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广东出台一揽子增量政策激发市场主体活力
Zhong Guo Xin Wen Wang· 2025-05-12 12:19
Core Points - Guangdong Province has introduced a set of measures aimed at stimulating market vitality and accelerating the construction of a modern industrial system, which includes 12 specific policies [1] - The measures focus on key industries such as integrated circuits, artificial intelligence, robotics, and new energy vehicles, among others, to attract investment and support high-quality development [1][2] Group 1 - The measures include financial incentives such as interest subsidies for new bank loans to manufacturing and high-tech enterprises, with a total annual subsidy cap of 200 billion yuan [2] - The government aims to expand the coverage of government financing guarantees, targeting an annual financing scale exceeding 100 billion yuan [2] - Additional support for foreign investment includes one-time rewards for multinational company regional headquarters and foreign research and development centers, with potential rewards reaching up to 8 million yuan [2]
南京泉峰汽车精密技术股份有限公司 关于累计新增借款的公告
Core Viewpoint - The company has reported a significant increase in its borrowings, exceeding 20% of its net assets as of April 30, 2025, indicating a potential shift in its financial leverage and operational strategy [1][4]. Financial Data Overview - As of the end of 2024, the company's net assets amounted to 1,852.04 million yuan [1]. - The total borrowings as of the end of 2024 were 3,744.49 million yuan, which included bank loans of 2,576.12 million yuan, convertible bonds of 532.35 million yuan, financing lease borrowings of 359.63 million yuan, and other borrowings of 276.40 million yuan [2]. - By April 30, 2025, the total borrowings increased to 4,195.52 million yuan, with bank loans rising to 3,012.71 million yuan and other categories showing varied changes [2]. New Borrowings Analysis - The cumulative new borrowings from January to April 2025 amounted to 451.03 million yuan, representing 24.35% of the net assets as of the end of 2024 [3][4]. - The breakdown of new borrowings includes: - Net increase in bank loans of 436.59 million yuan, accounting for 23.57% of net assets [5]. - A slight decrease in company bonds and non-financial corporate debt financing tools by 0.013 million yuan, negligible in terms of net asset percentage [5]. - A decrease in entrusted loans, financing lease borrowings, and small loans by 37.16 million yuan, representing 2.01% of net assets [5]. - An increase in other borrowings by 51.60 million yuan, which is 2.79% of net assets [6]. Impact on Debt Servicing Capability - The new borrowings are primarily for normal operational needs, and the company maintains a stable operational status, ensuring that the new debt will not adversely affect its debt servicing capability [7].
兖矿能源集团股份有限公司关于年度预计担保的进展公告
Summary of Key Points Core Viewpoint - The announcement details the financing guarantees provided by Yanzhou Coal Mining Company Limited to its subsidiaries, specifically Yanzhou Ruifeng International Trade Co., Ltd. and Yancoal Australia Limited, highlighting the amounts and internal decision-making processes involved in these guarantees [2][4][9]. Group 1: Guarantee Details - The company provided a financing guarantee of RMB 50 million to Yanzhou Ruifeng from March 1 to March 31, 2025, with a total guarantee balance of RMB 620 million as of March 31, 2025 [2][4]. - Yancoal Australia's subsidiaries provided a guarantee balance of AUD 1.004 billion to Yanzhou Energy's Australian subsidiaries as of March 31, 2025 [2][4]. - The total guarantee amount is within the approved limits set by the company's board and does not require additional approval [6][9]. Group 2: Internal Decision-Making Process - The board of directors approved the financing guarantees during meetings held on March 28, 2024, and June 21, 2024, allowing for guarantees up to USD 5 billion and AUD 1.5 billion for daily operations [5][6]. - The guarantees are deemed necessary for the operational needs of the subsidiaries and comply with local laws and practices in Australia [8]. Group 3: Financial Position and Risk Management - As of March 31, 2025, the total external guarantee balance is RMB 8.88 billion, representing 10.75% of the company's audited net assets of RMB 82.594 billion for 2024 [10]. - The company has no overdue guarantees, and the risk associated with the guarantees is considered manageable due to the subsidiaries being under the company's control [3][10].
