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福光股份: 兴业证券股份有限公司关于福建福光股份有限公司使用暂时闲置募集资金进行现金管理的核查意见
Zheng Quan Zhi Xing· 2025-07-09 16:10
Summary of Key Points Core Viewpoint - Fujian Fuguang Co., Ltd. plans to utilize temporarily idle raised funds for cash management to enhance fund efficiency and generate returns for the company and its shareholders while ensuring the safety of the raised funds and not affecting future investment projects [1][6]. Fundraising Basic Situation - Fujian Fuguang was approved to publicly issue 38.8 million shares at a price of RMB 25.22 per share, raising a total of RMB 978.54 million, with a net amount of RMB 917.70 million after deducting issuance costs [1][2]. Fund Management and Investment Projects - The raised funds are stored in a special account with a regulatory agreement in place to monitor their usage [2]. The total investment amount for the projects is RMB 76,628.20 million, with RMB 65,734.64 million allocated for specific projects [3]. Cash Management Plan - The company intends to use up to RMB 200 million of temporarily idle funds for cash management, with a maximum investment period of 12 months [4]. The investment will focus on high-safety, high-liquidity products, and will not be used for pledging or securities investment [4][5]. Decision-Making and Implementation - The board of directors has authorized the chairman to make decisions regarding the cash management, with the finance department responsible for implementation [4]. The decision is valid for 12 months from the date of board approval [4]. Impact on Operations - The cash management plan will not affect the normal implementation of future investment projects or the regular use of raised funds, and it aims to improve fund efficiency and returns for shareholders [4][6]. Verification by Sponsor Institution - The sponsor institution, Industrial Securities, has verified that the cash management plan complies with relevant laws and regulations, ensuring no change in the purpose of raised funds or harm to shareholder interests [6][7].
汉邦科技: 汉邦科技:关于开立募集资金现金管理产品专用结算账户的公告
Zheng Quan Zhi Xing· 2025-07-08 10:19
Core Viewpoint - The company has approved the use of temporarily idle raised funds for cash management, ensuring that it does not affect normal operations or investment plans [2][3]. Group 1: Fund Management - The company plans to use up to RMB 398 million (39,800.00 thousand) of temporarily idle raised funds for cash management, focusing on safe and liquid principal-protected products [2]. - A special settlement account for cash management has been opened to enhance the efficiency of fund usage [2]. - The accounts are specifically designated for cash management and will not be used for non-raised funds or other purposes [2][3]. Group 2: Risk Control Measures - The company will adhere to relevant regulations and internal policies when conducting cash management activities [3]. - Measures will be taken to safeguard fund security, including potential audits by professional institutions if risks are identified [3]. Group 3: Impact on the Company - The cash management initiative will not affect the implementation of investment projects or the normal turnover of funds [3]. - This strategy aims to improve the efficiency of fund usage and increase returns on cash assets for the company and its shareholders [3].
豪恩汽电: 关于继续使用部分闲置募集资金(含超募资金)进行现金管理的公告
Zheng Quan Zhi Xing· 2025-07-07 11:12
证券代码:301488 证券简称:豪恩汽电 公告编号:2025-038 深圳市豪恩汽车电子装备股份有限公司关于 继续使用部分闲置募集资金(含超募资金)进行现金管理的公告 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。 深圳市豪恩汽车电子装备股份有限公司(以下简称"公司"、"豪恩汽电")于 审议通过了《关于继续使用部分闲置募集资金(含超募资金)进行现金管理的议 案》,同意公司在保证募集资金投资项目的资金需求以及募集资金使用计划正常进行 的前提下,可以继续使用总金额不超过人民币2亿元的闲置募集资金(含超募资金) 进行现金管理。现将有关情况公告如下: 一、募集资金基本情况 因募集资金投资项目建设需要一定的周期,根据募集资金投资项目建设进度,现 阶段募集资金出现暂时部分闲置情况。为提高募集资金使用效率,在确保不影响募投 项目建设和募集资金使用并有效控制风险的前提下,公司结合实际经营情况,计划使 用部分闲置的募集资金(含超募资金)进行现金管理。 三、前次使用闲置募集资金(含超募资金)进行现金管理的情况 议,分别审议通过了《关于继续使用部分闲置募集资金(含超募资金)进行现 ...
