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百川能源股份有限公司
登录新浪财经APP 搜索【信披】查看更多考评等级 注册资金:10,000万元人民币 成立日期:2011年9月5日 经营范围:对制造业、建筑业、批发和零售业、餐饮业、服务业、科学研究和综合技术服务业、工业园 区基础设施进行投资;组织承办展览展示商业活动和文化交流活动。 2、百川城市建设开发集团有限公司 公司类型:有限责任公司 成立日期:1998年8月14日 营业场所:永清县益昌大街111号 法定代表人:王东水 注册资本:10,000万元人民币 经营范围:房地产开发、经营;城市基础设施、园区建设与开发;现代农业、旅游开发;土地整理、土 地流转服务;酒店管理、物业服务;房屋销售、出租、中介服务;建材批发;机械设备租赁;软件开发 与信息技术咨询服务。 3、廊坊恒通建筑安装工程有限公司 公司类型:有限责任公司 注册地址:永清县益昌路111号 法定代表人:王东江 注册资金:10,000万元人民币 成立日期:2000年12月18日 经营范围:建筑工程施工总承包;市政公用工程施工总承包;起重设备安装工程专业承包叁级;防水防 腐保温工程专业承包;金属门窗工程专业承包;建筑周转材料、建筑机械设备租赁。 4、永清县恒博房地产开发有 ...
希荻微电子集团股份有限公司
登录新浪财经APP 搜索【信披】查看更多考评等级 具体内容详见公司于2024年9月25日在上海证券交易所网站(www.sse.com.cn)披露的《关于部分募投 项目调整投资规模及延期的公告》(公告编号:2024-075)。 (二)募投项目对外转让或置换情况 截至2024年12月31日,公司募投项目不存在对外转让或置换的情况。 五、募集资金使用及披露中存在的问题 因全资子公司Halo Microelectronics (Hong Kong) Co., Ltd.(以下简称"香港希荻微")业务开展需要,公 司原定于2023年12月15日和2024年2月28日分别以自有资金人民币35,548,000.00元和人民币72,110,000.00 元向香港希荻微进行增资。在进行款项划转时,因财务人员操作失误,误将该等增资款从募集资金账户 转出至香港希荻微账户中。截至2024年4月18日,公司已将全部资金人民币107,658,000.00元以及期间产 生利息人民币1,088,412.60元退回至募集资金专户。针对上述募集资金使用不规范事项,公司分别收到 上海证券交易所出具的《关于对希荻微电子集团股份有限公司及有关责任人予以 ...
苏州纽威阀门股份有限公司
Group 1 - Neway Valve West Africa Fze is a wholly-owned subsidiary with total audited assets of 28.96 million yuan and a net profit of 6.52 million yuan for 2024 [1] - Neway Fluid Equipment Vietnam Company Limited, another wholly-owned subsidiary, reported total audited assets of 153.37 million yuan and a net profit of 9.32 million yuan for 2024 [2] - NEWAY ENERGY, a wholly-owned subsidiary, has total audited assets of 25.28 million yuan but reported a net loss of 0.70 million yuan for 2024 [3] Group 2 - C?NG TY TNHH NEWAY VALVE VI?T NAM, a proposed overseas subsidiary, has total audited assets of 11.89 million yuan and a net loss of 0.38 million yuan for 2024 [4] - Neway Flow Control Inc. has total audited assets of 35.48 million yuan and a net profit of 4.48 million yuan for 2024, despite a negative net asset position [5] - NEWAY VALVE (MALAYSIA) SDN. BHD. has total audited assets of 0.039 million yuan and reported a net loss of 0.0114 million yuan for 2024 [6] Group 3 - The company provides a guarantee for its subsidiaries with a total guarantee amount not exceeding 3.43 billion yuan [9] - The board believes that providing guarantees supports the normal operations of subsidiaries and aligns with the company's overall interests [10] - The supervisory board agrees that the guarantees benefit the subsidiaries' development and comply with legal regulations [11] Group 4 - The company has no overdue guarantees as of the announcement date [12] - The total guarantees provided to subsidiaries amount to 741 million yuan, representing 16.77% of the company's latest audited net assets [13] Group 5 - The company plans to use its own funds to purchase financial products up to 600 million yuan, with a maximum investment period of one year [20] - The financial products will be issued only by banks, securities companies, or trust companies to control risks [21] - The decision to invest will not affect the company's main business operations and aims to enhance fund utilization efficiency [27] Group 6 - The company intends to renew the appointment of Rongcheng Accounting Firm as its auditing and internal control auditing institution [29] - Rongcheng Accounting Firm has a strong track record, with no criminal penalties in the last three years and a good investor protection capability [34] - The audit fee for the annual report is set at 1.24 million yuan, excluding VAT [40]
浙江万里扬股份有限公司
Group 1 - The company held the fifth meeting of the sixth board of directors and the fifth meeting of the sixth supervisory board, with resolutions passed regarding various proposals [5][6][8][11][13][15][17][20][25][26]. - The company plans to provide guarantees for its subsidiaries to support their operational needs, with a total guarantee amount of RMB 380 million [30][46]. - The company has reported a total of RMB 4,093.4 million in credit impairment and asset impairment provisions for the year 2024, which will reduce the total profit for that year by the same amount [23][25][26]. Group 2 - The company has proposed to reappoint Tianjian Accounting Firm as its auditor for the year 2025, pending approval from the shareholders' meeting [51][60]. - The audit firm has a strong track record and has complied with relevant regulations, ensuring investor protection through risk funds and insurance [54][59]. - The board of directors has unanimously approved the proposal to reappoint the audit firm, indicating confidence in its capabilities [60][61].
