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宁波色母: 关于使用部分闲置募集资金和自有资金进行现金管理到期赎回并继续进行现金管理的公告
Zheng Quan Zhi Xing· 2025-06-26 16:21
Core Viewpoint - Ningbo Color Masterbatch Co., Ltd. has approved the use of idle raised funds and self-owned funds for cash management, with a total limit of up to 2.5 billion yuan for idle raised funds and 6 billion yuan for self-owned funds, ensuring that it does not affect the investment plans of the raised funds [1][2]. Group 1: Cash Management Details - The company has initiated cash management using idle raised funds and self-owned funds, with specific products and amounts detailed in the announcement [2][3]. - The cash management includes structured deposits with various banks, such as Shanghai Pudong Development Bank and Citic Bank, with expected annualized returns ranging from 0.65% to 2.35% [3][5]. Group 2: Financial Impact and Governance - The cash management strategy is designed to enhance the efficiency of fund utilization without impacting the normal operation of the company's investment projects or daily business activities [4][6]. - The company maintains a strict governance framework to ensure that the use of funds complies with regulations and does not alter the intended use of raised funds [4][7].
虹软科技: 第三届监事会第四次会议决议公告
Zheng Quan Zhi Xing· 2025-06-25 19:32
Meeting Overview - The third meeting of the third Supervisory Board of the company was held with all three supervisors present, complying with relevant regulations and company rules [1]. Financial Management Proposals - The Supervisory Board approved the proposal to use part of the temporarily idle self-owned funds for entrusted financial management, with a limit of up to RMB 2,000 million, which is expected to enhance the efficiency of fund usage and generate investment returns [1][2]. - The proposal to use part of the temporarily idle over-raised funds for cash management was also approved, with a limit of up to RMB 94.2 million, ensuring compliance with regulatory requirements and not affecting the normal implementation of fundraising projects [2][3]. - The board approved the use of self-owned funds to pay for the required funds of fundraising projects, with an equivalent replacement of the raised funds, which is expected to improve the efficiency of fund usage without altering the intended use of the raised funds [3][4].
璞泰来: 中信建投证券股份有限公司关于上海璞泰来新能源科技股份有限公司将募集资金专户利息用于所属募投项目建设的核查意见
Zheng Quan Zhi Xing· 2025-06-24 18:40
Group 1 - The core viewpoint of the article is that Citic Securities has conducted a review and approved the use of interest from the fundraising account for the construction of the company's investment projects, specifically for the project of producing 50,000 tons of high-performance lithium-ion battery anode materials [1][10] - The company raised a total of RMB 459,149.99 million through a non-public offering of 50,706,791 shares at a price of RMB 90.55 per share, with a net amount of RMB 458,699.64 million after deducting issuance costs [1][2] - The company has established a special account for the raised funds and signed a tripartite supervision agreement with the sponsor and the bank managing the account [2] Group 2 - As of May 31, 2025, the planned investment for the projects funded by the 2020 non-public offering is RMB 514,716.14 million, with the committed fundraising amount being RMB 458,699.64 million and the actual investment amount being RMB 459,091.79 million [3] - The company has approved the use of up to RMB 3.4 billion of temporarily idle funds for cash management, which was later returned to the fundraising account [7] - The company plans to use RMB 142 million of the interest generated from the fundraising account to increase capital for its wholly-owned subsidiary, Sichuan Zicheng Technology Co., Ltd., for the construction of the anode materials project [8][9] Group 3 - The audit committee and the board of directors have unanimously approved the proposal to use the interest from the fundraising account for project construction, confirming that it will not affect the normal implementation of other investment projects [9][10] - The sponsor, Citic Securities, has no objections to the company's plan to use the interest for project construction, stating that it will enhance the efficiency of fund usage and will not harm shareholder interests [10]
无风险利率1时代:低利率“围城”下,普通人的收息思路
天天基金网· 2025-06-24 11:29
Core Viewpoint - The article discusses the impact of the low interest rate environment on traditional investment strategies and emphasizes the need for new approaches to achieve financial freedom in this changing landscape [3][24]. Group 1: Interest Rate Changes - Five years ago, a bank's large time deposit offered a 4% interest rate, providing an annual income of 40,000 yuan from a principal of 1 million yuan, which has now decreased to just over 10,000 yuan [2][3]. - The shift to a "1 era" in fixed deposit rates highlights the erosion of purchasing power, with a historical example showing that 10,000 yuan in 1990 would only allow for 1.3 square meters of housing today, down from 8 square meters [4]. Group 2: Cash Management Products - Cash management products, such as money market funds and interbank certificate index funds, are recommended for maintaining liquidity and providing slightly higher returns than regular savings [5][6]. - The annualized return for the money market fund index is approaching 1%, while the interbank certificate index fund has a return of 1-2% with minimal drawdown [5][6]. Group 3: Fixed Income Assets - Pure bond funds and "fixed income+" strategies are suggested for medium-term investments, as they have historically provided steady returns even during market downturns [7][11]. - The yield on ten-year government bonds is currently around 1.6-1.7%, while specialized bond funds can achieve returns of 2-3% [11]. Group 4: Real Estate Investment Trusts (REITs) - The emergence of REITs offers a new solution for real estate investment, providing liquidity and cash flow through rental income and asset appreciation [13][17]. - The average dividend yield for REITs is around 4-5%, making them an attractive alternative to traditional property investments [14][17]. Group 5: Equity Assets - Dividend-paying stocks, particularly in the A-share market, are highlighted as viable options in a low interest rate environment, with dividend yields exceeding 5% [18][22]. - Historical data shows that dividend assets not only provide stable cash flow but also exhibit defensive characteristics during market fluctuations [19][20]. Group 6: Investment Principles - Investors are advised to adjust their expectations regarding returns and embrace market volatility as a necessary condition for achieving excess returns in the current financial landscape [23][24]. - The focus should shift from seeking "perfect assets" to building a diversified portfolio that can adapt to changing market conditions [24].
