Workflow
ZHEJIANG SHIBAO(002703)
icon
Search documents
浙江世宝:关于使用部分闲置募集资金进行现金管理的进展公告
2024-05-05 08:24
证券代码:002703 证券简称:浙江世宝 公告编码:2024-026 浙江世宝股份有限公司 关于使用部分闲置募集资金进行现金管理的公告 浙江世宝股份有限公司(以下简称"浙江世宝"、"公司")于 2024 年 4 月 19 日通过第七届董事会书面议案以及第七届监事会书面议案审议通过了《关 于使用部分闲置募集资金进行现金管理的议案》,同意公司在确保不影响募集资 金投资项目建设使用及公司正常生产经营的情况下,使用最高额度不超过人民币 10,000 万元的闲置募集资金购买安全性高、流动性好的投资产品(包括但不限 于协定存款、结构性存款、定期存款、通知存款、大额存单等)。在上述额度内, 资金可滚动使用。使用期限为自董事会批准之日起不超过 12 个月。董事会授权 公司管理层在授权额度和期限内行使现金管理投资决策权并签署相关合同文件, 具体事项由公司财务管理部门负责组织实施。具体内容详见公司 2024 年 4 月 20 日在巨潮资讯网(www.cninfo.com.cn)的信息披露。 近日,公司使用部分暂时闲置募集资金,通过中信银行股份有限公司杭州经 济技术开发区支行(以下简称"中信银行")申购了结构性存款产品,具体情况 ...
浙江世宝(01057) - 2024 Q1 - 季度业绩
2024-04-25 11:12
Financial Performance - Revenue for Q1 2024 reached RMB 493,440,384.78, an increase of 43.03% compared to RMB 345,001,524.92 in Q1 2023[8] - Net profit attributable to shareholders was RMB 21,779,300.91, up 140.12% from RMB 9,070,150.47 in the same period last year[8] - Net profit excluding non-recurring gains and losses was RMB 20,383,045.41, representing a 272.95% increase from RMB 5,465,326.94[8] - Total operating revenue for Q1 2024 reached RMB 493,440,384.78, a significant increase of 43% compared to RMB 345,001,524.92 in Q1 2023[13] - Net profit for Q1 2024 was RMB 25,576,044.10, up 158% from RMB 9,936,100.98 in Q1 2023[15] - The company reported a total comprehensive income of RMB 25,576,044.10 for Q1 2024, significantly higher than RMB 9,936,100.98 in Q1 2023[15] - Operating profit for Q1 2024 was RMB 24,678,312.76, compared to RMB 9,667,601.52 in Q1 2023, marking an increase of 155%[13] Earnings and Cash Flow - Basic and diluted earnings per share increased to RMB 0.0276, up 140.00% from RMB 0.0115[8] - Basic and diluted earnings per share for Q1 2024 were both RMB 0.0276, compared to RMB 0.0115 in Q1 2023, reflecting a growth of 140%[15] - Operating cash flow for the quarter was RMB 4,182,677.79, a significant improvement of 125.18% from a negative RMB 16,609,425.13 in Q1 2023[8] - Cash flow from operating activities generated a net amount of RMB 4,182,677.79 in Q1 2024, a recovery from a negative cash flow of RMB -16,609,425.13 in Q1 2023[17] - The net cash flow from operating activities was RMB 4,182,677.79, reflecting a year-on-year increase of 125.18%, mainly due to an increase in cash collected from sales[24] - The net cash flow from financing activities in Q1 2024 was RMB 331,346,988.71, a significant increase from RMB 7,623,874.92 in Q1 2023, reflecting strong capital inflow[17] Assets and Liabilities - Total assets as of March 31, 2024, were RMB 2,880,939,833.18, an increase of 8.69% from RMB 2,650,678,847.84 at the end of 2023[9] - Net assets attributable to shareholders rose to RMB 1,835,732,265.41, a 24.89% increase from RMB 1,469,865,219.48[9] - Cash and cash equivalents increased to RMB 495,054,624.71 from RMB 158,481,484.94, showing a substantial growth[9] - The company reported a decrease in total liabilities to RMB 1,053,312,440.33 from RMB 1,192,715,244.11, indicating improved financial health[11] Investment and R&D - Research and development expenses for Q1 2024 were RMB 25,779,797.06, slightly up from RMB 25,280,891.98 in Q1 2023, indicating continued investment in innovation[13] - The company received government grants amounting to RMB 972,450.00, contributing positively to the financial results[21] Shareholder Information - The total number of ordinary shareholders at the end of the reporting period was 86,364, with the top ten shareholders holding significant stakes, including Zhejiang Shibao Holding Group Co., Ltd. at 37.40% and Hong Kong Central Clearing Limited at 27.51%[28] - The company issued 32,987,747 new ordinary shares, increasing the total share capital from 789,644,637 shares to 822,632,384 shares, approved by the China Securities Regulatory Commission[33] Strategic Focus - The company is focused on enhancing its operational efficiency and expanding its market presence in the upcoming quarters[8] - The company achieved operating revenue of RMB 493,440,384.78, representing a year-on-year growth of 43.03%, primarily due to significant increases in sales of various steering system products and key components[24]