黑牡丹(集团)股份有限公司
2024年度,本人严格遵守相关法律法规及公司章程对独立董事履职的要求,累计现场工作时间达到15.5 个工作日。本人通过参加公司2023年年度及2024年一季度业绩说明会、公司与机构的接待交流会、股东 大会等方式与中小股东进行沟通交流。本人充分利用参加专委会、董事会、股东大会等会议及实地考察 的机会,通过多种方式与公司内部董事、高级管理人员、董事会秘书及相关工作人员进行深度沟通交 流,时刻关注外部环境及市场变化对公司的影响,深入了解公司的经营管理情况和财务状况,就公司所 面临的经济环境、主业所涉及行业的发展趋势、战略规划实施等情况与公司充分交换意见,提出有益的 意见和建议。同时,利用现场工作机会,对公司ERQ门店进行了走访调研,了解公司牛仔品牌的设计理 念、面料开发运用及销售情况等;对公司部分房地产项目进行了现场考察,了解了目前楼盘的销售情 况、存在的困难等,针对目前的房地产市场行情给公司提出了自己的观点和建议。积极对公司发行的公 司债券材料进行审阅。 登录新浪财经APP 搜索【信披】查看更多考评等级 (三)与内部审计机构及会计师事务所的沟通情况 2024年度,本人仔细审阅了公司4份定期报告;针对公司2023年 ...
杭州福斯达深冷装备股份有限公司
Fund Management and Usage - As of December 31, 2024, the balance of the special account for raised funds is reported [1] - The company has used a total of 115,179,363.72 CNY of raised funds to replace self-raised funds for investment projects and issuance expenses, approved by the board and supervisory committee [2] - There were no instances of using idle raised funds to temporarily supplement working capital during the reporting period [3] Cash Management of Idle Funds - The company approved the use of up to 300 million CNY of temporarily idle raised funds for cash management, investing in low-risk, liquid financial products [4][5] - The cash management plan allows for rolling use of funds within the approved limit, with individual product investment periods not exceeding 12 months [4][5] Project Investment and Adjustments - The company has not used any over-raised funds for permanent working capital supplementation or loan repayment during the reporting period [7] - There are no surplus raised funds as the investment process is ongoing, and no changes have occurred in the planned use of raised funds [7][8] Audit and Compliance - The report on the management and usage of raised funds has been verified by Lixin Accounting Firm, confirming compliance with regulatory requirements [6][8] - The company has disclosed all relevant information accurately and timely, with no significant violations in the use of raised funds [7][8] Asset Impairment Provision - The company has recognized an asset impairment loss totaling 120,506,931.94 CNY for the year 2024, based on comprehensive asset evaluations [30][33] - The impairment includes credit losses, inventory write-downs, and losses on investment properties and fixed assets [31][32][33] Project Delay Announcement - The company has announced a delay in the "Research and Development Center Construction Project," extending the expected completion date to May 2026 due to design adjustments and permit acquisition [38][40] - The project is deemed necessary and feasible, with a focus on enhancing the company's capabilities in large-scale cryogenic equipment [41][43]
吉林省金冠电气股份有限公司
Group 1 - The company has applied for a total credit limit of RMB 16 million from various banks to support the daily operational liquidity of its subsidiary, Nengrui Electric [1][2] - The credit limits include RMB 3 million from Industrial Bank, RMB 3 million from Ningbo Bank, RMB 4 million from Agricultural Bank, and RMB 6 million from China Construction Bank [1][2] - The company will provide joint liability guarantees for these credit applications, which are expected to positively impact the business development of Nengrui