募集资金管理
Search documents
聚石化学: 关于归还临时用于补充流动资金的闲置募集资金及使用剩余超募资金永久补充流动资金的公告
Zheng Quan Zhi Xing· 2025-08-18 16:30
证券代码:688669 证券简称:聚石化学 公告编号:2025-047 广东聚石化学股份有限公司 根据中国证券监督管理委员会出具的《关于同意广东聚石化学股份有限公司 首次公开发行股票注册的批复》(证监许可〔2020〕3569 号),公司获准向社 会公开发行人民币普通股 2,333.3334 万股,每股面值人民币 1.00 元,每股发行 价为人民币 36.65 元,合计募集资金人民币 85,516.67 万元,扣除发行费用人民 币 7,943.70 万元(不含增值税),募集资金净额为人民币 77,572.97 万元。上述 募集资金已于 2021 年 1 月 19 日全部到位,立信会计师事务所(特殊普通合伙) 于 2021 年 1 月 19 日对资金到位情况进行了审验,并出具了《验资报告》(信会 师报字[2021]第 ZE10005 号)。 关于归还临时用于补充流动资金的闲置募集资金及 使用剩余超募资金永久补充流动资金的公告 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、准确性和完整性依法承担法律责任。 重要内容提示: 截至 2025 年 8 月 18 日, ...
嘉必优: 嘉必优生物技术(武汉)股份有限公司2025年半年度募集资金存放与使用情况专项报告
Zheng Quan Zhi Xing· 2025-08-18 16:30
Fundraising Overview - The company raised a total of RMB 717 million from the issuance of 30 million shares at RMB 23.90 per share, with a net amount of RMB 648.33 million after deducting issuance costs [1] - As of June 30, 2025, the company had a remaining balance of RMB 7.30 million in its fundraising account [3] Fund Management - The company has established a management system for fundraising in accordance with regulatory guidelines to ensure proper use and protection of investor rights [1] - A tripartite supervision agreement was signed with the underwriter and banks to ensure the funds are used specifically for their intended purposes [2][3] Fund Utilization - The company completed the investment projects related to the expansion of microbial oil and polyunsaturated fatty acid microencapsulation production lines in 2023, with final payments made during the reporting period [4][5] - The research center construction project has fully utilized the committed fundraising amount, with excess funding derived from interest income [4][8] Financial Management - The company has not used any excess fundraising to permanently supplement working capital or repay bank loans during the reporting period [5][6] - The board approved the temporary use of up to RMB 12 million of idle funds for cash management, ensuring it does not affect ongoing projects [5] Compliance and Reporting - The company has adhered to all relevant laws and regulations regarding the use of fundraising and has disclosed the usage status in a timely manner [7]
圣泉集团: 圣泉集团关于前次募集资金使用情况报告
Zheng Quan Zhi Xing· 2025-08-18 16:30
Group 1 - The company raised a total of RMB 1,946,250,600.00 from its initial public offering in 2021, with a net amount of RMB 1,839,833,145.59 after deducting issuance costs [1][8] - The company has established a dedicated fund management system to ensure the proper use of raised funds, including signing tripartite supervision agreements with various banks [2][3] - As of June 30, 2025, the remaining balance of the funds raised from the 2021 IPO is RMB 171,943,594.51, which will be used for subsequent project payments [16] Group 2 - In 2022, the company raised RMB 875,265,903.88 through a private placement, with a net amount of RMB 869,789,923.41 after deducting issuance costs [8][9] - The company has not experienced any changes in the investment projects funded by the 2022 private placement [12] - The company has utilized all funds raised from the 2022 private placement as per the committed purposes, with no idle funds remaining [15][16] Group 3 - The company has made adjustments to its investment projects, including changing the "Science and Technology Innovation Center Construction Project" to the "Advanced Materials Innovation Base Project" [12][11] - The company has also decided to allocate surplus funds from the "Annual Production of 1,000 Tons of Functionalized Polyphenylene Ether Project" and "Annual Production of 3,000 Tons of Functional Sugar Project" to the new project [12][10] - The company has ensured compliance with the Shanghai Stock Exchange's regulations regarding the management and use of raised funds [2][4]
国睿科技: 国睿科技股份有限公司募集资金管理制度(2025年8月修订)
Zheng Quan Zhi Xing· 2025-08-18 16:30
国睿科技股份有限公司募集资金管理制度 (2025 年 8 月修订) 第一章 总则 第一条 为规范国睿科技股份有限公司(以下简称公司)募集资金管理,提高 募集资金使用的效益,确保募集资金使用安全,维护投资者合法权益,根据《中 华人民共和国公司法》《中华人民共和国证券法》《上市公司募集资金监管规则》 《上海证券交易所股票上市规则》(以下简称《上市规则》)《上海证券交易所 上市公司自律监管指引第 1 号——规范运作》等有关法律、法规、规范性文件及 《国睿科技股份有限公司章程》(以下简称《公司章程》)的有关规定,结合本 公司实际情况,制定本制度。 第二条 本制度适用于公司通过发行股票或者其他具有股权性质的证券,向 投资者募集并用于特定用途的资金管理,但不包括公司为实施股权激励计划募集 的资金监管。 第三条 公司应当审慎使用募集资金,保证募集资金的使用与发行申请文件 的承诺相一致,不得随意改变募集资金的投向。 本制度所称超募资金,是指实际募集资金净额超过计划募集资金金额的部分。 募集资金投资项目通过公司的子公司或者公司控制的其他企业实施的,公司 应当确保该子公司或者受控制的其他企业遵守本制度规定。 第二章 募集资金专户 ...
