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福莱蒽特:2025年上半年净利润同比增长24.78%
Xin Lang Cai Jing· 2025-08-27 08:56
福莱蒽特公告,2025年上半年营业收入3.85亿元,同比下降24.36%。净利润3357.26万元,同比增长 24.78%。 ...
福莱蒽特(605566) - 杭州福莱蒽特股份有限公司关于使用部分闲置募集资金进行现金管理到期赎回并继续现金管理的公告
2025-08-25 08:00
证券代码:605566 证券简称:福莱蒽特 公告编号:2025-055 杭州福莱蒽特股份有限公司 关于使用部分闲置募集资金进行现金管理到期赎回 并继续现金管理的公告 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: 一、现金管理情况概述 1、公司购买理财产品所使用的资金为公司闲置募集资金。 2、募集资金基本情况 根据中国证券监督管理委员会《关于核准杭州福莱蒽特股份有限公司首次公 开发行股票的批复》(证监许可[2021]3063 号),杭州福莱蒽特股份有限公司实 际已发行人民币普通股 3,334 万股,每股发行价格 32.21 元,募集资金总额为人 民币 1,073,881,400.00 元,减除发行费用人民币 99,830,686.78 元后,募集资金净 额为人民币 974,050,713.22 元。天健会计师事务所(特殊普通合伙)于 2021 年 10 月 15 日出具了《验资报告》(天健验[2021]569 号)。公司对募集资金采取 了专户存储制度,设立了相关募集资金专项账户。募集资金到账后,已全部存放 于经 ...
福莱蒽特(605566)8月15日主力资金净流出2458.89万元
Sou Hu Cai Jing· 2025-08-15 12:16
Group 1 - The core viewpoint of the news is that Fulei Ant (605566) has shown a slight increase in stock price but has experienced a significant decline in revenue and net profit in the latest quarterly report [1][3] - As of August 15, 2025, Fulei Ant's stock closed at 24.15 yuan, up 0.84%, with a turnover rate of 4.91% and a trading volume of 65,500 hands, amounting to 157 million yuan [1] - The latest quarterly report indicates total operating revenue of 181 million yuan, a year-on-year decrease of 17.57%, and a net profit attributable to shareholders of 13.73 million yuan, down 9.13% year-on-year [1] Group 2 - The company has a current ratio of 3.830, a quick ratio of 3.261, and a debt-to-asset ratio of 21.25% [1] - Fulei Ant has made investments in 10 external companies and participated in 4 bidding projects [2] - The company holds 27 trademark registrations and 54 patents, along with 23 administrative licenses [2]
福莱蒽特(605566)8月11日主力资金净流入2025.26万元
Sou Hu Cai Jing· 2025-08-11 08:40
金融界消息 截至2025年8月11日收盘,福莱蒽特(605566)报收于25.07元,上涨5.69%,换手率 5.34%,成交量7.12万手,成交金额1.77亿元。 资金流向方面,今日主力资金净流入2025.26万元,占比成交额11.46%。其中,超大单净流入1120.92万 元、占成交额6.34%,大单净流入904.34万元、占成交额5.12%,中单净流出流出910.74万元、占成交额 5.15%,小单净流出1114.52万元、占成交额6.3%。 通过天眼查大数据分析,杭州福莱蒽特股份有限公司共对外投资了10家企业,参与招投标项目4次,知 识产权方面有商标信息27条,专利信息54条,此外企业还拥有行政许可23个。 来源:金融界 福莱蒽特最新一期业绩显示,截至2025一季报,公司营业总收入1.81亿元、同比减少17.57%,归属净利 润1372.54万元,同比减少9.13%,扣非净利润1289.77万元,同比增长3.15%,流动比率3.830、速动比率 3.261、资产负债率21.25%。 天眼查商业履历信息显示,杭州福莱蒽特股份有限公司,成立于1998年,位于杭州市,是一家以从事化 学原料和化学制品制造业为 ...