北京中关村科技发展(控股)股份有限公司关于下属公司对外投资设立全资子公司的公告
Group 1 - The company announced the establishment of a wholly-owned subsidiary, Jiangsu Huasu Hebei Technology Service Co., Ltd., with an investment of 1 million RMB by its subsidiary Shandong Huasu Health Care Products Co., Ltd. [1][4] - The investment aims to enhance the product registration process for a full range of toothpaste products and strengthen production capabilities at the Weihai production base, thereby diversifying the company's product line and revenue sources [8][10] - The investment does not constitute a related party transaction or a major asset restructuring as defined by relevant regulations, and does not require approval from regulatory authorities [2] Group 2 - The new subsidiary will be registered in Nanjing, Jiangsu Province, with a registered capital of 1 million RMB [3] - The business scope of the new company includes technology development and consulting for daily chemicals, cosmetics, disinfectants, health products, and software development [3] - The investment aligns with the company's overall strategic planning and business layout, and is not expected to significantly impact the company's financial status or operational results for the current year [10]
广东翔鹭钨业股份有限公司
登录新浪财经APP 搜索【信披】查看更多考评等级 关联董事黄伟坤、刘良先、张立为公司现任的独立董事,均已回避表决。 表决结果:4票同意,0票反对,0票弃权。 10、审议通过《关于2024年度会计师事务所履职情况评估报告的议案》 详细内容请见与本公告同日在巨潮资讯网(www.cninfo.com.cn)上披露的《2024年度会计师事务所履 职情况评估报告》和《董事会审计委员会关于对会计师事务所2024年度履职情况评估及履行监督职责情 况的报告》。 本议案已经公司第五届董事会审计委员会2025年第二次会议审议通过。 表决结果:7票同意,0票反对,0票弃权。 11、审议通过《关于续聘公司2025年度审计机构的议案》 广东司农会计师事务所(特殊普通合伙)(以下简称"司农事务所")担任本公司审计机构以来,遵照独 立、客观、公正的职业准则,较好地履行了相关责任和义务。现拟续聘司农事务所为公司2025年度审计 机构,聘期一年。具体审计业务费用授权管理层洽谈确定。 详细内容请见与本公告同日在巨潮资讯网(www.cninfo.com.cn)上披露的《关于续聘公司2025年度审 计机构的公告》。 本议案已经公司第五届董事会审计委 ...
中国生物科技服务(08037):银行向本公司附属公司授出授信额度及本公司及控股股东提供担保
智通财经网· 2025-04-24 10:30
智通财经APP讯,中国生物科技服务(08037)发布公告,关于上海银行浦东分行(贷款人)向本公司的间接 非全资附属公司上海隆耀生物科技有限公司(上海隆耀)提供为期一年的银行授信。贷款人同意续订银行 授信,上海隆耀与贷款人订立小企业流动资金借款合同(借款合同)。根据借款合同,贷款人同意向上海 隆耀提供本金最多为人民币400万元的信贷额度,自借款合同日期起为期一年,以供用作一般流动资金 用途。 作为根据借款合同提供信贷额度的代价,本公司及本公司的主席、执行董事兼控股股东刘小林先生(刘 先生)各自订立以贷款人为受益人的普惠及小企业借款保证合同(统称"保证合同"),以无条件及不可撤回 的保证妥为及准时履行借款合同的义务,包括上海隆耀据此支付所有到期及应付款项。实际义务由保证 合同的条款管限。 本公司及刘先生以上海市中小微企业政策性融资担保基金管理中心(借款合同的另一名保证人)(该中心) 为受益人,分别签立《不可撤销信用反担保函》及《个人无限连带责任保证函》(统称"反担保函"),为 该中心提供反担保。根据反担保函,本公司及刘先生为该中心提供无限连带责任反担保。反担保的具体 范围、条款及年期由反担保函管限。 借款合同、保 ...