热威股份: 第二届董事会第二十五次会议决议公告
Zheng Quan Zhi Xing· 2025-08-18 16:18
Group 1 - The company held its 25th meeting of the second board on August 18, 2025, with all 7 directors present, confirming compliance with legal and regulatory requirements [1] - The board approved the 2025 semi-annual report, affirming that it accurately reflects the company's financial status and operational results without any misleading statements or omissions [2][3] - The board also approved the special report on the storage and actual use of raised funds, confirming compliance with relevant laws and regulations [2][3] Group 2 - The board approved the expected daily related transactions for 2025, stating that the decision-making process is legal and does not harm the interests of the company or its shareholders [3] - The board authorized the opening of special accounts for raised funds to enhance the efficiency of fund usage and maintain investor rights, with all 7 votes in favor [4]
热威股份: 关于2025年半年度募集资金存放与实际使用情况的专项报告
Zheng Quan Zhi Xing· 2025-08-18 16:18
Summary of Key Points Core Viewpoint The report outlines the fundraising activities and the actual usage of the raised funds by Hangzhou Rewei Electric Heating Technology Co., Ltd. for the first half of 2025, detailing the total amount raised, the allocation of funds, and the management of these funds. Fundraising Overview - The company raised a total of RMB 924.23 million by issuing 40,010,000 shares at RMB 23.10 per share, with a net amount of RMB 805.63 million after deducting issuance costs [1][2]. - The funds were fully received by September 5, 2023, and verified by Tianjian Accounting Firm [2]. Fund Usage and Balance - As of June 30, 2025, the actual usage of the raised funds was RMB 396.25 million, with a remaining balance of RMB 395.04 million [2][3]. - The breakdown of fund usage includes: - Project investments: RMB 363.18 million - Permanent working capital supplementation from oversubscription: RMB 27 million - Net interest income: RMB 12.67 million [2][3]. Fund Management - The company has established a fund management system to ensure the effective use of raised funds, including opening dedicated bank accounts and signing tripartite supervision agreements with banks and sponsors [2][3]. - As of June 30, 2025, the company maintained six dedicated fundraising accounts with a total balance of RMB 172.31 million [3]. Temporary Fund Supplementation - The company approved the temporary use of up to RMB 200 million of idle funds for working capital, with RMB 20 million still outstanding as of the report date [4]. - Additionally, the company is authorized to use up to RMB 480 million of idle funds for cash management, investing in low-risk, high-liquidity products [4][5]. Oversubscription Fund Usage - The company has utilized RMB 13.50 million of oversubscription funds for permanent working capital supplementation, with no other uses reported for ongoing or new projects [5][6]. Other Fund Usage Situations - The company has not reported any significant issues regarding the disclosure and usage of the raised funds, ensuring timely and accurate reporting [6][7]. - There have been no changes in the investment projects funded by the raised capital during the reporting period [6][8].