每周股票复盘:福莱蒽特(605566)使用5,500万元闲置募资进行现金管理
Sou Hu Cai Jing· 2025-08-02 19:28
杭州福莱蒽特股份有限公司宣布使用部分闲置募集资金进行现金管理。2025年4月25日召开的董事会和 监事会会议及2025年5月21日召开的年度股东大会,批准了最高不超过人民币86,000万元的暂时闲置募 集资金用于现金管理。此次,公司投入人民币5,500万元购买浙江萧山农村商业银行股份有限公司的大 额存单产品,包括萧山农商银行2025年第22期、第21期单位大额存单和第40期单位定存宝,预计年化收 益率分别为1.60%、1.40%和1.10%,总预计收益为24.44万元。公司前次现金管理已到期赎回,获得收益 387.00万元。此操作确保不影响募集资金项目建设和使用,不影响公司日常资金周转和项目正常实施。 保荐机构对此表示同意。 以上内容为证券之星据公开信息整理,由AI算法生成(网信算备310104345710301240019号),不构成 投资建议。 公司公告汇总:福莱蒽特使用5,500万元闲置募集资金进行现金管理 公司公告汇总 截至2025年8月1日收盘,福莱蒽特(605566)报收于23.67元,较上周的22.31元上涨6.1%。本周,福莱 蒽特7月31日盘中最高价报24.33元,股价触及近一年最高点。7月 ...
杭州福莱蒽特股份有限公司关于使用部分闲置募集资金进行现金管理到期赎回并继续现金管理的公告
Shang Hai Zheng Quan Bao· 2025-07-31 17:56
Core Viewpoint - The company, Hangzhou Fulai Ant Technology Co., Ltd., has announced the use of part of its idle raised funds for cash management, with a maximum amount of RMB 86 million allocated for low-risk investment products to enhance fund utilization efficiency and generate financial returns for the company and its shareholders [2][13]. Summary by Sections Cash Management Overview - The purpose of cash management is to improve fund utilization efficiency and generate financial returns for the company and its shareholders [3]. - The investment amount for this cash management initiative is RMB 55 million [4]. - The funds used for purchasing financial products are sourced from the company's idle raised funds [4]. Fundraising Background - The company has issued a total of 33.34 million shares at a price of RMB 32.21 per share, raising a total of RMB 1,073.88 million, with a net amount of RMB 974.05 million after deducting issuance costs [5]. Investment Method - The investment type includes large-denomination time deposits, with an investment amount of RMB 55 million [6]. Approval Process - The company held board and supervisory meetings on April 25, 2025, and a shareholder meeting on May 21, 2025, to approve the cash management proposal, allowing the use of idle raised funds for low-risk investment products [8]. Risk Analysis and Control Measures - The company acknowledges that while the investment products are of high safety and liquidity, they are still subject to market fluctuations [9]. - Risk control measures include strict adherence to prudent investment principles, careful selection of issuers, and ongoing monitoring of investment performance [10]. Previous Cash Management - The company has successfully redeemed previous cash management products, indicating a track record of managing idle funds effectively [12]. Impact on the Company - The cash management initiative will not affect the normal operation of the company's fundraising projects or its main business activities [13]. Sponsor's Opinion - The sponsor has expressed no objections to the cash management initiative, confirming that it complies with relevant laws and regulations and will not alter the intended use of raised funds [13].
福莱蒽特: 杭州福莱蒽特股份有限公司关于使用部分闲置募集资金进行现金管理到期赎回并继续现金管理的公告
Zheng Quan Zhi Xing· 2025-07-31 16:15
Core Viewpoint - The company is utilizing part of its idle raised funds for cash management to enhance fund efficiency and generate financial returns for the company and its shareholders [1][10]. Cash Management Overview - Purpose: To improve fund utilization efficiency and generate financial returns for the company and shareholders [1]. - Amount: The investment amount is RMB 55 million [1]. - Source of Funds: The company has raised a total of RMB 1,073.88 million from issuing 33.34 million shares at a price of RMB 32.21 per share, with a net amount of RMB 974.05 million after deducting issuance costs [1]. Investment Details - Investment Type: The company is investing in large-denomination time deposits [3][4]. - Investment Amount: RMB 55 million [3]. - Approval Process: The investment was approved during the board meeting on April 25, 2025, and the annual shareholders' meeting on May 21, 2025, allowing for a maximum of RMB 860 million in idle funds for cash management [5]. Risk Analysis and Control Measures - Risk Analysis: The products are characterized as high safety and liquidity, but market fluctuations may still impact investments [6]. - Control Measures: The company will monitor investment conditions and may engage professional institutions for audits if necessary [6]. Previous Fund Usage - The company has successfully redeemed previous cash management products, indicating effective fund management practices [6]. Impact on the Company - The use of idle funds for cash management will not affect the normal operation of fundraising projects or the company's main business activities [9]. Sponsor's Opinion - The sponsor has confirmed that the cash management initiative complies with relevant laws and regulations, ensuring that it does not alter the intended use of raised funds [10].