浙江世宝(002703) - 2024 Q1 - 季度财报
2024-04-25 08:55
Financial Performance - The company achieved operating revenue of RMB 493,440,384.78, representing a year-on-year growth of 43.03% due to significant sales increases in various steering system products and key components [4]. - Net profit attributable to shareholders of the listed company was RMB 21,779,300.91, a year-on-year increase of 140.12%, while the net profit after deducting non-recurring gains and losses was RMB 20,383,045.41, up 272.95% [4]. - Total revenue for the current period reached ¥493,440,384.78, a significant increase from ¥345,001,524.92 in the previous period, representing a growth of approximately 43% [21]. - Net profit for the current period was ¥25,576,044.10, compared to ¥9,936,100.98 in the previous period, indicating a substantial increase of about 158% [21]. - Basic and diluted earnings per share were both RMB 0.0276, representing a 140.00% increase year-on-year [14]. - Earnings per share (EPS) for the current period was ¥0.0276, compared to ¥0.0115 in the previous period, indicating an increase of approximately 140% [21]. Assets and Liabilities - The total assets at the end of the reporting period were RMB 2,880,939,833.18, an increase of 8.69% compared to the end of the previous year [14]. - The company's total assets increased to ¥2,880,939,833.18 from ¥2,650,678,847.84, reflecting a growth of approximately 9% [20]. - Current assets rose to ¥1,916,645,998.54, up from ¥1,682,158,653.02, marking an increase of around 14% [20]. - The total liabilities decreased to ¥1,053,312,440.33 from ¥1,192,715,244.11, showing a reduction of about 12% [20]. - The total equity attributable to shareholders increased to ¥1,835,732,265.41 from ¥1,469,865,219.48, reflecting a growth of approximately 25% [20]. Cash Flow - The net cash flow from operating activities was RMB 4,182,677.79, showing a year-on-year increase of 125.18%, primarily due to increased cash receipts from sales [16]. - Operating cash inflow increased to $305.3 million from $226.2 million, a growth of 35.0% year-over-year [24]. - Net cash flow from operating activities turned positive at $4.2 million, compared to a negative $16.6 million in the previous period [24]. - Cash inflow from investment activities rose to $70.96 million, up from $60.65 million, marking a 21.0% increase [24]. - Total cash inflow from financing activities reached $427.39 million, significantly higher than $73.00 million in the previous period [24]. - Cash and cash equivalents at the end of the period increased to $460.95 million, up from $139.21 million [24]. Shareholder Information - The net assets attributable to shareholders of the listed company reached RMB 1,835,732,265.41, reflecting a year-on-year growth of 24.89% [14]. - The company issued 32,987,747 shares, increasing the total share capital from 789,644,637 shares to 822,632,384 shares [8]. - The major shareholder, Zhejiang Shibao Holding Group Co., Ltd., holds 37.40% of the shares, while Hong Kong Central Clearing Limited holds 27.51% [17]. Research and Development - The company reported a significant increase in research and development expenses, totaling ¥25,779,797.06, compared to ¥25,280,891.98 in the previous period [21]. Tax Efficiency - The company reported a decrease in tax payments to $12.25 million from $15.46 million, reflecting improved tax efficiency [24].
浙江世宝:H股公告:2023年度环境、社会及管治报告
2024-04-19 08:56
*僅供識別 2023 環境、社會及管治報告 * For identification purposes only 掌舵 未來方向 (於中華人民共和國註冊成立的股份有限責任公司) 股份代號:1057 Environmental, Social and Governance Report 2023 (a joint stock company incorporated in the People's Republic of China with limited liability) Stock Code:1057 2023年度環境、社會及管治報告 關於本報告 本報告為浙江世寶股份有限公司(「本公司」或「公司」或「我們」)及其子公司(統稱「本集團」或「集團」)的環境、社會及管治 報告(「報告」)。本報告是依循香港聯合交易所有限公司(「香港聯交所」)證券上市規則附錄C2所載《環境、社會及管治報告 指引》(「指引」)而編製,目的是向本集團的投資者及持份者闡述及滙報本集團於2023年1月1日至12月31日(「本年度」)全面 落實可持續發展原則之各項工作之披露及於環境、社會及管治方面的重大影響、採取的風險管理及內部監控系統 ...