新疆众和: 新疆众和股份有限公司关于新增募集资金专户并签订三方监管协议的公告
Zheng Quan Zhi Xing· 2025-08-18 16:17
Fundraising Overview - The company has received approval from the China Securities Regulatory Commission to issue 13,750,000 convertible bonds, raising a total of RMB 1,375,000,000, with a net amount of RMB 1,359,255,896.23 after deducting issuance costs [1][2] Change in Fund Usage - The company plans to change the use of surplus funds from the bond issuance, totaling RMB 357,198,200 (including interest income), to finance a project for an annual production of 2.4 million tons of alumina [2][3] Establishment of Fund Supervision Agreement - The company has established a special account for fundraising and signed a tripartite supervision agreement with the banks and the sponsor to ensure proper management and protection of investor rights [3][4] Special Account Details - The special account has been opened at Bank of Communications, with a balance of RMB 357,612,168.73 as of August 14, 2025, and is designated solely for the capital contribution to the alumina project [4][5] Responsibilities and Compliance - The agreement stipulates that the company must comply with relevant laws and regulations regarding the management of the raised funds, and the sponsor will oversee the usage of these funds [5][6] Reporting and Monitoring - The sponsor has the right to conduct on-site investigations and request information regarding the special account, with monthly statements provided by the bank to ensure transparency [6][7] Termination Conditions - The agreement can be terminated unilaterally by the company if the bank fails to provide timely account statements or does not cooperate with the sponsor's investigations [7][8]
博威合金: 博威合金募集资金管理制度(2025年8月修订)
Zheng Quan Zhi Xing· 2025-08-18 16:17
宁波博威合金材料股份有限公司 募集资金管理制度 (2025年8月修订) 第一章 总 则 第一条 为了规范宁波博威合金材料股份有限公司(以下简称"公司")募 集资金的使用与管理,提高募集资金使用效益,保护投资者的合法权益,根据《中 华人民共和国公司法》《中华人民共和国证券法》《首次公开发行股票注册管理 办法》《上市公司募集资金监管规则》《上海证券交易所股票上市规则》《上海 证券交易所上市公司自律监管指引第1号——规范运作》及其他有关规定,制定 本制度。 第二条 本制度所称募集资金系指公司通过发行股票或者其他具有股权性质 的证券,向投资者募集并用于特定用途的资金监管,但不包括公司为实施股权激 励计划募集的资金。 第三条 公司董事会应当持续关注募集资金存放、管理和使用情况,有效防 范投资风险,提高募集资金使用效益。 第四条 公司的董事和高级管理人员应当勤勉尽责,督促公司规范使用募集 资金,自觉维护公司募集资金安全,不得操纵、参与、协助或纵容公司擅自或变 相改变募集资金用途。 第五条 公司控股股东、实际控制人及其他关联人不得直接或者间接占用或 者挪用公司募集资金,不得利用公司募集资金及募集资金投资项目(以下简称"募 ...
宁波精达: 宁波精达2025年半年度募集资金存放与使用情况的专项报告
Zheng Quan Zhi Xing· 2025-08-18 12:18
宁波精达成形装备股份有限公司 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个别及连带责任。 一、募集资金基本情况 备股份有限公司发行股份购买资产并募集配套资金注册的批复》(证监许可〔2025〕651 号),同意公司向特定对象发行股份购买相关资产,募集配套资金不超过 18,000 万元的 注册申请。 根据信永中和会计师事务所(特殊普通合伙)出具的《验资报告》,截至 2025 年 5 月 28 日止,公司实际已发行人民币普通股股票 32,258,064.00 股,发行价格 5.58 元/股, 募集资金总额为 179,999,997.12 元。上述募集资金由独立财务顾问(主承销商)民生证券 股份有限公司于 2025 年 5 月 28 日在扣除承销费用人民币 1,000,000.00 元(含税)后,存 入募集资金专户,到账金额为人民币 178,999,997.12 元。 截至 2025 年 6 月 30 日,公司募集资金具体使用情况如下: 证券代码:603088 证券简称:宁波精达 公告编号:2025-054 单位:人民币元 | 募集资金总额 ...
聚灿光电:关于归还暂时补充流动资金的闲置募集资金的公告
Zheng Quan Ri Bao· 2025-08-18 12:15
证券日报网讯 8月18日晚间,聚灿光电发布公告称,公司于2024年8月19日召开了第四届董事会第三次 会议和第四届监事会第三次会议,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》,同意公司使用人民币2.00亿元闲置募集资金暂时补充流动资金,使用期限自董事会审议通过之日 起不超过12个月。截至2025年8月18日,公司已将暂时补充流动资金的募集资金2.00亿元归还至向特定 对象发行股票募集资金专项账户,使用期限自公司董事会审议通过之日起未超过12个月。 (文章来源:证券日报) ...