募集资金用途变更
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长联科技: 东莞证券股份有限公司关于东莞长联新材料科技股份有限公司调整部分募投项目、变更部分募集资金用途的核查意见
Zheng Quan Zhi Xing· 2025-05-30 10:48
Summary of Key Points Core Viewpoint The company is adjusting part of its fundraising projects and changing the use of some raised funds to optimize resource allocation and enhance operational efficiency, which aligns with its strategic development goals and benefits all shareholders [21][22]. Group 1: Fundraising Overview - The company has received approval from the China Securities Regulatory Commission for its initial public offering, raising a total of RMB 340.24 million by issuing 16.11 million shares at RMB 21.12 each [1]. - The funds are stored in a dedicated account, and a tripartite supervision agreement has been signed with the sponsor and the supervising bank [2]. Group 2: Actual Use of Funds - As of May 23, 2025, the company has invested RMB 39.84 million in various projects, with a remaining balance of RMB 11.02 million in unutilized funds [3][5]. - The main projects include the construction of an environmentally friendly water-based printing glue production base and a headquarters and R&D center [3]. Group 3: Adjustments to Fundraising Projects - The company plans to relocate its R&D center to an existing production base to improve management and reduce operational costs while maintaining the same investment amount [6][7]. - The adjustment aims to enhance collaboration between production and R&D, supporting the development of high-performance silicon-based materials [6][7]. Group 4: Changes in Project Investment - The company is merging two projects into one, increasing the annual production capacity from 15,000 tons to 27,750 tons for environmentally friendly water-based printing glue [8][9]. - The total investment for the merged project is set at RMB 20.83 million, with a proposed fundraising amount that matches the previous projects' total [9][10]. Group 5: Economic Benefits and Feasibility - The merged project is expected to generate an average annual sales revenue of RMB 37.72 million, with a financial internal rate of return of 13.75% and a net present value of RMB 2.68 million [12][14]. - The project aligns with national policies promoting green and sustainable development, enhancing the company's competitive edge in the market [15][16]. Group 6: Approval and Compliance - The adjustments have been approved by both the board of directors and the supervisory board, ensuring compliance with relevant regulations and guidelines [21][22]. - The sponsor has confirmed that the adjustments will not harm the interests of the company or its minority shareholders and will not adversely affect current operations [22].
为降低前期投入压力,光莆股份将海外制造基地募投项目延期至2027年末建成
Ju Chao Zi Xun· 2025-05-29 02:43
Core Viewpoint - Guangpu Co., Ltd. has approved changes to its fundraising project implementation methods and extended the project timeline due to changes in the international trade environment and geopolitical tensions [3][4]. Group 1: Fundraising and Project Changes - On May 28, Guangpu Co., Ltd. announced the approval of changes to the implementation methods and timeline for its fundraising projects, specifically the "Overseas Intelligent Manufacturing Base Expansion Project" [3]. - The company raised approximately RMB 1.03 billion through a private placement of shares in September 2020, with a net amount of RMB 1.017 billion after deducting related expenses [3]. - The company has decided to allocate unused funds from previous projects to new initiatives, including the "Optoelectronic Sensor Integrated Packaging and Testing R&D and Industrialization Project" and the "Overseas Intelligent Manufacturing Base Expansion Project" [3]. Group 2: Project Implementation Strategy - Due to significant changes in the international trade environment and frequent shifts in trade policies, Guangpu Co., Ltd. plans to initially lease and renovate factory spaces to quickly meet market demands and reduce upfront investment risks [4]. - The timeline for the project to reach a usable state has been extended to December 31, 2027, allowing for a more cautious approach to investment until trade conditions stabilize [4].