中牧实业股份有限公司关于为控股子公司融资提供担保的公告
Group 1 - The company provides a guarantee of up to RMB 0.52 billion for its subsidiary Zhongmu Muyuan (Henan) Biopharmaceutical Co., Ltd, which is not an affiliated entity [2][10] - The total amount of guarantees provided by the company to its subsidiaries is RMB 3.3741 billion, accounting for 6.13% of the audited net assets as of the end of 2024 [13] - The guarantee is a renewal of a previous guarantee and is necessary for the funding of project construction, ensuring the smooth implementation of the project [11][12] Group 2 - The internal decision-making process for the guarantee has been approved by more than two-thirds of the board members during a meeting held on April 22, 2025 [7][12] - The subsidiary Zhongmu Muyuan was established on May 23, 2022, with a registered capital of RMB 120 million and operates in the veterinary medicine sector [8][9] - The guarantee will cover the principal, interest, penalties, and all costs related to the creditor's rights realization, with the company bearing 52% of the guarantee responsibility [10]
实丰文化发展股份有限公司关于下属公司为下属公司提供担保进展的公告
登录新浪财经APP 搜索【信披】查看更多考评等级 证券代码:002862 证券简称:实丰文化 公告编号:2025-010 本公司及董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。 一、授信融资及担保情况概述 (一)授信融资情况概述 实丰文化发展股份有限公司(以下简称"公司"、"实丰文化"或"上市公司")于2024年4月26日召开的第 四届董事会第五次会议和第四届监事会第五次会议、2024年5月21日召开的2023年年度股东大会,审议 通过了《关于2024年度为公司及下属公司申请授信融资提供担保额度预计的议案》(下属公司含下属全 资、控股、参股子公司,包括现有的、新设立的和通过收购等方式取得股权的公司,下同),为满足公 司和下属公司业务发展和日常经营的资金需求,2024年公司及下属公司拟向相关金融机构(包括但不限 于银行、融资租赁公司等)申请不超过12亿元(含本数)的授信融资额度,授信方式为信用、抵押或担 保,业务种类范围包括但不限于贷款、汇票承兑、汇票贴现、开立信用证、信用证项下进口押汇等,具 体金额及业务品种以实际签署合同约定为准,在授权期限内,授信额度内可循环使用。 ...
盛和资源控股股份有限公关于为控股子公司提供担保的进展公告
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、完整性承担个别及连带责任。 重要内容提示: ● 被担保人名称:包头市三隆稀有金属材料有限责任公司(以下简称"包头三隆")为盛和资源(海南) 有限公司(以下简称"盛和海南")下属控股子公司。 ● 本次担保金额及已实际为其提供的担保余额:2025年3月,公司在2023年年度股东大会批准的担保额 度范围内为包头三隆提供的融资担保金额为5,000.00万元。截止2025年3月31日,公司及下属控股子公司 为包头三隆提供融资担保余额为12,500.00万元。 ● 本次担保是否有反担保:包头三隆提供反担保。 注: "乐山盛和"指乐山盛和稀土有限公司; "科百瑞"指四川省乐山市科百瑞新材料有限公司; "晨光稀土"指赣州晨光稀土新材料有限公司; "盛和锆钛"指盛和锆钛(海南)有限公司; "全南新资源"指全南县新资源稀土有限责任公司; "步莱铽"指赣州步莱铽新资源有限公司 ; "盛和海南"指盛和资源(海南)有限公司; "海南海拓"指海南海拓矿业有限公司; "三隆新材"指包头市三隆新材料有限责任公司; "包头三隆"指包头 ...
大唐发电: 大唐发电关于2025年度融资担保的公告
Zheng Quan Zhi Xing· 2025-03-25 12:28
大唐发电: 大唐发电关于2025年度融资担保的公告 证券代码:601991 证券简称:大唐发电 公告编号:2025-016 大唐国际发电股份有限公司 关于 2025 年度融资担保的公告 特别提示 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个别及连带责任。 重要内容提示: 电公司提供0.58亿元担保额度,用于置换本年到期担保债务,以保证上述公司生 产经营工作的正常进行,符合公司整体经营发展的需要。 黑龙江公司为鸡西热电公司、双鸭山热电公司提供担保事项尚需提交公司股 东大会审议批准。 六、累计对外担保数量及逾期担保的数量 截至本公告日,公司累计对外担保金额(包括公司对子公司提供的担保)为 担保。 一、担保情况概述 公司第十一届四十次董事会会议审议通过了《关于2025年度委托贷款、担保、 统借统还贷款预算的议案》,同意公司全资子公司大唐黑龙江发电有限公司("黑 龙江公司")向鸡西热电公司提供1.94亿元担保额度、向双鸭山热电公司提供0.58 亿元担保额度,用于置换本年到期担保债务。 共 4页 第 1页 担保额度 被担保方 截至 担保 本次 ...