募集资金现金管理
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江南新材: 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· 2025-06-03 11:23
证券代码:603124 证券简称:江南新材 公告编号:2025-022 江西江南新材料科技股份有限公司 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法律责任。 江西江南新材料科技股份有限公司(以下简称"公司")于 2025 年 4 月 2 日分别召开第二届董事会第十一次会议、第二届监事会第九次会议,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》,同意公司及子公司在不影 响募集资金投资项目建设和公司正常经营的情况下,使用最高不超过人民币 本型理财产品或存款类产品(包括但不限于协定性存款、结构性存款、定期存款、 大额存单等),具体内容详见公司 2025 年 4 月 3 日刊登于上海证券交易所网站 (www.sse.com.cn)及公司指定信息披露媒体的《关于使用部分暂时闲置募集资 金进行现金管理的公告》(公告编号:2025-006)。 一、开立募集资金现金管理产品专用结算账户情况 因募集资金现金管理的需要,公司及子公司韩亚半导体材料(贵溪)有限公 司近日在浦发银行南昌经开支行等开立了募集资金现金管理产品专用结算账户。 具体信息 ...
南网科技: 中信建投证券股份有限公司关于南方电网电力科技股份有限公司增加暂时闲置募集资金进行现金管理的核查意见
Zheng Quan Zhi Xing· 2025-05-30 11:25
中信建投证券股份有限公司 关于南方电网电力科技股份有限公司 增加使用暂时闲置募集资金进行现金管理的核查意见 中信建投证券股份有限公司(以下简称"中信建投"或"保荐机构")作为南方电 网电力科技股份有限公司(以下简称"南网科技"或"公司")首次公开发行股票并在 科创板上市的保荐机构,根据《证券发行上市保荐业务管理办法》《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》《上海证券交易所科创 板上市公司自律监管指引第1号—规范运作》等有关规定,对南网科技拟增加使用 暂时闲置募集资金进行现金管理的事项进行了审慎核查,核查情况如下: 一、募集资金基本情况 经中国证券监督管理委员会《关于同意南方电网电力科技股份有限公司首次 公开发行股票注册的批复》(证监许可〔2021〕3567 号)核准,并经上海证券交 易所同意,公司向社会公众公开发行人民币普通股(A 股)股票 8,470.00 万股, 发行价为每股人民币 12.24 元,共计募集资金 103,672.80 万元,坐扣承销和保荐费 用 3,393.00 万元后的募集资金为 100,279.80 万元,已由主承销商中信建投证券股 份有限公司于 2021 年 ...
南网科技: 南网科技:关于第二届监事会第十三次会议决议的公告
Zheng Quan Zhi Xing· 2025-05-30 11:09
Meeting Overview - The second meeting of the Supervisory Board of Southern Power Grid Electric Technology Co., Ltd. was held on May 30, 2025, via in-person and video conference [1] - All five supervisors attended the meeting, which was chaired by Mr. Chen Zhixin [1] - The meeting complied with relevant laws and regulations, ensuring the legality and validity of the resolutions [1] Resolution Summary - The Supervisory Board approved the proposal to increase the use of temporarily idle raised funds for cash management [1] - The board believes that using these funds to purchase high-security, liquid, and capital-preserving products aligns with regulatory requirements and does not affect the normal implementation of investment projects [1] - The maximum amount for cash management was increased from RMB 300 million to RMB 580 million [1]
浙矿股份: 浙矿重工股份有限公司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· 2025-05-30 08:10
Core Viewpoint - The company has approved the use of idle raised funds and its own funds for cash management, ensuring safety and liquidity while not affecting project construction and daily operations [2] Group 1: Fund Management - The company will use up to RMB 200 million of idle raised funds for cash management, investing in high-security and liquid principal-protected products such as structured deposits and large certificates of deposit [2] - The investment decision-making authority is delegated to the management team for a period of twelve months from the board's approval date [2] - The company has opened dedicated settlement accounts for cash management at Zhejiang Changxing Rural Commercial Bank, ensuring compliance with regulatory requirements [3] Group 2: Regulatory Compliance - The cash management accounts are exclusively for temporarily idle raised funds and will not be used for non-raised funds or other purposes, adhering to relevant laws and regulations [3]
