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Medlive Technology Co., Ltd. Capital/Financing Update 2024

Jul 12, 2024

50436_rns_2024-07-12_e0a19999-9632-44e6-8667-de3e183582eb.pdf

Capital/Financing Update

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Hong Kong Exchanges and Clearing Limited and The Stock Exchange of Hong Kong Limited take no responsibility for the contents of this announcement, make no representation as to its accuracy or completeness and expressly disclaim any liability whatsoever for any loss howsoever arising from or in reliance upon the whole or any part of the contents of this announcement.

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HISENSE HOME APPLIANCES GROUP CO., LTD. 海信家電集團股份有限公司

(A joint stock limited company incorporated in the People’s Republic of China with limited liability) (Stock Code: 00921)

DISCLOSEABLE TRANSACTIONS SUBSCRIPTION OF WEALTH MANAGEMENT PRODUCTS

The Board announces that, during the period from 18 December 2023 to 12 July 2024, Air-conditioner Marketing Company and Refrigerator Marketing Company, non-wholly owned subsidiaries of the Company, as subscribers entered into the Bairui Trust Wealth Management Agreements to subscribe for the Bairui Trust Wealth Management Products in an aggregate subscription amount of RMB2,452,000,000 (equivalent to approximately HK$2,698,673,194 [Note 1] ).

The Group utilised its idle funds for the payment of the subscription amount under each of the Bairui Trust Wealth Management Agreements.

Each of the Bairui Trust Wealth Management Agreements by itself does not constitute a discloseable transaction of the Company under Rule 14.06 of the Listing Rules. However, pursuant to Rule 14.22 of the Listing Rules, when the subscription amounts under the Bairui Trust Wealth Management Agreements are aggregated, the relevant applicable percentage ratios (as defined under the Listing Rules) exceed 5% but are below than 25%. Therefore, the transactions under the Bairui Trust Wealth Management Agreements, on an aggregate basis, constitute discloseable transactions of the Company and are subject to the reporting and announcement requirements under the Listing Rules.

BACKGROUND

At the first meeting for the year 2024 held by the eleventh session of the Directors on 29 March 2024 and the 2023 annual general meeting of the Company held on 24 June 2024, a resolution on entrusted wealth management of idle self-owned funds of the Company was considered and approved. Subject to the investment risk control by the Company and the principles of improving efficiency of the use of capital and increasing return on cash assets, the entrustment of idle self-owned funds of not more than RMB19,000,000,000 to commercial banks, trust companies, securities companies, fund companies, insurance companies, asset management companies and other financial institutions to conduct short-term and medium- and low-risk investment for wealth management was approved.

Reference is made to the Bairui Trust Wealth Management Agreements in relation to subscription of wealth management products by the Company and its subsidiaries (as subscribers) from Bairui Trust (as issuers) during the period from 19 October 2023 to 4 December 2023. Please refer to the announcement published by the Company on the website of Hong Kong Stock Exchange (http://www.hkexnews.hk) on 4 December 2023,

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for further details.

SUBSCRIPTION OF WEALTH MANAGEMENT PRODUCTS

The Board announces that, during the period from 18 December 2023 to 12 July 2024, Air-conditioner Marketing Company and Refrigerator Marketing Company, non-wholly owned subsidiaries of the Company, as subscribers entered into the Bairui Trust Wealth Management Agreements to subscribe for the Bairui Trust Wealth Management Products in an aggregate subscription amount of RMB2,452,000,000 (equivalent to approximately HK$2,698,673,194 [Note 1] ). The Group utilised its idle funds for the payment of the subscription amount under each of the Bairui Trust Wealth Management Agreements.

MAJOR TERMS OF THE WEALTH MANAGEMENT PRODUCTS

Summarised below are the major terms of the Alltrust Insurance Wealth Management Agreements:

2023 16th Bairui Trust Wealth Management Agreement
(1)Date of
subscription:
18 December 2023
(2) Name of
product:
Bairui Anxin Zengli No. 3 Collective Fund Trust Plan
(百瑞安鑫增利3號集合資金信託計劃)
(3) Parties: (i) Bairui Trust as trustee
(ii) Refrigerator Marketing Company as subscriber
(4) Type of
product:
Non-principal-guaranteed with floating return
(5) Risk rating of
product:
Medium-low
(6) Principal
amount of
subscription:
RMB200,000,000 (equivalent to approximately HK$219,973,603_Note 2_)
(7) Term of
investment:
Every Working Day is an open day for subscriptions and redemptions, so the
term of investment of the 2023 16th Bairui Trust Wealth Management Product
is subject to the redemption time of the subscriber.
(8) Expected rate
of return:
The performance of the 2023 16th Bairui Trust Wealth Management Product will
fluctuate with the market and is subject to uncertainty. It will be valued at the net
asset value of the trust units on the valuation day.
(9) Investment
scope of the
product:
The 2023 16th Bairui Trust Wealth Management Product invests in:
(i)
monetary deposit instruments, including general deposits such as bank
deposits;
(ii) interbank and exchange bond reverse repurchase business;
(iii) interbank and exchange market bonds, including government credit bonds
such as listed and outstanding treasury bonds, central bank bills, policy
financial bonds and local government bonds, and non-government credit
bonds such as financial bonds, non-financial corporate debt financing
instruments, corporate bonds, enterprise bonds, interbank certificates of
deposits, convertible bonds, exchangeable bonds, credit asset-backed

