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超5000亿元到期债务待化解!多家房企债务重组提速,多元化债方案密集落地
Mei Ri Jing Ji Xin Wen· 2025-06-08 12:42
"希望在今年内完成境外债务重组工作。" 6月5日,在碧桂园召开的线上股东会议上,公司首席财务官兼执行董事伍碧君如是说。6月6日,碧桂园宣布延长早鸟重组支持协议同意费用限期,及一般重 组支持协议同意费用限期。 此前的6月3日,龙光集团公布了境内债务重组优化方案,涉及本金总额高达219.62亿元。旭辉控股集团则在6月4日宣布,其境外债务重组方案以92.66%的高 支持率获得通过,预计可减少债务52.7亿美元。 来源:龙光控股公告 《每日经济新闻》记者梳理发现,今年5月以来,包括金科股份、融创中国、华夏幸福、龙光集团、佳兆业、旭辉控股集团、碧桂园在内的多家房企纷纷公 布了债务重组的最新进展,不少房企的重组方案采用多元化的解决路径。 "近期房地产企业债务重组加速的主要原因,在于金融机构和保交楼资金的介入。"镜鉴咨询创始人张宏伟6月5日通过微信向每经记者表示,随着保交楼工作 的推进,一些面临财务风险的房企能够获得一定的销售回款。在此背景下,与企业债权人协商债务解决方案,相较于保交楼之前变得更加容易。 多元化重组方案密集落地 从近期多家出险房企公布的债务重组方案来看,内容包括债转股、资产抵债、折价购回等多元化的解决路径。 ...
每周股票复盘:广大特材(688186)调整分红与回购进展
Sou Hu Cai Jing· 2025-06-07 08:58
关于调整2024年年度利润分配方案每股分红金额的公告:每股派发现金红利由0.375元(含税)调整为 0.3825元(含税),实际利润分配总额为76481065.10元(含税)。 关于以集中竞价交易方式回购股份的进展公告:截至2025年5月31日,公司累计回购股数15,163,797股, 支付金额319,927,815.29元,实际回购价格区间为16.48元/股至26.03元/股。2025年5月,公司通过集中竞 价交易方式回购980,000股,支付金额25,434,430.97元。 截至2025年6月6日收盘,广大特材(688186)报收于26.16元,较上周的25.81元上涨1.36%。本周,广 大特材6月4日盘中最高价报26.95元。6月3日盘中最低价报25.36元。广大特材当前最新总市值56.27亿 元,在风电设备板块市值排名17/27,在两市A股市值排名2651/5148。 本周关注点 公司公告汇总 2024年年度权益分派实施公告:每股现金红利0.3825元(含税),股权登记日2025年6月11日,除权 (息)日及现金红利发放日均为2025年6月12日。 以上内容为证券之星据公开信息整理,由AI算法生成 ...
奕瑞电子科技集团股份有限公司关于实施2024年年度权益分派时可转债转股价格调整暨转股连续停牌的提示性公告
登录新浪财经APP 搜索【信披】查看更多考评等级 证券代码:688301 证券简称:奕瑞科技 公告编号:2025-037 转债代码:118025 转债简称:奕瑞转债 奕瑞电子科技集团股份有限公司 关于实施2024年年度权益分派时可转债转股 价格调整暨转股连续停牌的提示性公告 本次权益分派方案实施后,公司将依据《上海奕瑞光电子科技股份有限公司向不特定对象发行可转换公 司债券募集说明书》中所载的发行条款及相关规定,对"奕瑞转债"当期转股价格进行调整。 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: ● 证券停复牌情况:适用 因实施2024年年度权益分派,奕瑞电子科技集团股份有限公司(以下简称"公司")的相关证券停复牌情 况如下:权益分派公告日前一交易日(2025年6月12日)至权益分派股权登记日期间,公司可转债将停 止转股。 ■ 注:停牌终止日及复牌日可在本公司后续发布的可转债转股价格调整公告中查阅。 一、2024年年度权益分派方案的基本情况 公司2024年年度利润分配方案为:公司2024年年度拟以实施权益分派股权 ...
