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海天股份: 关于为子公司/孙公司提供担保的进展公告
Zheng Quan Zhi Xing· 2025-06-25 17:57
Summary of Key Points Core Viewpoint The company, Haitan Water Group Co., Ltd., has approved a financing guarantee for its subsidiaries, amounting to a total of 2.31 billion yuan, to support their operational needs and expand financing channels [1][2]. Group 1: Guarantee Overview - The company will provide a financing guarantee not exceeding 2.31 billion yuan for its subsidiaries, including newly established or acquired ones [1]. - The guarantees include a total of 40 million yuan for four subsidiaries from the Bank of Communications and 10 million yuan from Chengdu Rural Commercial Bank [2]. Group 2: Subsidiary Information - The subsidiaries involved in the guarantee include: - Jianyang Tuojiang Environmental Biochemical Co., Ltd. with a registered capital of 32 million yuan [3]. - Ziyang Haitan Water Co., Ltd. with a registered capital of 100 million yuan [4]. - Lezhi Haitan Water Co., Ltd. with a registered capital of 14.45 million yuan [4]. - Ziyang Wastewater Treatment Co., Ltd. with a registered capital of 50 million yuan [6]. Group 3: Financial Status - As of December 31, 2024, the total external guarantee amount is 2.2475386 billion yuan, which accounts for 81.93% of the company's latest audited net assets [10]. - The financial performance of the subsidiaries includes: - Jianyang Tuojiang reported a net profit of 10.75 million yuan [5]. - Ziyang Wastewater Treatment reported a net loss of 4.42 million yuan [6]. Group 4: Guarantee Agreement Details - The guarantees provided are joint liability guarantees for the subsidiaries' financing, covering principal, interest, penalties, and costs related to debt recovery [7][9]. - The guarantee period is set for three years from the debt maturity date [8][10]. Group 5: Board Approval - The board of directors approved the guarantee proposal during a meeting held on December 19, 2024, ensuring that the guarantees align with the company's overall development strategy [10].
福龙马: 福龙马:关于2025年度为子公司提供担保的进展情况公告(二)
Zheng Quan Zhi Xing· 2025-06-25 17:36
Overview - The company, Fulongma Group Co., Ltd., has provided a guarantee for its wholly-owned subsidiary, Fulongma Environmental Services (Fuzhou Cangshan) Co., Ltd., amounting to a maximum of 710,000 RMB [1][2] - As of the announcement date, the total guarantee amount provided to the subsidiary is 6,574,800 RMB, which is within the authorized limit set by the shareholders' meeting [1][2] - The subsidiary's asset-liability ratio does not exceed 70%, ensuring financial stability [1] Guarantee Details - The guarantee is for a performance bond of up to 710,000 RMB, required for the establishment of a dedicated account for sanitation workers' wages and other operational expenses [1][3] - The company has applied for a performance bond from Industrial Bank Co., Ltd. with a guarantee period until March 31, 2026 [6] - The total external guarantees currently being fulfilled by the company and its subsidiaries amount to 222,086,219 RMB, representing 6.64% of the latest audited net assets [5][7] Subsidiary Information - Fulongma Environmental Services (Fuzhou Cangshan) Co., Ltd. was established on April 23, 2023, with a registered capital of 17 million RMB [4] - The company is involved in various environmental services, including urban waste management and sanitation operations [4] Financial Performance - As of March 31, 2025, the subsidiary's total assets were approximately 74.65 million RMB, with net assets of about 27.26 million RMB [5] - The subsidiary reported an operating income of approximately 12.63 million RMB and a net profit of about 1.05 million RMB for the first quarter of 2025 [5]
浙江力诺: 对外担保管理办法(2025年6月)
Zheng Quan Zhi Xing· 2025-06-25 17:36
General Principles - The company establishes a management method for external guarantees to regulate its guarantee behavior, protect investors' rights, and ensure financial safety [1][2] - External guarantees must be approved by the board of directors or shareholders' meeting [2][4] Scope of Application - The management method applies to the company and its wholly-owned and controlling subsidiaries [2] - Controlling subsidiaries cannot provide external guarantees without company approval [2] Guarantee Conditions - External guarantees are limited to independent legal entities with strong repayment capabilities [8] - The company must conduct credit assessments of the guaranteed parties [8][9] Approval Process - The finance department and the board secretary's office are responsible for handling external guarantee applications [12] - The board of directors must approve guarantees exceeding 10% of the company's latest audited net assets [18] Information Disclosure - The company must disclose information regarding external guarantees in accordance with the Securities Law and relevant regulations [25] - Disclosure includes total external guarantees and their proportion to the latest audited net assets [25][26] Contract Review and Signing - External guarantees must be in written form and approved by the board or shareholders [28][29] - The finance department must review the guarantee contracts for compliance and potential risks [29] Risk Management - The board must investigate the financial status and credit of the guaranteed parties before approving guarantees [34] - The finance department is responsible for monitoring the repayment status of guaranteed debts [43] Responsibilities of Personnel - All directors must regularly review financing and guarantee matters and bear joint responsibility for any violations [60] - Management personnel who exceed their authority in approving guarantees may face legal consequences [61]
派斯林: 派斯林关于为全资子公司提供担保的进展公告
Zheng Quan Zhi Xing· 2025-06-25 17:22
证券代码:600215 证券简称:派斯林 公告编号:临 2025-024 派斯林数字科技股份有限公司 关于为全资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: ? 被担保人名称:长春万丰智能工程有限公司(以下简称"长春智能"), 为派斯林数字科技股份有限公司(以下简称"公司")全资子公司。 ? 本次担保金额及已实际为其提供的担保余额:本次担保金额 3,000 万元, 截至本公告披露日实际为其提供的担保余额 3,000 万元(含本次担保)。 ? 本次担保是否有反担保:否 ? 对外担保逾期的累计数量:无 ? 特别风险提示:长春智能的资产负债率超过 70%,目前经营正常,敬请 投资者注意相关风险。 长春智能最近一年经审计的主要财务数据:截至 2024 年 12 月 31 日,资产 总 额 33,206.02 万 元 、 负 债 总额 27,401.74 万 元; 2024 年 度实 现 营 业收 入 四、担保的必要性和合理性 本次公司对全资子公司长春智能提供担保基于实际业务发展需要,符合公司 及 ...