艾布鲁: 西部证券股份有限公司关于湖南艾布鲁环保科技股份有限公司使用部分暂时闲置募集资金及闲置自有资金进行现金管理的核查意见
Zheng Quan Zhi Xing· 2025-05-30 08:10
西部证券股份有限公司 关于湖南艾布鲁环保科技股份有限公司 使用部分暂时闲置募集资金及闲置自有资金进行现金管理的核查意 (证监许可2022495 号) 核准,湖南艾布鲁环保科技股份有限公司(以下简称"公司")首次公开发行人民 币普通股(A 股)30,000,000 股,每股面值人民币 1 元,每股发行价格为 18.39 元, 募集资金总额为 551,700,000.00 元,扣除承销保荐费(不含税)41,637,735.85 元 和 其 他 相 关 发 行 费 用 ( 不 含 税 ) 18,476,483.78 元 后 , 实 际 募 集 资 金 净 额 会计师事务所(特殊普通合伙)已于 2022 年 4 月 21 日对公司首次公开发行股票 的资金到位情况进行了审验,并出具了"CAC 证验字20220035 号" 《验资报告》。 为规范公司募集资金管理,保护投资者权益,公司与保荐人、募集资金专户 开户银行签署了《募集资金三方监管协议》,开设了募集资金专项账户,对募集 资金实行专户存储。上述全部募集资金已按规定存放于公司募集资金专户。 二、募集资金投资项目情况 见 西部证券股份有限公司(以下简称"西部证券"或"保 ...
诺诚健华: 诺诚健华医药有限公司关于使用部分暂时闲置募集资金进行现金管理及以通知存款、协定存款等方式存放募集资金的公告
Zheng Quan Zhi Xing· 2025-05-29 12:19
Core Viewpoint - The company plans to utilize part of its temporarily idle raised funds for cash management, allowing for investment in low-risk financial products while ensuring that the funds are not diverted from their intended projects [1][3][5]. Fund Management and Usage - The company has established a special account for managing raised funds, with all funds deposited into this account upon receipt [2]. - The total amount of raised funds for investment projects is approximately 277.88 million RMB [2]. Cash Management Details - The company will manage up to 1 billion RMB of temporarily idle raised funds, investing in low-risk products such as structured deposits and time deposits, with a maximum investment period of 12 months [1][3][4]. - The cash management decision is valid for 12 months from the board's approval date, and the 1 billion RMB can be used in a rolling manner [4]. Investment Purpose and Products - The objective of cash management is to enhance the efficiency of fund usage and increase company returns without affecting the ongoing investment projects [3][5]. - The company will strictly control risks and will not use the funds for pledging or securities investment [3][4]. Operational Impact - The cash management strategy will not impact the company's main business operations or the progress of investment projects, aiming to improve fund efficiency and shareholder returns [5][7]. - The company will adhere to relevant accounting standards for financial instruments in managing these funds [5]. Approval and Compliance - The board of directors approved the cash management plan on May 29, 2025, ensuring compliance with regulatory requirements [7][8]. - The sponsor institution has confirmed that the plan aligns with regulatory guidelines and does not conflict with the company's investment project implementation [8].