垒知集团: 关于垒知转债转股价格调整的公告
Zheng Quan Zhi Xing· 2025-06-06 11:30
Group 1 - The company has adjusted the conversion price of its convertible bonds from 7.67 CNY per share to 7.59 CNY per share, effective from June 13, 2025 [1][3] - The adjustment is based on the company's decision to distribute a cash dividend of 0.80 CNY per 10 shares, as approved in the 2024 annual general meeting [2][3] - The total number of shares eligible for the dividend distribution is calculated as 688,263,696 shares, after excluding repurchased shares [2] Group 2 - The conversion period for the "Lai Zhi Convertible Bonds" is from October 27, 2022, to April 20, 2028 [3] - The adjustment formula for the conversion price considers various factors such as stock dividends, capital increases, and cash dividends [1][2]
弘亚数控: 2024年年度权益分派实施公告
Zheng Quan Zhi Xing· 2025-06-06 11:08
Group 1 - The company has approved a cash dividend distribution plan of RMB 4.00 per 10 shares (including tax) at the 2024 annual shareholders' meeting held on June 3, 2025 [1] - The dividend will be distributed based on the total share capital as of the close of trading on June 12, 2025, with no capital reserve conversion or bonus shares issued [1][2] - The dividend distribution will be executed on June 13, 2025, directly credited to shareholders' accounts through their custodial securities companies [2] Group 2 - The record date for the dividend distribution is June 12, 2025, and the ex-dividend date is also June 12, 2025 [2] - The adjusted conversion price for the company's convertible bonds will change from RMB 17.70 to RMB 17.30 per share, effective from June 13, 2025 [2]
利群股份: 利群商业集团股份有限公司关于实施2024年度权益分派时“利群转债”停止转股的提示性公告
Zheng Quan Zhi Xing· 2025-06-06 10:37
重要内容提示: ? 证券停复牌情况:适用 证券代码:601366 证券简称:利群股份 公告编号:2025-033 债券代码:113033 债券简称:利群转债 利群商业集团股份有限公司 关于实施 2024 年度权益分派时"利群转债"停止转股的提示 性公告 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。 因实施 2024 年度权益分派,本公司的相关证券停复牌情况如下:权益分派公告前 一交易日(2025 年 6 月 12 日)至权益分派股权登记日期间,本公司可转债将停止 转股。 停牌 证券代码 证券简称 停复牌类型 停牌起始日 停牌终止日 复牌日 期间 可转债转股停 牌 一、权益分派方案的基本情况 (一)利群商业集团股份有限公司(以下简称"公司")2024 年度权益分派方 案如下:以实施权益分派股权登记日登记的总股本扣除公司回购专用证券账户里 的股份数后的股本为基数分配利润,向全体股东每股派发现金红利 0.02 元(含税)。 根据《上市公司股份回购规则》相关规定,公司已回购的股份不参与本次利 润分配。截至目前,公司总股本 913,9 ...
齐鲁银行股份有限公司关于根据2024年度利润分配方案调整可转换公司债券转股价格的公告
Core Viewpoint - Qilu Bank has announced an adjustment to the conversion price of its convertible bonds following the approval of its 2024 profit distribution plan, which includes a cash dividend of RMB 1.39 per 10 shares [1][2][3]. Group 1: Conversion Price Adjustment - The initial conversion price of Qilu Bank's convertible bonds was RMB 5.87 per share, which has been adjusted to RMB 5.14 per share, and will further be adjusted to RMB 5.00 per share effective June 12, 2025 [1][5]. - The adjustment is based on the cash dividend distribution of RMB 0.139 per share, which will be deducted from the conversion price [3][5]. Group 2: Profit Distribution Details - The total cash dividend to be distributed amounts to RMB 675,158,490.18, based on a total share capital of 4,857,255,325 shares [9]. - The total cash dividend for the year 2024, including the mid-year distribution, is RMB 1,289,203,251.80, representing a 20.91% increase compared to the previous year [9]. - The cash dividend distribution will be executed on June 12, 2025, with the record date set for June 11, 2025 [2][9].