美锦能源: 关于为子公司提供担保的进展公告
Zheng Quan Zhi Xing· 2025-06-25 17:22
| | | (一)本次担保基本情况 公司控股子公司贵州美锦华宇新能源有限公司(以下简称"贵州华宇")因 生产经营需要,向中国外贸金融租赁有限公司(以下简称"外贸金租")申请办 理融资租赁(直租)业务,租赁本金 2,400 万元,期限为 4 年,公司为贵州华宇 在外贸金租的融资租赁业务提供主合同项下全部债务的不可撤销连带责任保证 担保,保证期间为保证合同生效之日起至主债务的履行期限届满之日起三年。 债券代码:127061 债券简称:美锦转债 山西美锦能源股份有限公司 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。 特别提示: 山西美锦能源股份有限公司(以下简称"公司")本次提供担保的对象截至 一、担保情况概述 证券代码:000723 证券简称:美锦能源 公告编号:2025-075 (二)审议情况 公司于 2025 年第一次临时股东会审议通过了《关于公司及子公司对控股子 公司提供担保额度预计的议案》,同意公司和/或控股子公司为公司控股子公司 提供新增担保额度合计不超过 46 亿元人民币,各子公司在此预计担保额度内向 第三方机构申请贷款/授信或开展其他融资业务等。具 ...
江化微: 江阴江化微电子材料股份有限公司关于为子公司提供担保的进展公告
Zheng Quan Zhi Xing· 2025-06-25 16:59
证券代码:603078 证券简称:江化微 公告编号:2025-022 江阴江化微电子材料股份有限公司 关于为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、准确性和完整性承担法律责任。 重要内容提示: 企业名称:江化微(镇江)电子材料有限公司 ? 被担保人名称:江化微(镇江)电子材料有限公司(以下简称"镇江江 化微")。本次担保不存在关联担保。 ? 本次担保金额及已实际为其提供的担保余额:江阴江化微电子材料股份 有限公司(以下简称"公司"或"江阴江化微")本次为全资子公司镇江江化微 提供不超过人民币 47,000.00 万元担保(不涉及新增担保额度,为置换前次担保); 截至本公告披露日,除本次担保外,公司已实际为镇江江化微提供的担保余额为 ? 本次担保是否有反担保:否 ? 对外担保逾期的累计数量:无。 一、本次担保概述 鉴于镇江江化微二期项目建设需要,经公司第五届董事会第六次会议和 2023 年第二次临时股东大会审议批准,公司为镇江江化微最高不超过人民币 47,000 万元的固定资产类进口贷款提供连带责任保证担保。具体内容详见公司 ...
