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新亚制程(浙江)股份有限公司
Overview - The core point of the announcement is that the company, Xinya Process (Zhejiang) Co., Ltd., is providing a guarantee for its wholly-owned subsidiary, Shenzhen Xinya New Materials Co., Ltd., to secure a bank credit of 10 million RMB from China Communications Bank [2][3]. Guarantee Details - The guarantee is for a bank credit application of 10 million RMB by the subsidiary, with the company providing joint liability guarantee [3]. - The company has approved a total guarantee limit of up to 1.5 billion RMB for 2025, with specific limits for entities based on their asset-liability ratios [4]. - The guarantee is within the scope of the 2025 external guarantee limit approved at the 2024 annual general meeting [4]. Financial Impact - The financial risk associated with this guarantee is considered controllable and is not expected to adversely affect the company's normal operations or the interests of shareholders, particularly minority shareholders [12]. - As of March 31, 2025, the subsidiary reported total assets of approximately 247.73 million RMB and a net profit of approximately 378,000 RMB for the first quarter of 2025 [9]. Guarantee Agreement - The main contents of the guarantee agreement include the guarantor (the company), the creditor (China Communications Bank), and the principal debtor (Shenzhen Xinya New Materials) [6][7]. - The guarantee period extends from the debt fulfillment deadline until three years after the last due date of the principal debt [7]. Current Status - The guarantee contract with China Communications Bank is currently in the signing process, and the subsidiary will apply for financing within the approved guarantee range [5].
京泉华: 对外担保管理制度
Zheng Quan Zhi Xing· 2025-06-13 13:52
深圳市京泉华科技股份有限公司 深圳市京泉华科技股份有限公 管理制度 深圳市京泉华科技股份有限公司 对外担保管理制度 第一章 总 则 第一条 为维护投资者的利益,规范深圳市京泉华科技股份有限公司(以下 简称"公司")的担保行为,控制公司资产运营风险,促进公司健康稳定地发展, 根据《中华人民共和国公司法》、《中华人民共和国民法典》、《深圳证券交易 所股票上市规则》(以下简称"《上市规则》")以及《深圳市京泉华科技股份 有限公司章程》(以下简称"公司章程")的有关规定,特制定本细则。 第二条 本细则所称担保是指公司及其控股子公司以第三人身份为他人提 供的保证、抵押或质押。具体种类包括借款担保、银行开立信用证和银行承兑汇 票担保、开具保函的担保等。公司为其控股子公司提供的担保视为对外担保。 第三条 公司全体董事及高级管理人员应当审慎对待和严格控制对外担保 产生的债务风险。 第四条 公司对外担保应当遵循合法、审慎、平等、自愿、公平、诚信、互 利、安全的原则,严格控制担保风险。公司有权拒绝任何强令其为他人提供担保 的行为。 第五条 公司对外担保必须根据公司章程和本细则的规定经董事会或股东 会审议批准后方可实施。 第六条 ...
中泰证券: 中泰证券股份有限公司关于中泰金融国际有限公司全资子公司为其提供担保的公告
Zheng Quan Zhi Xing· 2025-06-13 12:24
(二)本次担保事项履行的内部决策程序 证券代码:600918 证券简称:中泰证券 公告编号:2025-030 中泰证券股份有限公司 关于中泰金融国际有限公司全资子公司为其提供担保的公告 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: 中泰国际因经营需要与华夏银行股份有限公司香港分行(以下简称"华夏银 行香港")签订银行授信协议。中泰国际之下属全资子公司中泰金融服务将提供 担保函以支持银行授信协议。该担保函设定了担保人(中泰金融服务)对被担 保人(中泰国际)的担保金额为不超过4.50亿等值港元。担保函签署日期为 中泰金融服务将对中泰国际提供以下担保:中泰国际与华夏银行香港签订 的银行授信协议下的付款责任,担保金额不超过4.50亿等值港元。担保方式为一 般保证担保,是持续担保,直到清偿所有的债务,担保类型为借贷担保。 四、担保的必要性和合理性 发行境内外债务融资工具一般性授权的议案》。2023年6月16日,公司2022年 度股东大会审议通过了以上议案,股东大会授权公司董事会并由董事会进一 步授权公司经营管理层,在确 ...