天津友发钢管集团股份有限公司关于因实施权益分派调整“友发转债”转股价格的公告
Core Viewpoint - The company announced an adjustment to the conversion price of its convertible bonds due to the implementation of a profit distribution plan for the year 2024, resulting in a decrease in the conversion price from 4.92 CNY to 4.77 CNY per share, effective from June 13, 2025 [2][5][4]. Group 1: Conversion Price Adjustment - Previous conversion price: 4.92 CNY per share [2][5] - New conversion price: 4.77 CNY per share [2][5] - Effective date of adjustment: June 13, 2025 [2][5] - Suspension of conversion from June 5 to June 12, 2025 [2][5] Group 2: Profit Distribution Plan - The company will distribute a cash dividend of 1.5 CNY per 10 shares (including tax) [5][10] - Total shares eligible for distribution: 1,391,457,012 shares after excluding 43,053,948 shares held in the repurchase account [10] - Total cash dividend amount: 208,718,551.80 CNY (including tax) [10] - Cash dividend per share calculated as approximately 0.1455 CNY [10][11] Group 3: Regulatory Compliance - The adjustment of the conversion price is in accordance with the company's bond issuance regulations and the relevant provisions of the China Securities Regulatory Commission [3][5] - The company ensures that the announcement contains no false records, misleading statements, or significant omissions [1][7]
上海荣泰健康科技股份有限公司2024年年度权益分派实施公告
Core Viewpoint - Shanghai Rongtai Health Technology Co., Ltd. announced its 2024 annual profit distribution plan, proposing a cash dividend of RMB 3.50 per 10 shares (including tax) to all shareholders, with the total cash dividend amount adjusted to RMB 61,282,903.85 (including tax) due to changes in the total share capital from convertible bond conversions [2][13][16]. Distribution Plan - The distribution year is set for 2024, and the distribution will be made to all shareholders registered with the China Securities Depository and Clearing Corporation Limited Shanghai Branch as of the close of trading on the registration date [3]. - The company will not issue bonus shares or increase capital reserves, and any undistributed profits will be carried forward to future years [4][13]. Dividend Calculation - The cash dividend per share is calculated as follows: (175,094,011 shares participating in distribution × RMB 0.35) ÷ 177,397,211 total shares ≈ RMB 0.3455 per share [6][16]. - The reference price for ex-dividend trading will be adjusted based on the formula: (previous closing price - cash dividend) [5][6]. Tax Implications - For individual shareholders holding unrestricted shares, dividends are subject to different tax treatments based on the holding period, with a maximum tax rate of 20% for shares held for less than one month [8][10]. - For qualified foreign institutional investors (QFII), a 10% withholding tax will apply to dividends [10]. Convertible Bond Adjustment - The conversion price for the company's convertible bonds ("Rongtai Convertible Bonds") will be adjusted from RMB 23.42 per share to RMB 23.07 per share due to the cash dividend distribution [19][24]. - The adjustment will take effect on June 12, 2025, and the bonds will stop conversion from June 5 to the registration date [24].
国检集团: 国检集团关于调整“国检转债”转股价格的公告
Zheng Quan Zhi Xing· 2025-06-05 12:14
证券代码:603060 证券简称:国检集团 公告编号:2025-031 转债代码:113688 转债简称:国检转债 中国国检测试控股集团股份有限公司 关于调整"国检转债"转股价格的公告 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。 重要内容提示: ? 修正前转股价格:6.63 元/股 ? 修正后转股价格:6.52 元/股 ? "国检转债"本次转股价格调整实施日期:2025 年 6 月 13 日 ? 证券停复牌情况:适用 因实施 2024 年度权益分派,本公司的相关证券停复牌情况如下:"国检转债"自 权登记日)期间停止转股,2025 年 6 月 13 日起恢复转股。 一、转股价格调整依据 停牌终止 证券代码 证券简称 停复牌类型 停牌起始日 停牌期间 复牌日 日 经中国证券监督管理委员会(以下简称"中国证监会")出具的《关于同意中国 国检测试控股集团股份有限公司向不特定对象发行可转换公司债券注册的批复》 (证监许可〔2024〕1227 号)同意注册,公司向不特定对象共计发行 8,000,000 张 可转换公司债券,每张面值为人 ...