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宝地矿业:拟使用不超过22500万元闲置募集资金进行现金管理
Zheng Quan Ri Bao· 2025-08-14 14:12
Group 1 - The company, Baodi Mining, announced plans to use up to RMB 225 million of temporarily idle raised funds for cash management [2] - The investment will focus on high safety, good liquidity, and capital protection agreements [2] - The usage period for these funds is effective for 12 months from the date of approval by the board of directors, with the possibility of rolling use within the specified limit and timeframe [2]
密尔克卫:关于使用闲置募集资金进行现金管理的公告
(编辑 李家琪) 证券日报网讯 8月14日晚间,密尔克卫发布公告称,公司于2025年8月14日召开第四届董事会第八次会 议,审议通过了《关于使用闲置募集资金进行现金管理的议案》。本着股东利益最大化原则,为提高闲 置募集资金使用效率,合理利用闲置募集资金,在确保不影响募集资金项目建设和募集资金使用的情况 下,公司使用不超过5,000.00万元公开发行可转换公司债券闲置募集资金,选择适当的时机,阶段性 购买安全性高、流动性好、低风险、期限不超过12个月的保本型产品。 ...
*ST铖昌: 国信证券股份有限公司关于浙江铖昌科技股份有限公司使用部分闲置募集资金进行现金管理的核查意见
Zheng Quan Zhi Xing· 2025-08-14 13:18
《深圳证券交易所股票上市规则》 《深圳证券交易所上市公司自律监管指引第 募集资金进行现金管理的事项进行了核查,核查情况如下: 一、募集资金基本情况 国信证券股份有限公司 关于浙江铖昌科技股份有限公司 使用部分闲置募集资金进行现金管理的核查意见 国信证券股份有限公司(以下简称"国信证券"、"保荐人")作为浙江铖昌 科技股份有限公司(以下简称"铖昌科技"、"公司")首次公开发行股票并上市 的保荐人,根据《证券发行上市保荐业务管理办法》《上市公司募集资金监管规 则》 (特殊普通合伙)出具的"大华验字[2022]000315 号"《验资报告》予以验证。 为规范募集资金管理,公司已开设了募集资金专项账户,对募集资金采取了 专户存储并与保荐人、募集资金专户开立银行签署了相应的募集资金三方监管协 议。 经中国证券监督管理委员会《关于核准浙江铖昌科技股份有限公司首次公开 发行股票的批复》 (证监许可[2022]946 号)核准,并经深圳证券交易所同意,浙 江铖昌科技股份有限公司公开发行 2,795.35 万股新股,发行价为人民币 21.68 元 /股,股票发行募集资金总额为 606,031,880.00 元,扣除与发行有关的 ...
长亮科技: 国泰海通证券股份有限公司关于深圳市长亮科技股份有限公司使用部分闲置募集资金进行现金管理的核查意见
Zheng Quan Zhi Xing· 2025-08-14 12:16
国泰海通证券股份有限公司关于深圳市长亮科技股份有限 公司使用部分闲置募集资金进行现金管理的核查意见 国泰海通证券股份有限公司(以下简称"国泰海通"或"保荐人")作为深 圳市长亮科技股份有限公司(以下简称"长亮科技" "公司"或"发行人")2023 年度向特定对象发行股票的保荐人,根据《证券发行上市保荐业务管理办法》 《上 市公司募集资金监管规则》 《深圳证券交易所创业板股票上市规则》 《深圳证券交 易所上市公司自律监管指引第 2 号——创业板上市公司规范运作》等有关法律法 规和规范性文件的要求,就长亮科技使用部分闲置募集资金进行现金管理的事项 进行了审慎核查,并发表如下核查意见: 一、募集资金基本情况 二、募集资金投资项目的基本情况 根据《深圳市长亮科技股份有限公司 2023 年度向特定对象发行 A 股股票募 集说明书(注册稿)》及第五届董事会第十七次会议审议通过《关于调整募集资 金投资项目拟投入募集资金金额的议案》,公司调整后募集资金投资项目基本情 况如下: 单位:万元 序号 项目名称 项目总投资 调整后拟投入募集资金额 基于企业级建模和实施工艺的金 融业务系统建设项目 合计 68,605.14 40,93 ...