华人健康: 关于变更募集资金用途的公告
Zheng Quan Zhi Xing· 2025-05-21 13:58
Core Viewpoint - The company has approved a change in the use of raised funds to enhance operational efficiency and align with its strategic development needs, specifically reallocating funds for acquisitions in the pharmaceutical retail sector [1][6][15]. Fundraising Overview - The company raised a total of RMB 974.56 million by issuing 60.01 million shares at RMB 16.24 per share, with a net amount of RMB 879.45 million after deducting issuance costs [1][2]. - The company has utilized RMB 25.72 million for marketing network construction and has remaining funds of RMB 26.46 million for this project as of May 8, 2025 [6][7]. Changes in Fund Usage - The company has decided to reallocate RMB 130.73 million from the marketing network construction project to acquire stakes in three pharmaceutical retail companies in Fujian and Zhejiang provinces [5][7]. - The new acquisitions include 46.01% of Yangzu Hui Min Pharmaceutical Chain for RMB 13.34 million, 46.01% of Haihua Pharmaceutical for RMB 12.51 million, and 70.01% of Tonglu Yishengtang for RMB 6.83 million [7][11]. Strategic Rationale - The change in fund usage is aimed at improving market share and brand influence in the East China region, aligning with the company's long-term strategic plan [7][9]. - The acquisitions are expected to enhance operational efficiency and market presence, leveraging the local advantages of the target companies [9][10]. Approval Process - The change in fund usage was approved by the company's board of directors, supervisory board, and audit committee, ensuring compliance with relevant regulations [6][15][16]. - The independent directors and sponsor have also confirmed that the decision aligns with the company's operational needs and does not harm shareholder interests [15][16][17].
新疆众和: “众和转债”2025年第一次债券持有人会议资料
Zheng Quan Zhi Xing· 2025-05-16 08:27
Core Viewpoint - The company plans to change the use of remaining funds from its convertible bond issuance to invest in a new project, specifically a 2.4 million tons per year alumina production project through its subsidiary [2][5][9] Fundraising and Usage Overview - The company raised a total of RMB 1,574.41 million from the issuance of 13.75 million convertible bonds at a face value of RMB 100 each, with a net amount of RMB 1,359.26 million after tax [2][3] - As of March 31, 2025, the remaining funds available for use amount to RMB 357.20 million, which includes interest income [4][7] Project Completion and Fund Reallocation - The company has completed several projects, including the high-performance high-purity aluminum clean production project and the energy-saving and carbon-reduction circular economy project, allowing for the conclusion of these projects and the reallocation of surplus funds [5][7] - The remaining funds will be used to contribute to the construction of the alumina project, which has a total investment of RMB 6.78 billion, with the company’s capital contribution being RMB 2.03 billion [8][9] Financial Management and Cost Savings - The company achieved cost savings during project implementation due to a decrease in equipment prices and effective management of funds, resulting in a surplus of RMB 147.16 million from completed projects [6][8] - The company plans to use its own funds for any remaining payments related to the completed projects, estimated at RMB 36 million for warranty payments and RMB 50 million for the ongoing green high-purity high-precision electronic materials project [8][9]
新疆众和: 新疆众和股份有限公司2025年第四次临时股东大会会议资料
Zheng Quan Zhi Xing· 2025-05-16 08:17
新疆众和股份有限公司 -1- 新疆众和股份有限公司 2025 年第四次临时股东大会议程 一、会议时间: (六)计票人与监票人进行现场投票计票; (七)监票人宣布现场投票计票结果; (1)现场会议召开时间为:2025 年 5 月 26 日上午 11:00 时(北京时间) (2)网络投票时间为:通过交易系统投票平台的投票时间为股东大会召开 当日的交易时间段,即 9:15-9:25,9:30-11:30,13:00-15:00;通过互联网投 票平台的投票时间为股东大会召开当日的 9:15-15:00 二、现场会议地点:新疆乌鲁木齐市喀什东路 18 号本公司文化馆二楼会议室 三、会议议程: (一)主持人致开幕词; (二)选举总监票人、监票人、唱票人、计票人,并由主持人宣布; (三)审议以下议案: (四)股东发言; (五)现场投票表决; (八)通过交易所系统统计现场及网络投票的最终结果; (九)由见证律师就本次股东大会出具并宣读法律意见书; (十)宣布会议结束。 议案一 -2- 关于部分募投项目结项及变更募集资金用途的议案 各位股东: 新疆众和股份有限公司(以下简称"公司")于 2025 年 5 月 9 日召开第十 届 ...