2

securities, asset-backed notes and asset-backed securities listed and traded
in stock exchanges;
(iv) publicly offered open-ended and closed-ended funds, including money
market funds, bond funds and other fixed-income fund products;
(v) other standardized debt assets as determined by the regulator;
(vi) the underlying products are fixed income asset management products with
standardized financial products (the underlying products are invested in
investment targets that satisfy the qualifications set forth in clauses (i) to
(v); and
(vii) trust industry protection fund.
(10) Right of
early
termination:
Bairui Trust is entitled to early termination of the 2023 16th Bairui Trust Wealth
Management Product if there arises any adverse situation which affects the
purpose of the 2023 16th Bairui Trust Wealth Management Agreement.
2024 1st Bairui Trust Wealth Management Agreement
(1)Date of
subscription:
16 January 2024
(2) Name of
product:
Bairui Anxin Zengli Collective Fund Trust Plan(Ju Ying No.4)
(百瑞安鑫增利集合資金信託計劃(聚盈4號))
(3) Parties: (i) Bairui Trust as trustee
(ii) Refrigerator Marketing Company as subscriber
(4) Type of
product:
Non-principal-guaranteed with floating return
(5) Risk rating of
product:
Medium-low
(6) Principal
amount of
subscription:
RMB100,000,000 (equivalent to approximately HK$109,969,868_Note 3_)
(7) Term of
investment:
Every Working Day is an open day for subscriptions and redemptions, so the
term of investment of the 2024 1st Bairui Trust Wealth Management Product is
subject to the redemption time of the subscriber.
(8) Expected rate
of return:
The performance of the 2024 1st Bairui Trust Wealth Management Product will
fluctuate with the market and is subject to uncertainty. It will be valued at the net
asset value of the trust units on the valuation day.
(9) Investment
scope of the
product:
The 2024 1st Bairui Trust Wealth Management Product invests in:
(i)
fixed-income asset management products with standardized assets at the
bottom;
(ii) publicly offered open-ended and closed-ended money funds, bond funds;
(iii) trust industry protection fund; and
(iv) bank deposits, certificates of deposit and other money market instruments
with good liquidity.

3

(10) Right of
early
termination:
Bairui Trust is entitled to early termination of the 2024 1st Bairui Trust Wealth
Management Product if there arises any adverse situation which affects the
purpose of the 2024 1st Bairui Trust Wealth Management Agreement.
2024 2nd Bairui Trust Wealth Management Agreement
(1)Date of
subscription:
21 February 2024
(2) Name of
product:
Bairui Anxin Zengli No. 3 Collective Fund Trust Plan
(百瑞安鑫增利3號集合資金信託計劃)
(3) Parties: (i) Bairui Trust as trustee
(ii) Air-conditioner Marketing Company as subscriber
(4) Type of
product:
Non-principal-guaranteed with floating return
(5) Risk rating of
product:
Medium-low
(6) Principal
amount of
subscription:
RMB150,000,000 (equivalent to approximately HK$165,150,948_Note 4_)
(7) Term of
investment:
Every Working Day is an open day for subscriptions and redemptions, so the
term of investment of the 2024 2nd Bairui Trust Wealth Management Product is
subject to the redemption time of the subscriber.
(8) Expected rate
of return:
The performance of the 2024 2nd Bairui Trust Wealth Management Product will
fluctuate with the market and is subject to uncertainty. It will be valued at the net
asset value of the trust units on the valuation day.
(9) Investment
scope of the
product:
The 2024 2nd Bairui Trust Wealth Management Product invests in:
(i)
monetary deposit instruments, including general deposits such as bank
deposits;
(ii) interbank and exchange bond reverse repurchase business;
(iii) interbank and exchange market bonds, including government credit bonds
such as listed and outstanding treasury bonds, central bank bills, policy
financial bonds and local government bonds, and non-government credit
bonds such as financial bonds, non-financial corporate debt financing
instruments, corporate bonds, enterprise bonds, interbank certificates of
deposits, convertible bonds, exchangeable bonds, credit asset-backed
securities, asset-backed notes and asset-backed securities listed and traded
in stock exchanges;
(iv) publicly offered open-ended and closed-ended funds, including money
market funds, bond funds and other fixed-income fund products;
(v) other standardized debt assets as determined by the regulator;
(vi) the underlying products are fixed income asset management products with
standardized financial products (the underlying products are invested in
investment targets that satisfy the qualifications set forth in clauses (i) to
(v); and
(vii) trust industry protection fund.

4

(10) Right of
early
termination:
Bairui Trust is entitled to early termination of the 2024 2nd Bairui Trust Wealth
Management Product if there arises any adverse situation which affects the
purpose of the 2024 2nd Bairui Trust Wealth Management Agreement.
2024 3rd Bairui Trust Wealth Management Agreement
(1)Date of
subscription:
27 February 2024
(2) Name of
product:
Bairui Anxin Zengli Collective Fund Trust Plan(Ju Ying No.4)
(百瑞安鑫增利集合資金信託計劃(聚盈4號))
(3) Parties: (i) Bairui Trust as trustee
(ii) Refrigerator Marketing Company as subscriber
(4) Type of
product:
Non-principal-guaranteed with floating return
(5) Risk rating of
product:
Medium-low
(6) Principal
amount of
subscription:
RMB190,000,000 (equivalent to approximately HK$209,177,382_Note 5_)
(7) Term of
investment:
Every Working Day is an open day for subscriptions and redemptions, so the
term of investment of the 2024 3rd Bairui Trust Wealth Management Product is
subject to the redemption time of the subscriber.
(8) Expected rate
of return:
The performance of the 2024 3rd Bairui Trust Wealth Management Product will
fluctuate with the market and is subject to uncertainty. It will be valued at the net
asset value of the trust units on the valuation day.
(9) Investment
scope of the
product:
The 2024 3rd Bairui Trust Wealth Management Product invests in:
(i)
fixed-income asset management products with standardized assets at the
bottom;
(ii) publicly offered open-ended and closed-ended money funds, bond funds;
(iii) trust industry protection fund; and
(iv) bank deposits, certificates of deposit and other money market instruments
with good liquidity.
(10) Right of
early
termination:
Bairui Trust is entitled to early termination of the 2024 3rd Bairui Trust Wealth
Management Product if there arises any adverse situation which affects the
purpose of the 2024 3rd Bairui Trust Wealth Management Agreement.
2024 4th Bairui Trust Wealth Management Agreement
(1)Date of
subscription:
19 March 2024
(2) Name of
product:
Bairui Anxin Zengli No. 3 Collective Fund Trust Plan
(百瑞安鑫增利3號集合資金信託計劃)