达实智能: 半年报监事会决议公告
Zheng Quan Zhi Xing· 2025-08-14 09:09
Meeting Details - The 16th meeting of the 8th Supervisory Board of Shenzhen Dashi Intelligent Co., Ltd. was held on August 13, 2025, with all three supervisors participating in the voting [1] - The meeting was chaired by Mr. Li Jizhao, and the company secretary Mr. Lv Feng attended as a guest [1] Meeting Resolutions - The Supervisory Board unanimously agreed (3 votes in favor, 0 against, 0 abstentions) that the procedures for preparing and reviewing the company's 2025 semi-annual report complied with legal and regulatory requirements, and the report accurately reflects the company's actual situation [1] - The Supervisory Board also unanimously approved (3 votes in favor, 0 against, 0 abstentions) the asset impairment provision, confirming that the process was legal and did not harm the interests of the company or its shareholders, especially minority shareholders [2] - The Supervisory Board agreed (3 votes in favor, 0 against, 0 abstentions) to use up to RMB 50 million of idle raised funds for cash management, ensuring it would not affect the company's operations or project implementation [3]
怡合达: 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· 2025-08-14 08:19
Core Viewpoint - The company plans to utilize up to RMB 200 million of temporarily idle raised funds for cash management to enhance fund efficiency and ensure the normal operation of investment projects [1][6][7] Group 1: Fundraising and Management - The company raised a net amount of RMB 864,410,023.75 through a specific stock issuance, as verified by an accounting firm [1] - The company has established dedicated accounts for the management of the raised funds, ensuring proper oversight through agreements with banks and sponsors [2] Group 2: Reasons for Idle Funds - Due to the construction timeline of investment projects, there is a temporary surplus of funds that will be managed to improve efficiency [2][5] - Adjustments have been made to the investment amounts based on project priorities, with any shortfalls to be covered by bank loans or self-raised funds [2] Group 3: Cash Management Plan - The company intends to invest the idle funds in low-risk, high-liquidity financial products, with a maximum investment period of 12 months [3][4] - The decision for cash management is valid for 12 months from the board's approval, with the finance department responsible for implementation [4] Group 4: Risk Control Measures - The company will adhere to prudent investment principles, ensuring that selected products are secure and liquid, and will not be pledged [5] - The finance department will monitor the investment products, and the audit department will oversee the use and custody of funds [5] Group 5: Impact on Operations - The cash management of idle funds will not affect the normal operation of investment projects or the use of raised funds, while also generating additional investment returns [5][6] Group 6: Approval Process - Both the board and the supervisory committee have approved the cash management plan, confirming it will not harm the company's or shareholders' interests [6][7]
金马游乐: 关于使用部分闲置募集资金进行现金管理的进展公告
Zheng Quan Zhi Xing· 2025-08-14 08:19
证券代码:300756 证券简称:金马游乐 公告编号:2025-037 广东金马游乐股份有限公司 本公司及董事会全体成员保证信息披露内容的真实、准确和完整,没有虚假 记载、误导性陈述或重大遗漏。 广东金马游乐股份有限公司(以下简称"公司")于 2024 年 12 月 25 日召开 第四届董事会第九次会议、于 2025 年 1 月 10 日召开公司 2025 年第一次临时股东 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 及全资子公司、控股子公司使用不超过人民币 2,000 万元的首次公开发行股票闲置 募集资金、不超过人民币 10,000 万元的向特定对象发行股票闲置募集资金择机购 买安全性高、流动性好、满足保本要求的现金管理产品,授权期限为自 2025 年 1 月 20 日起的 12 个月内;上述投资额度在授权期限内可以循环使用,无需公司另行 出具决议;授权公司董事长行使投资决策权、签署相关法律文件并由财务负责人具 体办理相关事宜。公司监事会、保荐机构均已发表明确同意意见。 上述内容详见公司在巨潮资讯网上披露的相关公告。 一、使用闲置募集资金进行现金管理进展情况 近日,公司此前使用 ...