*ST辉丰: 第九届董事会第九次会议决议公告
Zheng Quan Zhi Xing· 2025-06-13 11:26
江苏辉丰生物农业股份有限公司 第九届董事会第九次临时会议决议公告 证券代码:002496 证券简称:*ST辉丰 公告编号:2025-025 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、董事会会议召开情况 江苏辉丰生物农业股份有限公司(以下简称"公司" )第九届董事会于 2025 年 6 月 7 日以通讯方式向公司董事发出关于召开公司第九届董事会第九次临时会议的通知。本次会议 于 2025 年 6 月 13 日 9: 全体董事 9 人参加会议, 会议由公司董事长仲汉根先生主持。 本次会议的召集、召开符合《公司法》等法律法规和《公司章程》等制度的规定。 二、董事会会议审议情况 本次会议以现场结合通讯表决的方式,经与会董事认真审议相关议案,情况如下: 、巨潮资讯网《关于为参股子公司提供 担保暨关联交易的公告》 (公告编号:2025-026) 。 本议案需提交 2025 年第一次临时股东大会审议。 表决结果:6 票同意,0 票反对,0 票弃权,关联人仲汉根先生、裴柏平先生、杨进华 女士回避表决。 国证券报》和巨潮资讯网上的《关于召开 2025 年第一次临时股东 ...
恺英网络: 对外担保管理制度(2025年6月)
Zheng Quan Zhi Xing· 2025-06-13 11:25
恺英网络股份有限公司 对外担保管理制度 第一章 总则 第一条 为了保护投资者的合法权益,规范恺英网络股份有限公司(以下简 称"公司")对外担保行为,有效防范公司对外担保风险,确保公司资产安全, 根据《中华人民共和国公司法》(以下简称"《公司法》")、《中华人民共和 国担保法》、《深圳证券交易所股票上市规则(2014年修订)》(以下简称《上 市规则》)等法律、法规、规范性文件以及《恺英网络股份有限公司章程》(以 下简称"《公司章程》")的有关规定,结合公司的实际情况,特制定本制度。 第二条 本制度所称对外担保是指公司为他人提供的担保,包括公司对控股 子公司的担保。 公司及控股子公司的对外担保总额,是指包括公司对控股子公司在内的公司 对外担保总额与公司控股子公司对外担保总额之和。 第三条 本制度适用于本公司及本公司控股的子公司。 第二章 一般原则 第四条 公司对外担保实行统一管理,非经公司董事会或股东会批准,任何 人无权以公司名义签署对外担保的合同、协议或其他类似的法律文件。 第五条 公司董事和高级管理人员应审慎对待和严格控制担保产生的债务风 险,并对违规或失当的对外担保产生的损失依法承担连带责任。 第六条 公司 ...
博敏电子: 博敏电子关于子公司为公司申请银行授信提供担保的公告
Zheng Quan Zhi Xing· 2025-06-13 10:30
Core Viewpoint - The company, 博敏电子股份有限公司, has announced that its wholly-owned subsidiaries, 君天恒讯 and 江苏博敏, will provide a joint guarantee of RMB 200 million for a credit facility application to 中信银行, with an existing guarantee balance of RMB 120.5291 million [1][2]. Summary by Sections Guarantee Overview - The company is applying for a credit limit of RMB 200 million from 中信银行 for a duration of 12 months, with the subsidiaries providing a joint guarantee [1]. - There is no counter-guarantee associated with this guarantee [1]. Basic Information of the Guaranteed Party - The company was established on March 25, 2005, with a registered capital of RMB 630.398 million [2]. - As of December 31, 2024, the company's total assets were RMB 904.30752 million, total liabilities were RMB 477.85011 million, and net profit attributable to the parent company was -RMB 23.59689 million [2]. - As of March 31, 2025, the company's total assets increased to RMB 931.09087 million, total liabilities were RMB 482.35718 million, and net profit attributable to the parent company was RMB 2.73269 million [2]. Main Content of the Guarantee Agreement - The guarantee amount is RMB 200 million, and it is a joint liability guarantee covering all related costs, including principal, interest, penalties, and legal fees [2][3]. - The guarantee period lasts for three years from the date the main contract's debt is due [3]. Necessity and Reasonableness of the Guarantee - The guarantee is deemed necessary and reasonable to meet the company's operational funding needs, with a stable operating condition and good credit status [4]. - The total amount of external guarantees provided by the company and its subsidiaries is RMB 353.00661 million, which accounts for 82.87% of the latest audited net assets [4].
美凯龙: 2025年第四次临时股东大会会议资料
Zheng Quan Zhi Xing· 2025-06-13 10:06
Core Viewpoint - The company is holding a temporary shareholders' meeting to discuss financing guarantees for its subsidiaries, aiming to support their operational needs and ensure compliance with regulatory requirements [2][4][14]. Group 1: Financing Guarantees for Subsidiaries - The company proposes to provide a guarantee for its subsidiary, Suzhou Hongxing Meikailong World Home Plaza Co., Ltd., for a loan of RMB 180 million, which is part of a larger borrowing agreement with Industrial and Commercial Bank of China [6][7]. - The financial status of Suzhou Hongxing indicates a total asset of approximately RMB 512.31 million and a total liability of about RMB 601.24 million, resulting in a negative net asset of RMB 88.93 million and an asset-liability ratio of 117.36% as of April 30, 2025 [7][8]. - The company also plans to provide a guarantee for its wholly-owned subsidiary, Wuhan Hongxing Meikailong Global Home Plaza Development Co., Ltd., for a trust loan of RMB 550 million, with the subsidiary's property serving as collateral [10][11]. Group 2: Shareholder Meeting Procedures - The meeting will utilize a combination of on-site and online voting, with each share representing one vote, and shareholders must register to participate [3][4]. - The company emphasizes maintaining order during the meeting, with specific guidelines for speaking time and voting procedures to ensure efficient decision-making [3][4][5]. Group 3: Board of Directors Changes - The company is proposing to add Ms. Ye Yanliu as a non-executive director to its board, following a recommendation from Xiamen Jianfa Co., Ltd., and her qualifications have been reviewed and deemed suitable [14][15]. - Ms. Ye will not receive any remuneration for her role as a non-executive director, and her term will last until the current board's term ends [15][16].