5

(3) Parties: (i) Bairui Trust as trustee
(ii) Air-conditioner Marketing Company as subscriber
(4) Type of
product:
Non-principal-guaranteed with floating return
(5) Risk rating of
product:
Medium-low
(6) Principal
amount of
subscription:
RMB100,000,000 (equivalent to approximately HK$110,166,131_Note 6_)
(7) Term of
investment:
Every Working Day is an open day for subscriptions and redemptions, so the
term of investment of the 2024 4th Bairui Trust Wealth Management Product is
subject to the redemption time of the subscriber.
(8) Expected rate
of return:
The performance of the 2024 4th Bairui Trust Wealth Management Product will
fluctuate with the market and is subject to uncertainty. It will be valued at the net
asset value of the trust units on the valuation day.
(9) Investment
scope of the
product:
The 2024 4th Bairui Trust Wealth Management Product invests in:
(i)
monetary deposit instruments, including general deposits such as bank
deposits;
(ii) interbank and exchange bond reverse repurchase business;
(iii) interbank and exchange market bonds, including government credit bonds
such as listed and outstanding treasury bonds, central bank bills, policy
financial bonds and local government bonds, and non-government credit
bonds such as financial bonds, non-financial corporate debt financing
instruments, corporate bonds, enterprise bonds, interbank certificates of
deposits, convertible bonds, exchangeable bonds, credit asset-backed
securities, asset-backed notes and asset-backed securities listed and traded
in stock exchanges;
(iv) publicly offered open-ended and closed-ended funds, including money
market funds, bond funds and other fixed-income fund products;
(v) other standardized debt assets as determined by the regulator;
(vi) the underlying products are fixed income asset management products with
standardized financial products (the underlying products are invested in
investment targets that satisfy the qualifications set forth in clauses (i) to
(v); and
(vii) trust industry protection fund.
(10) Right of
early
termination:
Bairui Trust is entitled to early termination of the 2024 4th Bairui Trust Wealth
Management Product if there arises any adverse situation which affects the
purpose of the 2024 4th Bairui Trust Wealth Management Agreement.
2024 5th Bairui Trust Wealth Management Agreement
(1)Date of
subscription:
20 March 2024
(2) Name of
product:
Bairui Anxin Zengli No. 3 Collective Fund Trust Plan
(百瑞安鑫增利3號集合資金信託計劃)

6

(3) Parties: (i) Bairui Trust as trustee
(ii) Air-conditioner Marketing Company as subscriber
(4) Type of
product:
Non-principal-guaranteed with floating return
(5) Risk rating of
product:
Medium-low
(6) Principal
amount of
subscription:
RMB300,000,000 (equivalent to approximately HK$330,680,541_Note 7_)
(7) Term of
investment:
Every Working Day is an open day for subscriptions and redemptions, so the
term of investment of the 2024 5th Bairui Trust Wealth Management Product is
subject to the redemption time of the subscriber.
(8) Expected rate
of return:
The performance of the 2024 5th Bairui Trust Wealth Management Product will
fluctuate with the market and is subject to uncertainty. It will be valued at the net
asset value of the trust units on the valuation day.
(9) Investment
scope of the
product:
The 2024 5th Bairui Trust Wealth Management Product invests in:
(i)
monetary deposit instruments, including general deposits such as bank
deposits;
(ii) interbank and exchange bond reverse repurchase business;
(iii) interbank and exchange market bonds, including government credit bonds
such as listed and outstanding treasury bonds, central bank bills, policy
financial bonds and local government bonds, and non-government credit
bonds such as financial bonds, non-financial corporate debt financing
instruments, corporate bonds, enterprise bonds, interbank certificates of
deposits, convertible bonds, exchangeable bonds, credit asset-backed
securities, asset-backed notes and asset-backed securities listed and traded
in stock exchanges;
(iv) publicly offered open-ended and closed-ended funds, including money
market funds, bond funds and other fixed-income fund products;
(v) other standardized debt assets as determined by the regulator;
(vi) the underlying products are fixed income asset management products with
standardized financial products (the underlying products are invested in
investment targets that satisfy the qualifications set forth in clauses (i) to
(v); and
(vii) trust industry protection fund.
(10) Right of
early
termination:
Bairui Trust is entitled to early termination of the 2024 5th Bairui Trust Wealth
Management Product if there arises any adverse situation which affects the
purpose of the 2024 5th Bairui Trust Wealth Management Agreement.
2024 6th Bairui Trust Wealth Management Agreement
(1)Date of
subscription:
2 April 2024
(2) Name of
product:
Bairui Anxin Zengli No. 3 Collective Fund Trust Plan
(百瑞安鑫增利3號集合資金信託計劃)

7

(3) Parties: (i) Bairui Trust as trustee
(ii) Air-conditioner Marketing Company as subscriber
(4) Type of
product:
Non-principal-guaranteed with floating return
(5) Risk rating of
product:
Medium-low
(6) Principal
amount of
subscription:
RMB150,000,000 (equivalent to approximately HK$165,425,972_Note 8_)
(7) Term of
investment:
Every Working Day is an open day for subscriptions and redemptions, so the
term of investment of the 2024 6th Bairui Trust Wealth Management Product is
subject to the redemption time of the subscriber.
(8) Expected rate
of return:
The performance of the 2024 6th Bairui Trust Wealth Management Product will
fluctuate with the market and is subject to uncertainty. It will be valued at the net
asset value of the trust units on the valuation day.
(9) Investment
scope of the
product:
The 2024 6th Bairui Trust Wealth Management Product invests in:
(i)
monetary deposit instruments, including general deposits such as bank
deposits;
(ii) interbank and exchange bond reverse repurchase business;
(iii) interbank and exchange market bonds, including government credit bonds
such as listed and outstanding treasury bonds, central bank bills, policy
financial bonds and local government bonds, and non-government credit
bonds such as financial bonds, non-financial corporate debt financing
instruments, corporate bonds, enterprise bonds, interbank certificates of
deposits, convertible bonds, exchangeable bonds, credit asset-backed
securities, asset-backed notes and asset-backed securities listed and traded
in stock exchanges;
(iv) publicly offered open-ended and closed-ended funds, including money
market funds, bond funds and other fixed-income fund products;
(v) other standardized debt assets as determined by the regulator;
(vi) the underlying products are fixed income asset management products with
standardized financial products (the underlying products are invested in
investment targets that satisfy the qualifications set forth in clauses (i) to
(v); and
(vii) trust industry protection fund.
(10) Right of
early
termination:
Bairui Trust is entitled to early termination of the 2024 6th Bairui Trust Wealth
Management Product if there arises any adverse situation which affects the
purpose of the 2024 6th Bairui Trust Wealth Management Agreement.
2024 7th Bairui Trust Wealth Management Agreement
(1)Date of
subscription:
9 April 2024
(2) Name of
product:
Bairui Anxin Zengli Collective Fund Trust Plan(Ju Ying No.4)
(百瑞安鑫增利集合資金信託計劃(聚盈4號))