浙江世宝:广发证券关于浙江世宝使用部分闲置募集资金进行现金管理的核查意见
2024-04-19 08:56
广发证券股份有限公司关于 经中国证券监督管理委员会《关于同意浙江世宝股份有限公司向特定对象发 行股票注册的批复》(证监许可〔2023〕1457 号)批准,公司采用向特定对象 发行的方式发行人民币普通股(A 股)股票,每股面值为人民币 1.00 元,发行 数量 32,987,747 股,发行价格为每股人民币 10.61 元,募集资金总额为人民币 349,999,995.67 元,减除发行费用人民币 5,912,250.65 元(不含增值税)后,募 集资金净额为 344,087,745.02 元。上述募集资金已经天健会计师事务所(特殊普 通合伙)出具的《验资报告》(天健验(2024)80 号)予以验证确认。 公司对募集资金进行了专户储存,并与保荐人、募集资金存放相关商业银行 签订了监管协议。 二、募集资金使用情况 由于本次向特定对象发行股票实际募集资金净额 344,087,745.02 元低于拟投 入的募集资金金额。根据实际募集资金净额,结合募集资金投资项目的实际情况, 公司第七届董事会、第七届监事会于 2024 年 4 月 19 日分别以书面议案的形式审 1 浙江世宝股份有限公司 使用部分闲置募集资金进行现金管 ...
浙江世宝:第七届董事会书面议案决议公告
2024-04-19 08:56
证券代码:002703 证券简称:浙江世宝 公告编码:2024-020 浙江世宝股份有限公司 第七届董事会书面议案决议公告 本公司及董事会全体成员保证公告内容真实、准确和完整,没有虚假记载、 误导性陈述或者重大遗漏。 一、董事会会议召开情况 浙江世宝股份有限公司(以下简称"浙江世宝"或"公司")第七届董事会 于 2024 年 4 月 19 日以书面议案的方式形成决议。相关书面议案于 2024 年 3 月 28 日以电子邮件方式送达。本次书面议案决议应表决董事 9 名,实际表决董事 9 名。书面议案决议符合相关法律、行政法规、部门规章、规范性文件和公司章程 的规定。 表决结果:同意票 9 票,反对票 0 票,弃权票 0 票。 本议案已经公司全体独立董事审议通过。 《浙江世宝股份有限公司关于调整向特定对象发行 A 股股票募集资金投资 项目投入金额的公告》于本公告日刊登在巨潮资讯网(www.cninfo.com.cn)。 1 公司监事会审议了该议案,相关决议于本公告日刊登在巨潮资讯网 (www.cninfo.com.cn)。 保荐人对该事项发表专项核查意见《广发证券股份有限公司关于浙江世宝股 份有限公司调整向特定对 ...
浙江世宝:关于使用部分闲置募集资金暂时补充流动资金的公告
2024-04-19 08:56
证券代码:002703 证券简称:浙江世宝 公告编码:2024-023 浙江世宝股份有限公司 关于使用部分闲置募集资金暂时补充流动资金的公告 本公司及董事会全体成员保证公告内容真实、准确和完整,没有虚假记载、 误导性陈述或者重大遗漏。 浙江世宝股份有限公司(以下简称"浙江世宝"、"公司")于 2024 年 4 月 19 日通过第七届董事会书面议案以及第七届监事会书面议案审议通过了《关于 使用部分闲置募集资金暂时补充流动资金的议案》,同意公司在确保不影响募集 资金投资项目建设使用的情况,使用不超过人民币 14,290 万元的闲置募集资金 暂时补充流动资金,使用期限为自董事会批准之日起不超过 12 个月。公司使用 部分闲置资金暂时补充流动资金,仅限于与主营业务相关的生产经营使用,不得 通过直接或间接安排用于新股配售、申购,或用于股票及其衍生品种、可转换公 司债券等的交易。本次使用部分闲置募集资金暂时补充流动资金事项在董事会审 议批准后即可实施,无需提交股东大会审议。现将有关情况公告如下: 一、募集资金基本情况 经中国证券监督管理委员会《关于同意浙江世宝股份有限公司向特定对象发 行股票注册的批复》(证监许可〔202 ...