埃夫特: 埃夫特第三届监事会第二十六次会议决议公告
Zheng Quan Zhi Xing· 2025-06-30 16:28
证券代码:688165 证券简称:埃夫特 公告编号:2025-046 《上海证券交易所科创板股票上市规则》等法律法规、规范性文件以及《埃 夫特智能机器人股份有限公司章程》《埃夫特智能机器人股份有限公司监事会议 事规则》的相关规定。 二、监事会会议审议情况 监事会审议了下列议案: 埃夫特智能机器人股份有限公司 第三届监事会第二十六次会议决议公告 本公司监事会及全体监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。 一、监事会会议召开情况 埃夫特智能机器人股份有限公司(以下简称"公司")第三届监事会第二十六 次会议于 2025 年 6 月 30 日(星期一)在公司会议室以现场结合通讯的方式召开。 会议通知已于 2025 年 6 月 26 日通过邮件的方式送达各位监事。本次会议应出席 监事 5 人,实际出席监事 5 人,本次会议由监事会主席赵文娟主持。 本次会议的召集、召开符合《中华人民共和国公司法》《中华人民共和国证 券法》 (一) 审议通过《关于使用暂时闲置募集资金进行现金管理的议案》 监事会认为:公司在确保公司募集资金投资新项目所需资金和保证募 ...
力聚热能: 关于使用暂时闲置的募集资金进行现金管理到期赎回的公告
Zheng Quan Zhi Xing· 2025-06-30 16:11
证券代码:603391 证券简称:力聚热能 公告编号: 2025-019 | | | | 年化收 | | 实际收 | | | --- | --- | --- | --- | --- | --- | --- | | 序 | 金额 | | | 是否 | | | | | 受托机构 | 起息日 | 到期日 | 益率 | | 益 | | (万 | 公告编号 | | | | | | | 号 | (万元) | | | 赎回 | | | | | | | (%) | | 元) | | | | 25,000.00 合计 | | | 114.19 | | | | | 二、公司最近十二个月使用募集资金现金管理的情况 | | | | | | | | | | | | 单位:人民币 | 万元 | | | | | | | 尚未收回 | | | 序号 | 理财产品类型 实际投入金额 | | | 实际收回本金 | | 实际 | | 收益 | | | | | | | | | | | | | 本金金额 | | | | | | 尚未收回 | | | | | 序号 | 理财产品类型 | 实际投入金额 | 实际收回本金 | 实际收益 | | | | | ...
奥泰生物: 申万宏源证券承销保荐有限责任公司关于杭州奥泰生物技术股份有限公司使用暂时闲置募集资金进行现金管理的核查意见
Zheng Quan Zhi Xing· 2025-06-30 16:11
Core Viewpoint - The company, Hangzhou Aotai Biotechnology Co., Ltd., is utilizing temporarily idle raised funds for cash management to enhance fund efficiency and returns for shareholders while ensuring that it does not affect the progress of investment projects [1][8]. Fundraising Overview - The company raised a total of RMB 1,804,545,000 through its initial public offering, with a net amount of RMB 1,643,266,906.25 after deducting issuance costs [1]. - The funds are stored in a special account approved by the board of directors, and a tripartite supervision agreement has been signed with the sponsor and the commercial bank [1]. Investment Projects - The raised funds are planned to be invested in projects including the construction of a production and R&D center for in vitro diagnostic reagents, with a total investment of RMB 146,059,100 [2][3]. Cash Management Details - The company plans to use up to RMB 480 million of temporarily idle funds for cash management, investing in low-risk, highly liquid products with a maturity of no more than 12 months [5][6]. - The cash management products include but are not limited to agreement deposits, structured deposits, and large certificates of deposit [5]. Approval Process - The board of directors and the supervisory board have approved the cash management plan, which does not require shareholder approval [7][8]. - The company will ensure compliance with relevant regulations and maintain transparency in information disclosure [5][8]. Impact on Operations - The cash management strategy is designed to improve fund efficiency without impacting the company's daily operations or the progress of investment projects [6][8].
药康生物: 关于注销及开立募集资金理财产品专用结算账户的公告
Zheng Quan Zhi Xing· 2025-06-25 16:59
Core Viewpoint - The company has announced the cancellation of a special settlement account for fundraising financial products and the establishment of new accounts for cash management of excess and idle fundraising funds, ensuring compliance with relevant regulations and maintaining the safety and efficiency of fund utilization [2][3][5]. Group 1: Cancellation of Special Settlement Account - The company has completed the cancellation of the special settlement account for fundraising financial products at Huatai Securities, as all purchased financial products have matured and been redeemed [3]. - The account details for cancellation include the account number 666810028046 at Huatai Securities [3]. Group 2: Establishment of New Accounts - The company has opened new special settlement accounts for fundraising financial products at Shenwan Hongyuan Securities and CITIC Securities [3]. - These accounts will be used exclusively for cash management of excess and idle fundraising funds and will not be used for non-fundraising purposes [3]. Group 3: Cash Management and Risk Control - The company plans to use part of the excess and idle fundraising funds for cash management, ensuring that it does not affect the normal operation of fundraising investment projects [5]. - The company will adhere to relevant regulations and implement strict risk control measures, including monitoring product performance and taking timely actions if adverse factors are identified [4]. Group 4: Impact on the Company - The cash management of excess and idle funds is expected to improve the efficiency of fund utilization and generate certain financial returns for the company and its shareholders [5]. - The company assures that this action will not change the intended use of fundraising funds or affect the normal development of its main business [5].