8

(3) Parties: (i) Bairui Trust as trustee
(ii) Refrigerator Marketing Company as subscriber
(4) Type of
product:
Non-principal-guaranteed with floating return
(5) Risk rating of
product:
Medium-low
(6) Principal
amount of
subscription:
RMB150,000,000 (equivalent to approximately HK$165,553,777_Note 9_)
(7) Term of
investment:
Every Working Day is an open day for subscriptions and redemptions, so the
term of investment of the 2024 7th Bairui Trust Wealth Management Product is
subject to the redemption time of the subscriber.
(8) Expected rate
of return:
The performance of the 2024 7th Bairui Trust Wealth Management Product will
fluctuate with the market and is subject to uncertainty. It will be valued at the net
asset value of the trust units on the valuation day.
(9) Investment
scope of the
product:
The 2024 7th Bairui Trust Wealth Management Product invests in:
(i)
fixed-income asset management products with standardized assets at the
bottom;
(ii) publicly offered open-ended and closed-ended money funds, bond funds;
(iii) trust industry protection fund; and
(iv) bank deposits, certificates of deposit and other money market instruments
with good liquidity.
(10) Right of
early
termination:
Bairui Trust is entitled to early termination of the 2024 7th Bairui Trust Wealth
Management Product if there arises any adverse situation which affects the
purpose of the 2024 7th Bairui Trust Wealth Management Agreement.
2024 8th Bairui Trust Wealth Management Agreement
(1)Date of
subscription:
11 April 2024
(2) Name of
product:
Bairui Anxin Zengli No. 3 Collective Fund Trust Plan
(百瑞安鑫增利3號集合資金信託計劃)
(3) Parties: (i) Bairui Trust as trustee
(ii) Refrigerator Marketing Company as subscriber
(4) Type of
product:
Non-principal-guaranteed with floating return
(5) Risk rating of
product:
Medium-low
(6) Principal
amount of
subscription:
RMB200,000,000 (equivalent to approximately HK$220,789,543_Note 10_)

9

(7) Term of
investment:
Every Working Day is an open day for subscriptions and redemptions, so the
term of investment of the 2024 8th Bairui Trust Wealth Management Product is
subject to the redemption time of the subscriber.
(8) Expected rate
of return:
The performance of the 2024 8th Bairui Trust Wealth Management Product will
fluctuate with the market and is subject to uncertainty. It will be valued at the net
asset value of the trust units on the valuation day.
(9) Investment
scope of the
product:
The 2024 8th Bairui Trust Wealth Management Product invests in:
(i)
monetary deposit instruments, including general deposits such as bank
deposits;
(ii) interbank and exchange bond reverse repurchase business;
(iii) interbank and exchange market bonds, including government credit bonds
such as listed and outstanding treasury bonds, central bank bills, policy
financial bonds and local government bonds, and non-government credit
bonds such as financial bonds, non-financial corporate debt financing
instruments, corporate bonds, enterprise bonds, interbank certificates of
deposits, convertible bonds, exchangeable bonds, credit asset-backed
securities, asset-backed notes and asset-backed securities listed and traded
in stock exchanges;
(iv) publicly offered open-ended and closed-ended funds, including money
market funds, bond funds and other fixed-income fund products;
(v) other standardized debt assets as determined by the regulator;
(vi) the underlying products are fixed income asset management products with
standardized financial products (the underlying products are invested in
investment targets that satisfy the qualifications set forth in clauses (i) to
(v); and
(vii) trust industry protection fund.
(10) Right of
early
termination:
Bairui Trust is entitled to early termination of the 2024 8th Bairui Trust Wealth
Management Product if there arises any adverse situation which affects the
purpose of the 2024 8th Bairui Trust Wealth Management Agreement.
2024 9th Bairui Trust Wealth Management Agreement
(1)Date of
subscription:
11 April 2024
(2) Name of
product:
Bairui Anxin Zengli No. 3 Collective Fund Trust Plan
(百瑞安鑫增利3號集合資金信託計劃)
(3) Parties: (i) Bairui Trust as trustee
(ii) Air-conditioner Marketing Company as subscriber
(4) Type of
product:
Non-principal-guaranteed with floating return
(5) Risk rating of
product:
Medium-low
(6) Principal
amount of
subscription:
RMB150,000,000 (equivalent to approximately HK$165,592,158_Note 10_)