科力装备: 对外担保管理制度
Zheng Quan Zhi Xing· 2025-06-13 08:32
河北科力汽车装备股份有限公司 第一章 总则 第一条 为了保护投资者的合法权益,规范河北科力汽车装备股份有限公司 (以下简称"公司")的对外担保行为,有效防范公司对外担保风险,确保公司 资产安全,根据《中华人民共和国公司法》 《中华人民共和国民法典》 《上市公司 监管指引第 8 号——上市公司资金往来、对外担保的监管要求》《深圳证券交易 所创业板股票上市规则》 河北科力汽车装备股份有限公司 对外担保管理制度 (以下简称"《上市规则》")、 《深圳证券交易所上市公司 自律监管指引第 2 号——创业板上市公司规范运作》等法律、法规、规范性文件 以及《河北科力汽车装备股份有限公司章程》(以下简称"《公司章程》")的 有关规定,结合公司的实际情况,特制定本制度。 第二条 本制度所称对外担保,是指公司以第三人身份为他人提供保证、抵 押、质押或其他形式的担保,当他人不履行债务时,由公司按照约定履行债务或 者承担责任的行为,包括公司对控股子公司(含全资子公司)的担保。具体种类 包括但不限于借款担保、银行承兑汇票担保、融资租赁的担保、开具保函的担保 等。 本制度所称公司及其控股子公司的对外担保总额,是指包括公司对控股子公 司担 ...
山西美锦能源股份有限公司十届十四次监事会会议决议公告
Meeting Overview - The 14th Supervisory Board meeting of Shanxi Meijin Energy Co., Ltd. was held on June 12, 2025, via communication, with all three supervisors participating [2][4]. - The meeting was chaired by Ms. Wang Lizhu and complied with relevant laws and regulations [2]. Resolutions Passed - The Supervisory Board unanimously approved the proposal to use part of the idle raised funds for cash management, allowing up to 300 million yuan to be temporarily utilized for purchasing cash yield products with a maximum term of one year [3][21]. - The cash management aims to enhance the efficiency of fund usage while ensuring the normal progress of fundraising projects [3][20]. Fundraising Background - The company raised a total of 3.59 billion yuan through the issuance of convertible bonds, with a net amount of approximately 3.56 billion yuan after deducting related expenses [8][9]. - As of August 31, 2022, there was a remaining balance of 306.29 million yuan in idle raised funds due to the phased implementation of investment projects [10]. Cash Management Details - The cash management will involve low-risk, high-liquidity products such as seven-day notice deposits and fixed-term deposits, with no involvement in high-risk investments [11][13]. - The management is authorized to make investment decisions within the approved limits and duration, which is valid for one year from the date of approval [12][14]. Impact on Company Operations - The use of idle funds for cash management is expected to improve fund efficiency and operational performance without affecting the normal operations of the company or its main business [20][39]. - The Supervisory Board and the sponsor institution have expressed no objections to the cash management proposal, confirming that it complies with legal regulations and does not harm shareholder interests [22][23].
上海海立(集团)股份有限公司关于为下属子公司提供融资担保的进展公告
证券代码:600619(A股) 900910(B股) 证券简称:海立股份(A股) 海立B股(B股) 编号:临2025-028 上海海立(集团)股份有限公司关于为下属子公司提供融资担保的进展公告 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: ● 被担保人名称:杭州富生电器有限公司(以下简称"杭州富生"),系公司全资子公司。 8、经营范围:一般项目:电机制造;电机及其控制系统研发;机械电气设备制造;电工机械专用设备 制造;汽车零部件及配件制造;微特电机及组件销售;工业机器人制造;模具制造;摩托车零部件研 发。许可项目:道路货物运输(不含危险货物)。 9、根据2024年度审计报告,杭州富生期末总资产为205,862万元,总负债为130,973万元,流动负债为 95,530 万元,净资产为 74,889万元,2024 年度营业收入203,133万元,净利润 2,322万元。 10、杭州富生不属于失信被执行人,不存在影响偿债能力的重大或有事项。 ● 本次担保金额:公司为全资子公司杭州富生向金融机构申请综合授信提供连带责 ...