Electric [1][2] Group 2 - The company has reported a total of RMB 31,095.91 million in external guarantees, which accounts for 13.6% of its latest audited net assets [2] - There are no overdue guarantees or violations related to external guarantees reported by the company [2] Group 3 - The company has announced a provision for asset impairment totaling RMB 24,313.76 million, which includes RMB 17,401.69 million for asset impairment and RMB 6,912.08 million for credit impairment [4][5] - The impairment provisions are based on comprehensive testing of goodwill, long-term equity investments, inventory, and other receivables as of December 31, 2024 [4][5] Group 4 - The company has recognized a goodwill impairment of RMB 6,973.74 million related to the acquisition of Nengrui Co., which had a carrying amount exceeding its recoverable amount [6][7] - Long-term equity investment impairment provisions amount to RMB 5,556.08 million due to significant impairment indicators from associated companies [7] Group 5 - The company has also recorded inventory impairment losses of RMB 4,898.05 million, reflecting the lower net realizable value of its inventory [8] - The total impact of these impairment provisions has reduced the company's consolidated profit for the year 2024 by RMB 24,313.76 million before tax considerations [8][9] Group 6 - The company has announced a change in accounting policies effective January 1, 2024, in accordance with new regulations issued by the Ministry of Finance [30][31] - The changes are not expected to have a significant impact on the company's financial position or operating results [30][31]
四川美丰化工股份有限公司
登录新浪财经APP 搜索【信披】查看更多考评等级 按照公司《经理层成员任期制与契约化管理细则》规定,公司董事会在高级管理人员2024年度薪酬考核 方案中明确了2024年度风险保证金的提取比例及方式。具体为:"公司高级管理人员2024年度风险保证 金按个人绩效年薪10%的标准提取。提取方式:从拟考核兑现的高级管理人员个人年度薪酬总额中扣 除"。据此,公司高级管理人员2024年度风险保证金提取情况如下: ■ 三、公司高级管理人员2025年度薪酬考核方案 为充分调动公司经营管理团队的积极性和创造性,根据《公司章程》《董事会薪酬与考核委员会工作规 则》《经理层成员任期制与契约化管理细则》等规定,结合公司年度经营目标及所处行业实际,特制定 2025年度公司高级管理人员薪酬考核方案。内容如下: (一)适用对象 公司总裁,副总裁级别高级管理人员。其中,副总裁级别高级管理人员指公司副总裁、财务总监、董事 会秘书、总工程师(以上人员均为专职)。 (二)年度薪酬 1.年度薪酬的构成 年度薪酬由基本年薪和绩效年薪两部分组成。其中: 2.年度薪酬基数的设定 ○年度考核得分为70分(不含)以下的,评价系数值设定为0.7。 依据公司高级 ...
深圳市爱施德股份有限公司
四、董事会审计委员会关于公司本次计提资产减值准备的审议情况及意见 公司于2025年4月10日召开了第六届董事会审计委员会2025年第二次会议,会议以3票同意、0票反对、0 票弃权通过了《关于2024年度计提资产减值准备的议案》。审计委员会认为,公司本次计提资产减值准 备遵照并符合《企业会计准则》和公司相关会计政策的规定,本次计提资产减值准备基于谨慎性原则, 依据充分,符合公司资产现状,有助于更加公允地反映截止2024年12月31日公司的财务状况、资产价值 及经营成果,使公司关于资产价值的会计信息更加真实可靠,更具合理性。 登录新浪财经APP 搜索【信披】查看更多考评等级 3、本公司于资产负债表日对除金融资产之外的非流动资产判断是否存在可能发生减值的迹象。对使用 寿命不确定的无形资产,除每年进行的减值测试外,当其存在减值迹象时,也进行减值测试。其他除金 融资产之外的非流动资产,当存在迹象表明其账面金额不可收回时,进行减值测试。本公司至少每年测 试商誉是否发生减值。 五、监事会意见 依据《企业会计准则》《深圳证券交易所上市公司自律监管指引第1号一一主板上市公司规范运作》 《深圳证券交易所股票上市规则》等相关法律、 ...
江西威尔高电子股份有限公司
登录新浪财经APP 搜索【信披】查看更多考评等级 若在分配方案实施前公司总股本由于可转债转股、股份回购、股权激励行权等原因发生变动的,公司则 以未来实施分配方案时股权登记日的总股本为基数,按照现金分红总额不变的原则对分配比例进行相应 调整。 三、现金分红方案的具体情况 (一)现金分红方案不触及其他风险警示情形 ■ (二)现金分红方案合理性说明 公司本次利润分配方案符合《公司法》《企业会计准则》《上市公司监管指引第3号一一上市公司现金 分红》以及《公司章程》等规定,符合公司确定的利润分配政策、利润分配计划等相关承诺,该利润分 配方案合法、合规。 四、相关风险提示 1、本次利润分配方案披露前,公司严格按照法律、法规、规范性文件及公司制度的有关规定,严格控 制内幕信息知情人范围,对相关内幕信息知情人履行了保密和严禁内幕交易的告知义务,同时对内幕信 息知情人及时备案,防止内幕信息的泄露。 2、本利润分配方案需经公司2024年年度股东大会审议通过后实施,尚存在不确定性,敬请广大投资者 注意投资风险。 五、备查文件 1、公司第二届董事会第六次会议决议; 2、公司第二届监事会第六次会议决议; 特此公告。 江西威尔高电子股份 ...