10

(7) Term of
investment:
Every Working Day is an open day for subscriptions and redemptions, so the
term of investment of the 2024 9th Bairui Trust Wealth Management Product is
subject to the redemption time of the subscriber.
(8) Expected rate
of return:
The performance of the 2024 9th Bairui Trust Wealth Management Product will
fluctuate with the market and is subject to uncertainty. It will be valued at the net
asset value of the trust units on the valuation day.
(9) Investment
scope of the
product:
The 2024 9th Bairui Trust Wealth Management Product invests in:
(i)
monetary deposit instruments, including general deposits such as bank
deposits;
(ii) interbank and exchange bond reverse repurchase business;
(iii) interbank and exchange market bonds, including government credit bonds
such as listed and outstanding treasury bonds, central bank bills, policy
financial bonds and local government bonds, and non-government credit
bonds such as financial bonds, non-financial corporate debt financing
instruments, corporate bonds, enterprise bonds, interbank certificates of
deposits, convertible bonds, exchangeable bonds, credit asset-backed
securities, asset-backed notes and asset-backed securities listed and traded
in stock exchanges;
(iv) publicly offered open-ended and closed-ended funds, including money
market funds, bond funds and other fixed-income fund products;
(v) other standardized debt assets as determined by the regulator;
(vi) the underlying products are fixed income asset management products with
standardized financial products (the underlying products are invested in
investment targets that satisfy the qualifications set forth in clauses (i) to
(v); and
(vii) trust industry protection fund.
(10) Right of
early
termination:
Bairui Trust is entitled to early termination of the 2024 9th Bairui Trust Wealth
Management Product if there arises any adverse situation which affects the
purpose of the 2024 9th Bairui Trust Wealth Management Agreement.
2024 10th Bairui Trust Wealth Management Agreement
(1)Date of
subscription:
8 May 2024
(2) Name of
product:
Bairui Anxin Zengli No. 3 Collective Fund Trust Plan
(百瑞安鑫增利3號集合資金信託計劃)
(3) Parties: (i) Bairui Trust as trustee
(ii) Air-conditioner Marketing Company as subscriber
(4) Type of
product:
Non-principal-guaranteed with floating return
(5) Risk rating of
product:
Medium-low
(6) Principal
amount of
subscription:
RMB150,000,000 (equivalent to approximately HK$165,220,073_Note 11_)

11

(7) Term of
investment:
Every Working Day is an open day for subscriptions and redemptions, so the
term of investment of the 2024 10th Bairui Trust Wealth Management Product
is subject to the redemption time of the subscriber.
(8) Expected rate
of return:
The performance of the 2024 10th Bairui Trust Wealth Management Product will
fluctuate with the market and is subject to uncertainty. It will be valued at the net
asset value of the trust units on the valuation day.
(9) Investment
scope of the
product:
The 2024 10th Bairui Trust Wealth Management Product invests in:
(i)
monetary deposit instruments, including general deposits such as bank
deposits;
(ii) interbank and exchange bond reverse repurchase business;
(iii) interbank and exchange market bonds, including government credit bonds
such as listed and outstanding treasury bonds, central bank bills, policy
financial bonds and local government bonds, and non-government credit
bonds such as financial bonds, non-financial corporate debt financing
instruments, corporate bonds, enterprise bonds, interbank certificates of
deposits, convertible bonds, exchangeable bonds, credit asset-backed
securities, asset-backed notes and asset-backed securities listed and traded
in stock exchanges;
(iv) publicly offered open-ended and closed-ended funds, including money
market funds, bond funds and other fixed-income fund products;
(v) other standardized debt assets as determined by the regulator;
(vi) the underlying products are fixed income asset management products with
standardized financial products (the underlying products are invested in
investment targets that satisfy the qualifications set forth in clauses (i) to
(v); and
(vii) trust industry protection fund.
(10) Right of
early
termination:
Bairui Trust is entitled to early termination of the 2024 10th Bairui Trust Wealth
Management Product if there arises any adverse situation which affects the
purpose of the 2024 10th Bairui Trust Wealth Management Agreement.
2024 11th Bairui Trust Wealth Management Agreement
(1)Date of
subscription:
11 June 2024
(2) Name of
product:
Bairui Anxin Zengli Collective Fund Trust Plan(Ju Ying No.4)
(百瑞安鑫增利集合資金信託計劃(聚盈4號))
(3) Parties: (i) Bairui Trust as trustee
(ii) Refrigerator Marketing Company as subscriber
(4) Type of
product:
Non-principal-guaranteed with floating return
(5) Risk rating of
product:
Medium-low
(6) Principal
amount of
subscription:
RMB150,000,000 (equivalent to approximately HK$164,728,363_Note 12_)

12

(7) Term of
investment:
Every Working Day is an open day for subscriptions and redemptions, so the
term of investment of the 2024 11th Bairui Trust Wealth Management Product
is subject to the redemption time of the subscriber.
(8) Expected rate
of return:
The performance of the 2024 11th Bairui Trust Wealth Management Product will
fluctuate with the market and is subject to uncertainty. It will be valued at the net
asset value of the trust units on the valuation day.
(9) Investment
scope of the
product:
The 2024 11th Bairui Trust Wealth Management Product invests in:
(i)
fixed-income asset management products with standardized assets at the
bottom;
(ii) publicly offered open-ended and closed-ended money funds, bond funds;
(iii) trust industry protection fund; and
(iv) bank deposits, certificates of deposit and other money market instruments
with good liquidity.
(10) Right of
early
termination:
Bairui Trust is entitled to early termination of the 2024 11th Bairui Trust Wealth
Management Product if there arises any adverse situation which affects the
purpose of the 2024 11th Bairui Trust Wealth Management Agreement.
2024 12th Bairui Trust Wealth Management Agreement
(1)Date of
subscription:
26 June 2024
(2) Name of
product:
Bairui Anxin Zengli No. 3 Collective Fund Trust Plan
(百瑞安鑫增利3號集合資金信託計劃)
(3) Parties: (i) Bairui Trust as trustee
(ii) Refrigerator Marketing Company as subscriber
(4) Type of
product:
Non-principal-guaranteed with floating return
(5) Risk rating of
product:
Medium-low
(6) Principal
amount of
subscription:
RMB350,000,000 (equivalent to approximately HK$383,624,705_Note 13_)
(7) Term of
investment:
Every Working Day is an open day for subscriptions and redemptions, so the
term of investment of the 2024 12th Bairui Trust Wealth Management Product
is subject to the redemption time of the subscriber.
(8) Expected rate
of return:
The performance of the 2024 12th Bairui Trust Wealth Management Product will
fluctuate with the market and is subject to uncertainty. It will be valued at the net
asset value of the trust units on the valuation day.
(9) Investment
scope of the
product:
The 2024 12th Bairui Trust Wealth Management Product invests in:
(i)
monetary deposit instruments, including general deposits such as bank
deposits;
(ii) interbank and exchange bond reverse repurchase business;
(iii) interbank and exchange market bonds, including government credit bonds
such as listed and outstanding treasury bonds, central bank bills, policy

