of minority investors while ensuring long-term development [1] Profit Distribution Policy - The company emphasizes reasonable returns for shareholders, particularly minority shareholders, and aims to create a stable profit distribution policy based on profitability and strategic needs [2][3] - The distribution of after-tax profits follows a specific order, prioritizing the replenishment of previous losses before allocating to reserves [2] - The company will prioritize cash dividends, with stock dividends considered only when cash flow is sufficient and the overall interests of shareholders are maintained [2][4] Conditions for Cash and Stock Dividends - Cash dividends are contingent upon positive distributable profits, sufficient cash flow, and the absence of major investment plans exceeding 30% of the latest audited net assets [3] - Stock dividends can be proposed when the company is performing well, ensuring that cash dividends are adequately distributed [4] - The company aims for a minimum cash dividend ratio of 80% for mature companies without major expenditures, 40% for those with significant expenditures, and 20% for growing companies with major expenditures [4][5] Decision-Making Mechanism - The company’s profit distribution decisions are made through a structured process involving the board of directors and shareholder meetings, ensuring transparency and communication with minority shareholders [5][6] - Adjustments to the profit distribution policy require thorough justification and approval from two-thirds of the voting rights at the shareholder meeting [6][7] Information Disclosure - The company is required to disclose detailed information regarding its cash dividend policy, including compliance with regulations, clarity of standards, and the opportunity for minority shareholders to express their opinions [7][8] - For companies planning to issue securities, there is an obligation to disclose the profit distribution policy and recent dividend history, ensuring transparency for investors [8][9] Supervision Mechanism - The board and management's adherence to the profit distribution policy is subject to oversight by the audit committee [9] - In cases of shareholder misconduct involving fund misappropriation, the company will deduct the corresponding cash dividends to recover the funds [9]
惠达卫浴: 惠达卫浴股份有限公司2024年年度权益分派实施公告
Zheng Quan Zhi Xing· 2025-05-30 10:15
证券代码:603385 证券简称:惠达卫浴 公告编号:2025-022 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。 重要内容提示: ? 每股分配比例 A 股每股现金红利0.11元 ? 相关日期 | 股份类别 | 股权登记日 | | 最后交易日 | 除权(息)日 | 现金红利发放日 | | --- | --- | --- | --- | --- | --- | | A股 | 2025/6/6 | - | 2025/6/9 | 2025/6/9 | | 三、 相关日期 | 股份类别 | 股权登记日 | | 最后交易日 | 除权(息)日 | 现金红利发放日 | | --- | --- | --- | --- | --- | --- | | A股 | 2025/6/6 | - | 2025/6/9 | 2025/6/9 | | 四、 分配实施办法 (1)无限售条件流通股的红利委托中国结算上海分公司通过其资金清算系统向股权登记 日上海证券交易所收市后登记在册并在上海证券交易所各会员办理了指定交易的股东派发。 已办理指定交易的投资者可 ...
恒玄科技(上海)股份有限公司关于调整2024年度利润分配现金分红总额及资本公积转增股本总额的公告
Shang Hai Zheng Quan Bao· 2025-05-29 20:41
Core Points - The company has adjusted its profit distribution plan for 2024, maintaining a cash dividend of 1.20 CNY per share while increasing the total cash dividend amount from 143,596,018.80 CNY to 143,675,436.00 CNY [2][7] - The company plans to increase its capital reserve by issuing 4 new shares for every 10 shares held, with the total number of shares to be issued adjusted from 47,865,340 to 47,891,812 [2][7] - The adjustments were made due to the completion of the first phase of the 2023 restricted stock incentive plan, which resulted in a decrease in the number of shares in the company's repurchase account [2][6][7] Profit Distribution and Capital Increase Plan - Prior to the adjustment, the company planned to distribute a cash dividend of 12 CNY per 10 shares, totaling 143,596,018.80 CNY, which accounted for 31.18% of the net profit attributable to shareholders for 2024 [3][7] - After the adjustment, the cash dividend remains at 12 CNY per 10 shares, with the total cash dividend now amounting to 143,675,436.00 CNY, representing 31.27% of the net profit for 2024 [7] - The total number of shares after the capital increase will rise to 167,937,371 shares [7] Shareholder Meeting - The annual shareholder meeting was held on May 29, 2025, where all proposed resolutions were approved, including the profit distribution and capital increase plan [10][12] - The meeting was conducted in compliance with legal and regulatory requirements, with all board members present [12][13] Stock Incentive Plan - The company completed the first phase of the 2023 restricted stock incentive plan, with a total of 66,181 shares being vested [17][26] - The shares for this incentive plan were sourced from shares repurchased from the secondary market, ensuring that the total share capital remains unchanged [25][26]
爱玛科技: 爱玛科技关于调整公司2024年年度利润分配现金分红总额的公告
Zheng Quan Zhi Xing· 2025-05-29 10:51
Core Points - The company plans to distribute a cash dividend of 0.592 yuan per share for the fiscal year 2024, with a total cash dividend amount of approximately 795.53 million yuan, which represents 40.02% of the net profit attributable to ordinary shareholders [1][2]. Summary by Sections Dividend Distribution - The total cash dividend amount is set at 0.592 yuan per share, leading to a total distribution of 509.69 million yuan based on the total share count of 860,965,428 shares as of December 31, 2024 [1]. - The total cash dividend for the fiscal year, including the semi-annual distribution of 285.84 million yuan, amounts to 795.53 million yuan [1][2]. Adjustments Due to Share Changes - The adjustment in the total cash dividend is due to the conversion of convertible bonds, which increased the total share count to 861,716,052 shares, while maintaining the per-share distribution ratio [2]. - The company will not distribute dividends on shares held in the repurchase account, which do not participate in profit distribution [2].
白云机场:5月28日接受机构调研,盛天投资参与
Zheng Quan Zhi Xing· 2025-05-29 10:41
Core Viewpoint - Baiyun Airport aims to achieve a passenger throughput of over 80 million for the year 2025 despite slow growth in Q1 due to ongoing construction impacts [2]. Financial Performance - In Q1 2025, Baiyun Airport reported a main revenue of 1.822 billion yuan, an increase of 9.52% year-on-year; net profit attributable to shareholders was 296 million yuan, up 57.71% year-on-year; and net profit excluding non-recurring items was 265 million yuan, a rise of 42.38% year-on-year [5]. - The company's debt ratio stands at 31.0%, with investment income of 28.53 million yuan and financial expenses of 19.58 million yuan, resulting in a gross profit margin of 27.85% [5]. Asset Depreciation - The depreciation period for terminal buildings is set at 40 years, while the main runway has a depreciation period of 30 years; other related facilities and equipment have varying depreciation periods from 4 to 15 years [4]. Profit Distribution Policy - The company emphasizes investor returns, with a historical dividend payout ratio of approximately 47%. It has established a medium to long-term cash dividend plan and aims to provide continuous and stable cash dividends to investors, sharing development results [5]. Market Ratings - Over the past 90 days, four institutions have rated the stock, with two buy ratings and two hold ratings. The average target price from institutions is 10.95 yuan [5]. Financing and Margin Data - In the last three months, the stock has seen a net outflow of 121 million yuan in financing, with a decrease in financing balance; however, there has been a net inflow of 1.4481 million yuan in securities lending, indicating an increase in securities lending balance [7].