福莱蒽特(605566)7月31日主力资金净流入1688.51万元
Sou Hu Cai Jing· 2025-07-31 09:13
天眼查商业履历信息显示,杭州福莱蒽特股份有限公司,成立于1998年,位于杭州市,是一家以从事化 学原料和化学制品制造业为主的企业。企业注册资本13334万人民币,实缴资本13334万人民币。公司法 定代表人为李百春。 通过天眼查大数据分析,杭州福莱蒽特股份有限公司共对外投资了10家企业,参与招投标项目4次,知 识产权方面有商标信息27条,专利信息54条,此外企业还拥有行政许可23个。 来源:金融界 金融界消息 截至2025年7月31日收盘,福莱蒽特(605566)报收于23.92元,上涨0.89%,换手率 3.97%,成交量5.29万手,成交金额1.26亿元。 资金流向方面,今日主力资金净流入1688.51万元,占比成交额13.37%。其中,超大单净流入690.45万 元、占成交额5.47%,大单净流入998.05万元、占成交额7.9%,中单净流出流出947.18万元、占成交额 7.5%,小单净流出741.33万元、占成交额5.87%。 福莱蒽特最新一期业绩显示,截至2025一季报,公司营业总收入1.81亿元、同比减少17.57%,归属净利 润1372.54万元,同比减少9.13%,扣非净利润1289.77万 ...
福莱蒽特(605566) - 杭州福莱蒽特股份有限公司关于使用部分闲置募集资金进行现金管理到期赎回并继续现金管理的公告
2025-07-31 09:00
证券代码:605566 证券简称:福莱蒽特 公告编号:2025-054 投资种类:单位大额存单 投资金额:人民币 5,500 万元 履行的审议程序:杭州福莱蒽特股份有限公司(以下简称"公司")于 2025 年 4 月 25 日召开第二届董事会第十次会议、第二届监事会第九次会议, 以及 2025 年 5 月 21 日召开 2024 年年度股东大会审议通过了《关于使用 部分闲置募集资金进行现金管理的议案》,同意公司在确保募投项目资金 需求和资金安全的前提下,使用最高额不超过人民币 86,000 万元的暂时 闲置募集资金进行现金管理,用于购买安全性高、流动性好的理财产品、 结构性存款及其他低风险投资产品。上述额度自 2024 年年度股东大会审 议通过之日起 12 个月内有效,单个理财产品或结构性存款的投资期限不 超过 12 个月,相关投资在上述额度及决议有效期内可以循环滚动使用。 保荐机构对上述事项发表了明确的同意意见。 特别风险提示:公司购买的是安全性高、流动性好、满足保本条件的单 位大额存单,但仍存在银行破产倒闭带来的清算风险、政策风险、流动性 风险、不可抗力风险等风险。 杭州福莱蒽特股份有限公司 关于使用部分 ...
福莱蒽特战略收缩:光伏子公司停产歇业背后的行业寒冬与转型阵痛
Xin Lang Zheng Quan· 2025-07-31 08:17
Group 1 - The company announced the suspension of its subsidiary, Jiaxing New Materials, due to the harsh reality of overcapacity in the photovoltaic industry and challenges faced by traditional chemical companies entering the new energy sector [1][2] - The decision to suspend operations is aimed at aligning with the company's strategic direction and reducing operational costs, as Jiaxing New Materials has been experiencing poor sales and continuous losses [2][3] - The photovoltaic film industry faced significant challenges in 2024, with prices plummeting to historical lows, leading to a gross margin of -15.53% for the company's photovoltaic film business, which is significantly lower than the 19.95% gross margin of its dye business [3] Group 2 - The company's traditional dye business is also under pressure, with a revenue of 965 million yuan in 2024, a year-on-year increase of 5.3%, but a net profit of 22.02 million yuan, down 23.48% year-on-year, and a declining gross margin of 14.25% [4] - The company plans to evaluate the possibility of resuming operations at Jiaxing New Materials based on market conditions and is actively seeking external cooperation opportunities [5] - The high concentration in the photovoltaic film industry, with a CR4 of over 85% in 2022, suggests that the company's chances of re-entering this field may be low, while it is increasing R&D investment in environmentally friendly dyes and functional intermediates [5]