中亚股份:关于使用部分自有资金进行委托理财的进展公告

发布时间:2026-03-23 公告类型:委托(受托)事项 证券代码:300512

          证券代码:300512        证券简称:中亚股份        公告编号:2026-014

                      杭州中亚机械股份有限公司

            关于使用部分自有资金进行委托理财的进展公告

                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。

              2025 年 5 月 19 日,杭州中亚机械股份有限公司(以下简称“公司”)召开

          2024 年度股东大会,审议通过《关于使用部分自有资金进行委托理财的议案》。

          同意在保证公司正常经营的情况下,公司(含合并范围内子公司)使用不超过 4

          亿元的自有资金进行委托理财,自公司股东大会审议通过之日起 12 个月内有效。

          在上述额度及决议有效期内,用于委托理财的资本金可循环使用,但委托理财获

          取的收益进行再投资,再投资的金额不应包含在初始投资金额内,且决议有效期

          内任一时点的交易金额(含前述投资的收益进行再投资的相关金额)不应超过投

          资额度。

              2026 年 3 月 20 日,公司赎回前期购买的浙商银行单位结构性存款(产品代

          码:EED26008UT)11,006,844.44 元,实现投资收益 6,844.44 元。具体情况如下:

              一、已赎回产品的主要情况

购买主体      产品名称        金额(元)      产品类型    购买日/起始日  赎回日/到期日  投资收益(元)

          浙商银行单位结构性

                                              保本浮动收益  2026 年 3 月 6  2026 年 3 月 20

 公司    存款(产品代码:    11,006,844.44                                                    6,844.44

                                                    型            日            日

            EED26008UT)

              二、公告日前十二个月内进行委托理财的情况

  购买    受托人                        金额                                        预计年化收

                        产品名称                  产品类型    购买日      赎回日                备注
  主体    名称                      (万元)                                          益率

                    中亚股份 4 月 9 日            质押式报价                                      已赎
  公司  中信证券                      5,000.00              2025/04/09  2025/04/23    1.77%

                          14 天                      回购                                          回


                  招商银行聚益生金

                                              非保本浮动                                      已赎
公司  招商银行  系列公司(45 天)  500.00                2025/09/15  2025/10/30    不适用

                                                收益类                                          回
                    A 款理财计划

                  中亚股份 10 月 28            质押式报价                                      已赎
公司  中信证券                      5,000.00              2025/10/28  2025/11/11    1.43%

                      日 14 天                    回购                                          回

                  信银理财安盈象固

                                                                                                已赎
公司  招商银行  收稳利二十一天持  2,000.00  固定收益类  2025/11/03  2025/12/16    不适用

                                                                                                回
                  有期 4 号理财产品

                中亚股份 12 月 2 日            质押式报价                                      已赎
公司  中信证券                      2,000.00              2025/12/02  2025/12/16    1.35%

                        14 天                      回购                                          回

                  浦银理财双周鑫最

                                                                                                部分
公司  招商银行  短持有期 12 号理财  2,000.00  固定收益类  2025/12/17  2026/02/13    不适用

                                                                                                赎回
                        产品

                  光大理财“阳光金              固定收益

                                                                                                未赎
公司  光大银行  天天盈 8 号”理财产  1,000.00  类、非保本  2025/12/19                不适用

                                                                                                回
                        品                    浮动收益型

                  光大理财“阳光金              固定收益

                                                                                                部分
公司  光大银行  天天盈 31 号”理财  1,500.00  类、非保本  2025/12/19  2026/02/11    不适用

                                                                                                赎回
                        产品                  浮动收益型

                  “添利宝”结构性存            保本浮动收                                      已赎
公司  杭州银行                      2,000.00              2025/12/26  2026/01/19  0.45-2.0%

                款(挂钩汇率 B 款)              益类                                          回

                  “添利宝”结构性存            保本浮动收                                      已赎
公司  杭州银行                      2,000.00              2026/01/21  2026/01/28  0.45-1.75%

                款(挂钩汇率 B 款)              益类                                          回

                                                                                    0.45%、

                  “添利宝”结构性存            保本浮动收                                      已赎
公司  杭州银行                      2,000.00              2026/02/02  2026/02/28  1.98%或

                款(挂钩汇率 B 款)              益类                                          回
                                                                                      2.18%


      中国对外

                  外贸信托-粤湾周周            固定收益类

      经济贸易                                                                          
本报告信息基于证券交易所公开披露数据提取,由于数据抓取及清洗可能有延迟或偏差,爱金股不对内容准确性做任何保证,仅供参考。