闻泰科技: 2025年第一次债券持有人会议材料
Zheng Quan Zhi Xing· 2025-05-09 09:46
Core Viewpoint - The company is convening the first bondholders' meeting for its convertible bonds, focusing on the change of fundraising purposes and the permanent allocation of remaining funds to working capital [1][4][5]. Group 1: Meeting Details - The bondholders' meeting is scheduled for May 16, 2025, at 15:00, held at the Wentai Garden Hotel in Huangshi, Hubei Province [1]. - The meeting will include sign-in, announcements, voting, and the reading of legal opinions by the appointed law firm [1][2]. Group 2: Fundraising and Financials - The total amount raised from the convertible bond issuance is RMB 8.6 billion, with a net amount of RMB 8.56658240949 billion after deducting issuance costs [4]. - As of March 31, 2025, the company has used a cumulative amount of RMB 6.996 billion from the raised funds, leaving a balance of RMB 163 million [4]. Group 3: Change of Fund Usage - The company proposes to change the use of the remaining funds, terminating several projects and reallocating the remaining RMB 284.59678 million to working capital [5][6]. - The projects affected include the Wentai Wuxi Intelligent Manufacturing Industrial Park and the Wentai Kunming Intelligent Manufacturing Industrial Park (Phase II) [5].
江西百通能源股份有限公司 2025年第一季度报告
Zheng Quan Ri Bao· 2025-04-24 23:33
登录新浪财经APP 搜索【信披】查看更多考评等级 证券代码:001376 证券简称:百通能源 公告编号:2025-016 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。 重要内容提示: 1.董事会、监事会及董事、监事、高级管理人员保证季度报告的真实、准确、完整,不存在虚假记载、 误导性陈述或重大遗漏,并承担个别和连带的法律责任。 2.公司负责人、主管会计工作负责人及会计机构负责人(会计主管人员)声明:保证季度报告中财务信息 的真实、准确、完整。 3.第一季度报告是否经审计 □是 R否 一、主要财务数据 (一) 主要会计数据和财务指标 公司是否需追溯调整或重述以前年度会计数据 □是 R否 (二) 非经常性损益项目和金额 R适用 □不适用 单位:元 其他符合非经常性损益定义的损益项目的具体情况 适用 □不适用 "其他符合非经常性损益定义的损益项目"为公司2025年1-3月收到的个税手续费返还,金额为293,547.16 元。 将《公开发行证券的公司信息披露解释性公告第1号——非经常性损益》中列举的非经常性损益项目界 定为经常性损益项目的情况说明 □适用 R不适用 ...
天津创业环保股份(01065) - 建议变更部分募集资金用途的公告
2024-12-17 22:08
香港交易及結算所有限公司及香港聯合交易所有限公司對本公告的內容概不負責,對其準確 性或完整性亦不發表任何聲明,並明確表示,概不對因本公告全部或任何部分內容而產生或 因倚賴該等內容而引致的任何損失承擔任何責任。 (於中華人民共和國註冊成立之股份有限公司) (股份代號 : 1065) 建議變更部分募集資金用途的公告 茲提述天津創業環保集團股份有限公司(「本公司」)日期同為2021年11月22日有 關(1)終止2020年度經調整的非公開發行A股股票事項;(2)建議非公開發行A股; (3)特別授權;及(4)建議採納股東回報規劃的相關公告及海外監管公告,日期為 2021年12月8日的相關通函(「該通函」),日期為2021年12月8日的2021年第四次臨 時股東大會通告及2021年第二次H股類別股東大會通告,日期為2021年12月10日 有關非公開發行A股股票獲得天津市國資委批覆的公告,日期為2021年12月24日 的2021年第四次臨時股東大會、2021年第二次H股類別股東大會及2021年第二次 A股類別股東大會決議公告,日期為2022年1月11日有關非公開發行A股股票申 請獲得中國證監會受理的公告,日期為2022年2 ...