天海防务: 关于为子公司提供担保的公告
Zheng Quan Zhi Xing· 2025-06-25 16:47
Overview - Tianhai Defense intends to apply for a bank comprehensive credit line for its wholly-owned subsidiary, with a limit not exceeding 400 million RMB, primarily for operational turnover needs [1] - The company will provide a joint liability guarantee of up to 440 million RMB for this credit line, which includes an additional guarantee amount of 220 million RMB [1] Approval Status - On April 25, 2025, the company’s board approved the external guarantee plan for 2025, which was submitted for shareholder approval [2] - The total external guarantee amount available for 2025 is set at 3.4 billion RMB, with the chairman and general manager authorized to adjust the guarantee limits based on operational needs [2] Subsidiary Information - The subsidiary, Jiangsu Dajin Heavy Industry Co., Ltd., was established on December 24, 2012, with a registered capital of 500 million RMB [3] - The main business includes shipbuilding, marine engineering, and related technical services [3] Financial Indicators - As of March 31, 2025, the total assets of Tianhai Defense were approximately 3.72 billion RMB, with total liabilities of about 2.61 billion RMB [4] - The net assets stood at approximately 1.10 billion RMB, with a net profit of about 66.06 million RMB for the first quarter of 2025 [4] Guarantee Contract Details - The guarantee contracts involve multiple banks, including Hengfeng Bank and Suzhou Bank, with guarantee periods typically lasting three years from the debt performance deadline [5][6] - The company assumes joint liability for any costs arising from the guarantees, including legal fees and damages [6][7] Cumulative External Guarantees - As of the announcement date, the company has provided external guarantees totaling approximately 3.03 billion RMB, which represents 144.84% of the audited net assets as of December 31, 2024 [7] - After the new guarantees take effect, the total will rise to approximately 3.28 billion RMB, equating to 156.54% of the audited net assets [7]
海螺水泥: 关于担保实施进展的公告
Zheng Quan Zhi Xing· 2025-06-25 16:47
重要内容提示: ● 被担保人名称:福建三明海中环保科技有限责任公司(以下简称"三明海中 环保"),为安徽海螺水泥股份有限公司(以下简称"本公司")附属公司。 ● 担保金额及已实际为其提供的担保余额:本次由本公司附属公司安徽海中环 保有限责任公司(以下简称"安徽海中环保")为三明海中环保提供担保,担保金 额为人民币 1,000 万元。截止本公告披露日,除本次担保外,本公司及附属公司未向 三明海中环保提供其他担保。 ● 担保是否有反担保:无 三明海中环保与兴业银行股份有限公司三明分行(以下简称"兴业银行三明分 行")签订了借款金额为人民币 1,000 万元的借款合同,借款期限为 1 年。同时,安 徽海中环保与兴业银行三明分行签订了保证合同,为上述借款提供全额连带责任保 证。 股票简称:海螺水泥 股票代码:600585 公告编号:临 2025-21 安徽海螺水泥股份有限公司 Anhui Conch Cement Company Limited 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。 本公司分别于 2025 年 3 月 24 ...
上海汽配: 上海汽车空调配件股份有限公司2025年第二次临时股东大会会议资料
Zheng Quan Zhi Xing· 2025-06-25 16:36
Group 1 - The company will hold a shareholder meeting on July 3, 2025, at 1:00 PM in Shanghai, with both on-site and online voting options available [1] - The agenda includes the examination and approval of various proposals, including the appointment of vote counters and supervisors [2][5] - The company plans to provide guarantees for its subsidiary, Shanghai Automobile Air Conditioner Accessories (Mexico), for a lease agreement totaling approximately $1.3816 million over a period of five years and three months [3] Group 2 - The company and its subsidiaries will mutually provide guarantees for bank credit applications, with a proposed guarantee limit of 200 million yuan for each entity involved [6] - The scope of the guarantees has been expanded to include various financial instruments such as loans, letters of credit, and leasing, with the guarantee limits being reusable within the authorized period [7] - The company aims to enhance decision-making efficiency and support business development and overseas market expansion through these guarantees [6][7]
春光科技: 春光科技关于为全资子公司提供担保的进展公告
Zheng Quan Zhi Xing· 2025-06-25 16:26
Summary of Key Points Core Viewpoint - The company has provided a guarantee for its wholly-owned subsidiary, Suzhou Shangteng Technology Manufacturing Co., Ltd., to support its business development and financing needs, with a maximum guarantee amount of RMB 50 million [1][4]. Group 1: Guarantee Overview - The company signed a "Maximum Guarantee Contract" with Bank of China Suzhou Wuzhong Branch, agreeing to provide joint liability guarantee for financing activities of Suzhou Shangteng [1][3]. - The total guarantee amount provided by the company to Suzhou Shangteng is RMB 100 million, which includes the current guarantee and a previously disclosed guarantee of RMB 50 million [2][3]. Group 2: Subsidiary Information - Suzhou Shangteng was established on December 25, 2020, with a registered capital of RMB 38.13359 million and is fully owned by the company [2]. - As of December 31, 2024, Suzhou Shangteng had total assets of RMB 664.62 million and total liabilities exceeding 70% of its assets [2][3]. Group 3: Guarantee Contract Details - The guarantee is a joint liability guarantee with a maximum principal balance of RMB 50 million, covering not only the principal but also interest, penalties, and other related costs [3]. - The guarantee period for each debt is three years from the maturity date of the respective debt [3]. Group 4: Necessity and Reasonableness of Guarantee - The guarantee is deemed necessary and reasonable to support the subsidiary's business growth and financing, aligning with the company's overall development strategy [4]. - The company has a thorough understanding of the subsidiary's operational status and creditworthiness, ensuring that the risks associated with the guarantee are manageable [4]. Group 5: Board Approval and Total Guarantees - The board of directors approved the guarantee at meetings held on April 17, 2025, and May 9, 2025, authorizing the chairman to sign relevant agreements [4]. - As of the announcement date, the total external guarantees provided by the company and its subsidiaries amount to RMB 380 million, representing 40.45% of the company's latest audited net assets [4].