13

financial bonds and local government bonds, and non-government credit
bonds such as financial bonds, non-financial corporate debt financing
instruments, corporate bonds, enterprise bonds, interbank certificates of
deposits, convertible bonds, exchangeable bonds, credit asset-backed
securities, asset-backed notes and asset-backed securities listed and traded
in stock exchanges;
(iv) publicly offered open-ended and closed-ended funds, including money
market funds, bond funds and other fixed-income fund products;
(v) other standardized debt assets as determined by the regulator;
(vi) the underlying products are fixed income asset management products with
standardized financial products (the underlying products are invested in
investment targets that satisfy the qualifications set forth in clauses (i) to
(v); and
(vii) trust industry protection fund.
(10) Right of
early
termination:
Bairui Trust is entitled to early termination of the 2024 12th Bairui Trust Wealth
Management Product if there arises any adverse situation which affects the
purpose of the 2024 12th Bairui Trust Wealth Management Agreement.
2024 13th Bairui Trust Wealth Management Agreement
(1)Date of
subscription:
12 July 2024
(2) Name of
product:
Bairui Anxin Zengli No. 3 Collective Fund Trust Plan
(百瑞安鑫增利3號集合資金信託計劃)
(3) Parties: (i) Bairui Trust as trustee
(ii) Air-conditioner Marketing Company as subscriber
(4) Type of
product:
Non-principal-guaranteed with floating return
(5) Risk rating of
product:
Medium-low
(6) Principal
amount of
subscription:
RMB112,000,000 (equivalent to approximately HK$122,620,129_Note 14_)
(7) Term of
investment:
Every Working Day is an open day for subscriptions and redemptions, so the
term of investment of the 2024 13th Bairui Trust Wealth Management Product
is subject to the redemption time of the subscriber.
(8) Expected rate
of return:
The performance of the 2024 13th Bairui Trust Wealth Management Product will
fluctuate with the market and is subject to uncertainty. It will be valued at the net
asset value of the trust units on the valuation day.
(9) Investment
scope of the
product:
The 2024 13th Bairui Trust Wealth Management Product invests in:
(i)
monetary deposit instruments, including general deposits such as bank
deposits;
(ii) interbank and exchange bond reverse repurchase business;
(iii) interbank and exchange market bonds, including government credit bonds
such as listed and outstanding treasury bonds, central bank bills, policy

14

financial bonds and local government bonds, and non-government credit
bonds such as financial bonds, non-financial corporate debt financing
instruments, corporate bonds, enterprise bonds, interbank certificates of
deposits, convertible bonds, exchangeable bonds, credit asset-backed
securities, asset-backed notes and asset-backed securities listed and traded
in stock exchanges;
(iv) publicly offered open-ended and closed-ended funds, including money
market funds, bond funds and other fixed-income fund products;
(v) other standardized debt assets as determined by the regulator;
(vi) the underlying products are fixed income asset management products with
standardized financial products (the underlying products are invested in
investment targets that satisfy the qualifications set forth in clauses (i) to
(v); and
(vii) trust industry protection fund.
(10) Right of
early
termination:
Bairui Trust is entitled to early termination of the 2024 13th Bairui Trust Wealth
Management Product if there arises any adverse situation which affects the
purpose of the 2024 13th Bairui Trust Wealth Management Agreement.

To the best of the Directors’ knowledge, information and belief having made all reasonable enquiry, Bairui Trust and its respective ultimate beneficial owner(s) are third parties independent of the Company and its connected persons.

REASONS FOR AND BENEFITS OF THE SUBSCRIPTIONS

The approval procedures of the subscriptions of wealth management products by the Company are in compliance with the relevant requirements of “Management Measures for Conducting Entrusted Wealth Management Transactions” (《委託理財管理制度》) of the Company. The subscriptions of the Bairui Trust Wealth Management Products are made from the idle self-owned funds of the Group. Such use of the idle self-owned funds for entrusted wealth management is beneficial for enhancing efficiency of use of idle self-owned funds of the Group and will not adversely affect the daily operation and the principal business development of the Group as well as the interests of medium and small investors of the Company.

The Board considers that the subscriptions of the Bairui Trust Wealth Management Products are on normal commercial terms, fair and reasonable, and in the interests of the Company and Shareholders as a whole.

IMPLICATION UNDER THE LISTING RULES

Each of the Bairui Trust Wealth Management Agreements by itself does not constitute a discloseable transaction of the Company under Rule 14.06 of the Listing Rules. However, pursuant to Rule 14.22 of the Listing Rules, when the subscription amounts under the Bairui Trust Wealth Management Agreements are aggregated, the relevant applicable percentage ratios (as defined under the Listing Rules) exceed 5% but are below 25%. Therefore, the transactions under the Bairui Trust Wealth Management Agreements, on an aggregate basis, constitute discloseable transactions of the Company and are subject to the reporting and announcement requirements under the Listing Rules.

15

INFORMATION ON THE COMPANY, AIR-CONDITIONER MARKETING COMPANY, REFRIGERATOR MARKETING COMPANY AND BAIRUI TRUST

The Company

The Company and its subsidiaries are principally engaged in research and development, manufacturing and marketing of electrical products such as refrigerators, household air-conditioners, central airconditioners, freezers, washing machines, kitchen appliances, etc and automotive air conditioner compressor and integrated thermal management system.

Air-conditioner Marketing Company

Air-conditioner Marketing Company is a company established in the PRC and a non-wholly owned subsidiary of the Company, which is principally engaged in the sales of refrigeration and air-conditioning equipment; sales of household appliances; installation services for household appliances; technical services, technical development, technical consultation, technical transfer, technical promotion; repair of daily-use appliances.

Refrigerator Marketing Company

Refrigerator Marketing Company is a company established in the PRC and a subsidiary of the Company, which is principally engaged in sales and after-sales service and technical services of household appliances such as refrigerators, freezers, washing machines, household appliances.

Bairui Trust

Bairui Trust is a company incorporated under the laws of the PRC and a non-bank financial institution regulated by China Banking and Insurance Regulatory Commission which is principally engaged in the business of capital trust, movable asset trust and real estate trust, etc. The ultimate beneficial owner of Bairui Trust is the State-owned Assets Supervision and Administration Commission of the State Council.