建研设计: 关于开立募集资金现金管理专用结算账户的公告
Zheng Quan Zhi Xing· 2025-06-23 12:48
证券代码:301167 证券简称:建研设计 公告编号:2025-032 安徽省建筑设计研究总院股份有限公司 本公司及董事会全体成员保证信息披露的内容真实、准确和完整,没有虚假 记载、误导性陈述或重大遗漏。 安徽省建筑设计研究总院股份有限公司(以下简称"公司")于 2024 年 12 月 26 日分别召开第三届董事会第十二次会议、第三届监事会第九次会议,于 2025 年 1 月 14 日召开 2025 年第一次临时股东大会,审议通过 关于使用部分闲置募 集资金及自有资金进行现金管理的议案》,同意公司在不影响募集资金投资项目 建设及公司正常运营的前提下,使用不超过人民币 3.5 亿元(含本数)的闲置募 集资金(含超募资金)和不超过人民币 2.7 亿元(含本数)的闲置自有资金进行 现金管理,额度有效期自公司股东大会审议通过之日起十二个月。在上述额度及 有效期内,资金可循环滚动使用。具体情况见公司于 2024 年 12 月 27 日、2025 年 1 月 15 日在巨潮资讯网(http://www.cninfo.com.cn)披露的 安徽省建筑 设计研究总院股份有限公司关于使用部分闲置募集资金及自有资金进行现金管 理 ...
思瑞浦: 关于使用部分闲置募集资金进行现金管理的公告
Zheng Quan Zhi Xing· 2025-06-20 11:41
Core Viewpoint - The company has approved the use of temporarily idle raised funds for cash management, aiming to enhance the efficiency of fund utilization while ensuring the normal operation of investment projects [1][6]. Summary by Sections 1. Basic Situation of Raised Funds - The company was approved to issue 20,000,000 shares, raising a total of RMB 2,314,200,000, with a net amount of RMB 2,145,746,574.65 after deducting issuance costs [2][3]. 2. Cash Management of Idle Raised Funds - The company plans to use up to RMB 25,000 million of idle raised funds for cash management, with a usage period from August 4, 2025, to August 3, 2026, not exceeding 12 months [4][5]. - Additionally, the company may use up to RMB 85,000 million of temporarily idle funds for the same purpose, under the same time frame and conditions [4][5]. 3. Investment Products and Safety - The company will invest in high-safety, liquid, principal-protected financial products, avoiding investments in stocks, derivatives, or unsecured bonds [5][6]. 4. Implementation and Disclosure - The company’s general manager or authorized agents are responsible for managing the investment of idle funds, with the finance department organizing the implementation [2][5]. - The company will comply with relevant regulations for timely information disclosure regarding the cash management activities [5][6]. 5. Monitoring and Opinions - The supervisory board supports the cash management plan, stating it will not affect the normal use of raised funds and will enhance fund efficiency [6][7]. - The sponsor, Guotai Junan Securities, has confirmed that the plan adheres to necessary approval procedures and regulations, ensuring it does not alter the intended use of raised funds [7][8].
国新健康: 关于开立募集资金现金管理专用结算账户的公告
Zheng Quan Zhi Xing· 2025-06-20 08:21
国证券报》 《证券时报》及巨潮资讯网(网址:www.cninfo.com.cn) 披露的《关于使用暂时闲置的募集资金进行现金管理的公告》(公告编号: 为提高公司募集资金使用效率,公司于 2025 年 6 月 5 日召开第十二届董事 会第二次会议和第十二届监事会第二次会议,审议通过了《关于增加使用暂时闲 置募集资金进行现金管理的额度的议案》,同意公司(含国新健康保障服务有限 公司、北京海协智康科技发展有限公司、国新益康数据(北京)有限公司三家子 公司)使用闲置募集资金进行现金管理的总额度由 4.5 亿元(含本数)增加至 5.5 亿元(含本数),使用期限自本次董事会审议通过之日起至 2026 年 1 月 28 日止, 并由董事会授权公司总经理在上述额度及决议有效期内行使投资决策权,在前述 额度及期限范围内,资金可以循环滚动使用。详见公司于 2025 年 6 月 6 日在《中 《上海证券报》 证券简称:国新健康 证券代码:000503 编号:2025-43 国新健康保障服务集团股份有限公司 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。 国新健康保障服务集团股份有限 ...