浙江世宝:广发证券关于浙江世宝调整向特定对象发行A股股票募集资金投资项目投入金额的核查意见
2024-04-19 08:56
广发证券股份有限公司 关于浙江世宝股份有限公司 调整向特定对象发行 A 股股票 募集资金投资项目投入金额的核查意见 一、募集资金基本情况 经中国证券监督管理委员会《关于同意浙江世宝股份有限公司向特定对象发 行股票注册的批复》(证监许可〔2023〕1457 号)批准,公司采用向特定对象发 行的方式发行人民币普通股(A 股)股票,每股面值为人民币 1.00 元,发行数 量 32,987,747 股,发行价格为每股人民币 10.61 元,募集资金总额为人民币 349,999,995.67 元,减除发行费用人民币 5,912,250.65 元(不含增值税)后,募 集资金净额为 344,087,745.02 元。上述募集资金已经天健会计师事务所(特殊普 通合伙)出具的《验资报告》(天健验(2024)80 号)予以验证确认。 二、本次募投项目投入募集金额调整情况及对公司的影响 根据《浙江世宝股份有限公司 2022 年向特定对象发行 A 股股票募集说明书 (注册稿)》,公司本次向特定对象发行 A 股股票拟募集资金总额(含发行费 用)不超过 118,000.00 万元(含本数),扣除发行费用后,拟投资于以下项目: 1 单位: ...
浙江世宝:关于使用部分闲置募集资金进行现金管理的公告
2024-04-19 08:56
浙江世宝股份有限公司 关于使用部分闲置募集资金进行现金管理的公告 本公司及董事会全体成员保证公告内容真实、准确和完整,没有虚假记载、 误导性陈述或者重大遗漏。 浙江世宝股份有限公司(以下简称"浙江世宝"、"公司")于 2024 年 4 月 19 日通过第七届董事会书面议案以及第七届监事会书面议案审议通过了《关 于使用部分闲置募集资金进行现金管理的议案》,同意公司在确保不影响募集资 金投资项目建设使用及公司正常生产经营的情况下,使用最高额度不超过人民币 10,000 万元的闲置募集资金购买安全性高、流动性好的投资产品(包括但不限 于协定存款、结构性存款、定期存款、通知存款、大额存单等)。在上述额度内, 资金可滚动使用。使用期限为自董事会批准之日起不超过 12 个月。董事会授权 公司管理层在授权额度和期限内行使现金管理投资决策权并签署相关合同文件, 具体事项由公司财务管理部门负责组织实施。本次使用部分闲置募集资金进行现 金管理事项在董事会审议批准后即可实施,无需提交股东大会审议。现将有关情 况公告如下: 一、募集资金基本情况 证券代码:002703 证券简称:浙江世宝 公告编码:2024-024 经中国证券监督管 ...
浙江世宝:广发证券关于浙江世宝使用部分闲置募集资金暂时补充流动资金的核查意见
2024-04-19 08:54
广发证券股份有限公司关于 公司对募集资金进行了专户储存,并与保荐人、募集资金存放相关商业银行 签订了监管协议。 二、募集资金使用情况 由于本次向特定对象发行股票实际募集资金净额 344,087,745.02 元低于拟投 入的募集资金金额。根据实际募集资金净额,结合募集资金投资项目的实际情况, 公司第七届董事会、第七届监事会于 2024 年 4 月 19 日分别以书面议案的形式审 1 议并通过了《关于调整向特定对象发行 A 股股票募集资金投资项目投入金额的 议案》,调整后公司各募投项目使用募集资金的金额如下: 三、本次使用部分募集资金暂时补充流动资金情况 浙江世宝股份有限公司 使用部分闲置募集资金暂时补充流动资金的核查意见 广发证券股份有限公司(以下简称"广发证券"或"保荐人")作为浙江世 宝股份有限公司(以下简称"浙江世宝"或"公司")2022 年度向特定对象发 行股票并在主板上市持续督导阶段的保荐人,根据《证券发行上市保荐业务管理 办法》《深圳证券交易所股票上市规则》《上市公司监管指引第 2 号——上市公 司募集资金管理和使用的监管要求》《深圳证券交易所上市公司自律监管指引第 13 号——保荐业务》《深圳证 ...