DEFINITIONS

In this announcement, unless the context otherwise requires, the following terms have the meanings set out below:

“2023 16th Bairui Trust the wealth management agreement entered into between Refrigerator
Wealth Management Marketing Company and Bairui Trust on 18 December 2023 in relation to
Agreement” the subscription of the 2023 16th Bairui Trust Wealth Management
Product;
“2024 1st Bairui Trust the wealth management agreement entered into between Refrigerator
Wealth Management Marketing Company and Bairui Trust on 16 January 2024 in relation to the
Agreement” subscription of the 2024 1st Bairui Trust Wealth Management Product;
“2024 2nd Bairui Trust the wealth management agreement entered into between Air-conditioner
Wealth Management Marketing Company and Bairui Trust on 21 February 2024 in relation to
Agreement” the subscription of the 2024 2nd Bairui Trust Wealth Management
Product;

16

“2024 3rd Bairui Trust Wealth Management Agreement”

“2024 4th Bairui Trust Wealth Management Agreement”

“2024 5th Bairui Trust Wealth Management Agreement”

“2024 6th Bairui Trust Wealth Management Agreement”

“2024 7th Bairui Trust Wealth Management Agreement”

“2024 8th Bairui Trust Wealth Management Agreement”

“2024 9th Bairui Trust Wealth Management Agreement”

“2024 10th Bairui Trust Wealth Management Agreement”

“2024 11th Bairui Trust Wealth Management Agreement”

“2024 12th Bairui Trust Wealth Management Agreement”

“2024 13th Bairui Trust Wealth Management Agreement”

“2023 16th Bairui Trust Wealth Management Product”

the wealth management agreement entered into between Refrigerator Marketing Company and Bairui Trust on 27 February 2024 in relation to the subscription of the 2024 3rd Bairui Trust Wealth Management Product; the wealth management agreement entered into between Air-conditioner Marketing Company and Bairui Trust on 19 March 2024 in relation to the subscription of the 2024 4th Bairui Trust Wealth Management Product; the wealth management agreement entered into between Air-conditioner Marketing Company and Bairui Trust on 20 March 2024 in relation to the subscription of the 2024 5th Bairui Trust Wealth Management Product; the wealth management agreement entered into between Air-conditioner Marketing Company and Bairui Trust on 2 April 2024 in relation to the subscription of the 2024 6th Bairui Trust Wealth Management Product; the wealth management agreement entered into between Refrigerator Marketing Company and Bairui Trust on 9 April 2024 in relation to the subscription of the 2024 7th Bairui Trust Wealth Management Product; the wealth management agreement entered into between Refrigerator Marketing Company and Bairui Trust on 11 April 2024 in relation to the subscription of the 2024 8th Bairui Trust Wealth Management Product; the wealth management agreement entered into between Air-conditioner Marketing Company and Bairui Trust on 11 April 2024 in relation to the subscription of the 2024 9th Bairui Trust Wealth Management Product; the wealth management agreement entered into between Air-conditioner Marketing Company and Bairui Trust on 8 May 2024 in relation to the subscription of the 2024 10th Bairui Trust Wealth Management Product; the wealth management agreement entered into between Refrigerator Marketing Company and Bairui Trust on 11 June 2024 in relation to the subscription of the 2024 11th Bairui Trust Wealth Management Product; the wealth management agreement entered into between Refrigerator Marketing Company and Bairui Trust on 26 June 2024 in relation to the subscription of the 2024 12th Bairui Trust Wealth Management Product;

the wealth management agreement entered into between Air-conditioner Marketing Company and Bairui Trust on 12 July 2024 in relation to the subscription of the 2024 13th Bairui Trust Wealth Management Product;

the wealth management product subscribed under the 2023 16th Bairui Trust Wealth Management Agreement, the major terms of which are summarised in this announcement;

17

“2024 1st Bairui Trust Wealth Management Product”

“2024 2nd Bairui Trust Wealth Management Product”

“2024 3rd Bairui Trust Wealth Management Product”

“2024 4th Bairui Trust Wealth Management Product”

“2024 5th Bairui Trust Wealth Management Product”

“2024 6th Bairui Trust Wealth Management Product”

“2024 7th Bairui Trust Wealth Management Product”

“2024 8th Bairui Trust Wealth Management Product”

“2024 9th Bairui Trust Wealth Management Product”

“2024 10th Bairui Trust Wealth Management Product”

“2024 11th Bairui Trust Wealth Management Product”

“2024 12th Bairui Trust Wealth Management Product”

the wealth management product subscribed under the 2024 1st Bairui Trust Wealth Management Agreement, the major terms of which are summarised in this announcement;

the wealth management product subscribed under the 2024 2nd Bairui Trust Wealth Management Agreement, the major terms of which are summarised in this announcement;

the wealth management product subscribed under the 2024 3rd Bairui Trust Wealth Management Agreement, the major terms of which are summarised in this announcement;

the wealth management product subscribed under the 2024 4th Bairui Trust Wealth Management Agreement, the major terms of which are summarised in this announcement;

the wealth management product subscribed under the 2024 5th Bairui Trust Wealth Management Agreement, the major terms of which are summarised in this announcement;

the wealth management product subscribed under the 2024 6th Bairui Trust Wealth Management Agreement, the major terms of which are summarised in this announcement;

the wealth management product subscribed under the 2024 7th Bairui Trust Wealth Management Agreement, the major terms of which are summarised in this announcement;

the wealth management product subscribed under the 2024 8th Bairui Trust Wealth Management Agreement, the major terms of which are summarised in this announcement;

the wealth management product subscribed under the 2024 9th Bairui Trust Wealth Management Agreement, the major terms of which are summarised in this announcement;

the wealth management product subscribed under the 2024 10th Bairui Trust Wealth Management Agreement, the major terms of which are summarised in this announcement;

the wealth management product subscribed under the 2024 11th Bairui Trust Wealth Management Agreement, the major terms of which are summarised in this announcement;

the wealth management product subscribed under the 2024 12th Bairui Trust Wealth Management Agreement, the major terms of which are summarised in this announcement;