山东金帝精密机械科技股份有限公司第三届董事会第十七次会议决议公告
Shang Hai Zheng Quan Bao· 2025-05-28 19:31
Group 1 - The company held its 17th meeting of the third board of directors on May 28, 2025, where all 9 directors attended, and the meeting complied with relevant laws and regulations [2][4] - The board approved a proposal to use part of the excess raised funds to increase capital for its subsidiary and acquire land and factory buildings [3][10] - The total amount proposed for this use is up to 120 million yuan, with approximately 97.26 million yuan coming from excess raised funds [11][16] Group 2 - The supervisory board also held its 13th meeting on May 28, 2025, with all 3 supervisors present, and the meeting followed legal procedures [6][8] - The supervisory board agreed with the proposal to use part of the excess raised funds for the same purpose, emphasizing that it aligns with the company's operational needs and future strategic direction [7][23] - The proposal was deemed to enhance the efficiency of fund usage and not to conflict with the implementation of the fundraising investment projects [7][24] Group 3 - The company plans to use the funds to participate in the auction for land and factory buildings that are currently leased, which will improve operational continuity and reduce uncertainties related to rental costs [21][22] - The land and factory to be auctioned cover an area of 133,178 square meters, with a building area of 54,445.68 square meters [16][21] - The acquisition is part of the company's long-term strategic planning to ensure stable operations and enhance its market position [21][24]
久日新材: 天津久日新材料股份有限公司关于开立理财产品专用结算账户的公告
Zheng Quan Zhi Xing· 2025-05-27 10:21
证券代码:688199 证券简称:久日新材 公告编号:2025-031 天津久日新材料股份有限公司 公司将严格按照《上海证券交易所科创板股票上市规则》《上海证券交易所 科创板上市公司自律监管指引第 1 号——规范运作》等相关法律法规以及《天津 久日新材料股份有限公司章程》《天津久日新材料股份有限公司募集资金管理制 度》等相关规定办理相关现金管理业务并及时分析和跟踪现金投资产品运作情 况,如发现或判断有不利因素,将及时采取相应措施,控制投资风险;公司内控 中心为现金管理事项的监督部门,有权对公司现金管理事项进行审计和监督;独 立董事、监事会有权对公司资金使用和现金管理情况进行监督与检查;公司将依 据上海证券交易所的相关规定及时履行信息披露义务。 三、对公司的影响 公司使用部分暂时闲置募集资金进行现金管理是在确保公司募集资金投资 项目所需资金和保证募集资金安全的前提下进行的,不存在长时间的资金闲置, 不存在变相改变募集资金使用用途的情形,不会影响公司日常资金正常周转需要 和募集资金项目的正常运转,亦不会影响公司主营业务的正常发展。同时,使用 部分暂时闲置募集资金进行现金管理,能获得一定的收益,有利于进一步提升公 ...
欧莱新材: 中国国际金融股份有限公司关于广东欧莱高新材料股份有限公司使用部分暂时闲置募集资金进行现金管理的核查意见
Zheng Quan Zhi Xing· 2025-05-23 12:24
中国国际金融股份有限公司 关于广东欧莱高新材料股份有限公司 使用部分暂时闲置募集资金进行现金管理的核查意见 中国国际金融股份有限公司(以下简称"保荐机构")作为广东欧莱高新材料股份 有限公司(以下简称"欧莱新材"或"公司")的保荐机构,根据《证券发行上市保荐 业务管理办法》《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》 《上海证券交易所科创板股票上市规则》 《上海证券交易所科创板上市公司自律监管 指引第 1 号——规范运作》等有关法律、行政法规、部门规章及业务规则的要求,对欧 莱新材本次使用部分暂时闲置募集资金进行现金管理的事项进行了认真、审慎核查,具 体情况如下: (证监许可〔2024〕227 号),公司首次公开发行人民币普 通股(A 股)4,001.1206 万股(以下简称"本次发行"),每股发行价格为人民币 9.60 元,募集资金总额为人民币 38,410.76 万元,扣除各项发行费用(不含增值税)人民币 诚会计师事务所(特殊普通合伙)审验并于 2024 年 5 月 6 日出具了《验资报告》 (容诚 验字2024610Z0003 号)。 为规范公司募集资金管理和使用,保护投资者 ...
欧莱新材: 欧莱新材第二届监事会第十次会议决议公告
Zheng Quan Zhi Xing· 2025-05-23 12:13
Meeting Overview - The second meeting of the Supervisory Board of Guangdong Oulai High-tech Materials Co., Ltd. was held on May 23, 2025, using a combination of on-site and remote voting methods [1] - The meeting was convened by the Chairman of the Supervisory Board, Mr. Guo Wenming, and all three supervisors attended [1] - The meeting complied with relevant laws and regulations, including the Company Law of the People's Republic of China and the listing rules of the Shanghai Stock Exchange [1] Meeting Resolutions - The Supervisory Board agreed to use part of the temporarily idle raised funds for cash management, which is expected to improve the efficiency of fund usage, reduce financial costs, and increase cash asset returns [2][3] - The decision aligns with the interests of the company and all shareholders, and it will not affect the normal implementation of fundraising projects [2][3] - The voting results were unanimous, with 3 votes in favor, 0 against, and 0 abstentions [2][3]