扬州金泉: 关于使用部分暂时闲置募集资金进行现金管理的进展公告
Zheng Quan Zhi Xing· 2025-08-13 16:23
Investment Overview - The company plans to use idle raised funds for cash management to reduce idle costs and enhance the value of the funds, ensuring the safety of the raised funds [2][5] - The investment amount for this cash management is 40 million yuan [2][5] - The source of funds is from the company's initial public offering, which raised a total of 519.92 million yuan, with a net amount of 412.11 million yuan after deducting related expenses [2][5] Investment Details - The cash management product is a low-risk principal-protected structured deposit with a 3-month investment period and floating returns [4][5] - The company has no related party transactions with the trustee, ensuring that the cash management does not constitute related party transactions [5] - The board of directors approved the use of up to 150 million yuan of idle raised funds for cash management, focusing on high safety and liquidity products [5][6] Risk Management - The company will select high-safety, liquid principal-protected products and establish a management ledger for the cash management products [6] - The independent directors and supervisory board have the right to supervise and inspect the use of funds [6] Impact on the Company - The cash management will not affect the normal construction of the fundraising projects or the normal use of the raised funds [6] - This initiative is expected to improve the efficiency of fund utilization and increase returns for the company and its shareholders [6]
国电南瑞: 国电南瑞关于使用部分闲置募集资金进行现金管理到期收回的公告
Zheng Quan Zhi Xing· 2025-08-13 16:12
Core Viewpoint - The company has approved the use of idle raised funds for cash management, allowing up to RMB 14.31 billion to be temporarily invested in structured deposits with a maturity of no more than 12 months, ensuring the safety and liquidity of the funds [1][2]. Summary by Sections Cash Management Approval - The board of directors and supervisory board of the company approved the cash management proposal on August 27, 2024, allowing the use of idle raised funds for cash management without affecting project implementation or fund safety [1]. Fund Utilization and Returns - The company and its subsidiaries have cumulatively purchased structured deposits amounting to RMB 57.24 billion within the approved limit, with a maximum daily balance of RMB 14.31 billion [2]. - A total of RMB 42.93 billion has been recovered from cash management products and returned to the special account for raised funds [2]. Cash Management Product Details - The structured deposits include various products with different terms and expected annualized returns, such as: - A product from CITIC Bank with a principal of RMB 15.3 million and an expected return of 1.68% [3]. - A product from China Merchants Bank with a principal of RMB 45.3 million and an expected return of 1.95% [3]. - The company has successfully recovered all structured deposits purchased through the special accounts, with no outstanding products as of the announcement date [4]. Financial Metrics - The highest single-day investment in cash management over the past 12 months was RMB 143.1 million, representing 2.91% of the net assets for the last year [4]. - The cumulative return from cash management in the last 12 months was 0.39% of the net profit for the last year [4].
技源集团: 东方证券股份有限公司关于技源集团股份有限公司使用部分闲置募集资金进行现金管理的核查意见
Zheng Quan Zhi Xing· 2025-08-13 14:09
东方证券股份有限公司 关于技源集团股份有限公司 使用部分闲置募集资金进行现金管理的核查意见 东方证券股份有限公司(以下简称"保荐机构")作为技源集团股份有限公司(简 称"技源集团"、"公司")首次公开发行股票并在主板上市的保荐机构,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》等有 关法律法规和规范性文件的规定,对技源集团使用部分闲置募集资金进行现金管 理事项进行了审慎核查,具体情况如下: 一、募集资金基本情况 经中国证券监督管理委员会《关于同意技源集团股份有限公司首次公开发行 股票注册的批复》 (证监许可〔2025〕799号)同意注册,并经上海证券交易所同 意,公司向社会公开发行人民币普通股(A股)5,001.00万股,发行价格为10.88 元/股,本次发行募集资金总额为54,410.88万元,扣除发行费用6,429.06万元(不 含增值税)后,募集资金净额为47,981.82万元。立信会计师事务所(特殊普通合 伙)对公司本次公开发行新股的资金到位情况进行了审验并出具了《验资报告》 (信会师报字[20 ...