18

“2024 13th Bairui Trust the wealth management product subscribed under the 2024 13th Bairui
Wealth Management Trust Wealth Management Agreement, the major terms of which are
Product” summarised in this announcement;
“Air-conditioner Marketing Qingdao Hisense Air-conditioner Marketing Co., Ltd.*(青島海信空調營
Company” 銷股份有限公司), a non-wholly owned subsidiary of the Company
“Bairui Trust” Bairui Trust Company Limited*(百瑞信託有限責任公司), a company
incorporated under the laws of the PRC and a non-bank financial
institution;
“Board” the board of directors of the Company;
“Company” Hisense Home Appliances Group Co., Ltd. (海信家電集團股份有限公
司), a joint stock limited company incorporated in the PRC with limited
liability, whose shares are listed on the main board of the Hong Kong Stock
Exchange and the Shenzhen Stock Exchange;
“connected person(s)” has the meaning ascribed to it under the Listing Rules;
“Director(s)” the director(s) of the Company;
“Group” the Company and its subsidiaries;
“HK$” Hong Kong dollars, the lawful currency of Hong Kong;
“Hong Kong Stock The Stock Exchange of Hong Kong Limited;
Exchange”
“Listing Rules” the Rules Governing the Listing of Securities on the Hong Kong Stock
Exchange;
“PRC” the People’s Republic of China;
“Refrigerator Marketing Guangdong Hisense Refrigerator Marketing Co., Ltd.* (廣東海信冰箱營
Company” 銷股份有限公司), a non-wholly owned subsidiary of the Company;
“Renminbi” or “RMB” Renminbi, the lawful currency of the PRC;
“Shareholder(s)”
the shareholder(s) of the Company;
“Working Day” a normal business day of financial institutions stipulated by the PRC laws;
“%” per cent; and
“*” for identification purposes only.
Notes:

19

1. This amount is an aggregation of the HK$ amounts converted from RMB at the exchange rates that were used in the announcements corresponding to theAnnouncement Datesin the list of Bairui Trust Wealth Management Agreements. The conversions were for the purpose of illustration only. No representation is made that any amount in HK$ or RMB could have been or could be converted at the relevant dates at the above rate or at any other rates or at all.

2. This amount has been converted from RMB into HK$ at an exchange rate of RMB0.90920 to HK$1 for the purpose of illustration only. No representation is made that any amount in HK$ or RMB could have been or could be converted at the relevant dates at the above rate or at any other rates or at all.

3. This amount has been converted from RMB into HK$ at an exchange rate of RMB0.90934 to HK$1 for the purpose of illustration only. No representation is made that any amount in HK$ or RMB could have been or could be converted at the relevant dates at the above rate or at any other rates or at all.

4. This amount has been converted from RMB into HK$ at an exchange rate of RMB0.90826 to HK$1 for the purpose of illustration only. No representation is made that any amount in HK$ or RMB could have been or could be converted at the relevant dates at the above rate or at any other rates or at all.

5. This amount has been converted from RMB into HK$ at an exchange rate of RMB0.90832 to HK$1 for the purpose of illustration only. No representation is made that any amount in HK$ or RMB could have been or could be converted at the relevant dates at the above rate or at any other rates or at all.

6. This amount has been converted from RMB into HK$ at an exchange rate of RMB0.90772 to HK$1 for the purpose of illustration only. No representation is made that any amount in HK$ or RMB could have been or could be converted at the relevant dates at the above rate or at any other rates or at all.

7. This amount has been converted from RMB into HK$ at an exchange rate of RMB0.90722 to HK$1 for the purpose of illustration only. No representation is made that any amount in HK$ or RMB could have been or could be converted at the relevant dates at the above rate or at any other rates or at all.

8. This amount has been converted from RMB into HK$ at an exchange rate of RMB0.90675 to HK$1 for the purpose of illustration only. No representation is made that any amount in HK$ or RMB could have been or could be converted at the relevant dates at the above rate or at any other rates or at all.

9. This amount has been converted from RMB into HK$ at an exchange rate of RMB0.90605 to HK$1 for the purpose of illustration only. No representation is made that any amount in HK$ or RMB could have been or could be converted at the relevant dates at the above rate or at any other rates or at all.

10. This amount has been converted from RMB into HK$ at an exchange rate of RMB0.90584 to HK$1 for the purpose of illustration only. No representation is made that any amount in HK$ or RMB could have been or could be converted at the relevant dates at the above rate or at any other rates or at all.

11. This amount has been converted from RMB into HK$ at an exchange rate of RMB0.90788 to HK$1 for the purpose of illustration only. No representation is made that any amount in HK$ or RMB could have been or could be converted at the relevant dates at the above rate or at any other rates or at all.

12. This amount has been converted from RMB into HK$ at an exchange rate of RMB0.91059 to HK$1 for the purpose of illustration only. No representation is made that any amount in HK$ or RMB could have been or could be converted at the relevant dates at the above rate or at any other rates or at all.

13. This amount has been converted from RMB into HK$ at an exchange rate of RMB0.91235 to HK$1 for the purpose of illustration only. No representation is made that any amount in HK$ or RMB could have been or could be converted at the relevant dates at the above rate or at any other rates or at all.

14. This amount has been converted from RMB into HK$ at an exchange rate of RMB0.91339 to HK$1 for the purpose of illustration only. No representation is made that any amount in HK$ or RMB could have been or could be converted

20

at the relevant dates at the above rate or at any other rates or at all.

By order of the Board Hisense Home Appliances Group Co., Ltd. Dai Hui Zhong Chairman

Foshan City, Guangdong, the PRC, 12 July 2024

As at the date of this announcement, the Company’s non- independent directors are Mr. Dai Hui Zhong, Mr. Jia Shao Qian, Mr. Yu Zhi Tao, Mr. Hu Jian Yong, Ms. Gao Yu Ling and Mr. Zhu Dan; and the Company’s independent directors are Mr. Cheung Sai Kit, Mr. Li Zhi Gang and Mr. Tsoi Wing Sing.

21