江西宏柏新材料股份有限公司关于2022年员工持股计划第三个锁定期届满的提示性公告
Group 1 - The company announced the expiration of the third lock-up period for its 2022 employee stock ownership plan, which will end on June 23, 2025 [2][4] - As of the announcement date, the employee stock ownership plan holds 2.4 million shares, accounting for 0.38% of the company's total share capital [3][4] - The employee stock ownership plan has a total duration of 48 months, with shares being unlocked in three phases: 30% after 12 months, 30% after 24 months, and 40% after 36 months [3][4] Group 2 - The company has set performance targets for 2024, requiring a net profit of no less than 400 million yuan or an operating income of no less than 2.5 billion yuan [4] - If the company fails to meet the performance targets, all corresponding unlockable shares will not be released, and the management committee will sell the unallocated shares [4][5] - The company will continue to comply with market trading rules and regulations during the remaining duration of the employee stock ownership plan [6][7] Group 3 - The company plans to use part of its idle raised funds for cash management, with a maximum of 700 million yuan allocated for investment in safe and liquid financial products [15][30] - The company has already redeemed 40 million yuan from a previous investment in a bank deposit, earning 330,000 yuan in returns [16][18] - The cash management strategy aims to enhance the efficiency and returns of the raised funds while ensuring that the funds are not used for purposes that could harm shareholder interests [29][36]
冠中生态: 第四届监事会第二十次会议决议公告
Zheng Quan Zhi Xing· 2025-06-23 11:53
证券代码:300948 证券简称:冠中生态 公告编号:2025-045 经与会监事认真审议,形成如下决议: 本公司及监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。 一、监事会会议召开情况 青岛冠中生态份有限公司(以下简称"公司")第四届监事会第二十 次会议于2025年6月20日在公司会议室以现场和通讯相结合的方式召开, 会议通知于2025年6月16日以电子邮件、电话、书面等方式发出。会议应 出席监事3人,实际出席监事3人。公司董事会秘书和证券事务代表列席了 会议。会议由监事会主席潘伟先生主持,会议的召集、召开和表决程序符 合《公司法》和《公司章程》等有关法律、行政法规、部门规章、规范性 文件的规定。 债券代码:123207 债券简称:冠中转债 青岛冠中生态股份有限公司 二、监事会会议审议情况 特此公告。 青岛冠中生态股份有限公司 监事会 经审核,监事会认为:在确保不影响可转债募集资金投资项目建设 及有效控制风险的情况下,使用暂时闲置募集资金额度不超过人民币 存单、收益凭证等安全性高的保本型产品,有利于提高公司资金使用效率, 增加资金收益,为公司及股东获取更多的投资回报 ...
诺诚健华: 诺诚健华医药有限公司关于使用闲置自有资金进行现金管理的公告
Zheng Quan Zhi Xing· 2025-06-20 13:29
A 股代码:688428 A 股简称:诺诚健华 公告编号:2025-025 港股代码:09969 港股简称:诺诚健华 诺诚健华医药有限公司 关于使用闲置自有资金进行现金管理的公告 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。 华")召开董事会,审议通过了《使用闲置自有资金进行现金管理》的议案,同 意公司使用不超过人民币 30 亿元的闲置自有资金购买安全性高、流动性好的低 风险投资产品(包括但不限于可转让大额银行存单、结构性存款、理财产品、货 币基金)。授权期限为自本次董事会审议通过之日起 12 个月内,在前述额度及期 限范围内,资金可以循环滚动使用。现将具体情况公告如下: 一、本次使用闲置自有资金进行现金管理的概况 (一)现金管理目的 在不影响正常经营及资金安全的情况下,公司拟使用闲置自有资金进行现金 管理,以提高公司的资金使用效率,为公司与股东创造更大的收益。 (二)额度及期限 本次公司拟进行现金管理单日最高余额不超过人民币 30 亿元,授权期限为 自本次董事会审议通过之日起 12 个月内,在前述额度及期限范围内,资金 ...
优优绿能: 民生证券股份有限公司关于深圳市优优绿能股份有限公司使用闲置自有资金进行现金管理的核查意见
Zheng Quan Zhi Xing· 2025-06-18 11:19
Core Viewpoint - The company plans to utilize idle self-owned funds for cash management to enhance fund efficiency and returns for the company and its shareholders [1][5]. Group 1: Basic Situation of Cash Management - The investment purpose is to improve fund efficiency without affecting the company's main business operations [1]. - The company intends to use up to 1 billion RMB or equivalent foreign currency for cash management, with a rolling usage period until the 2025 annual general meeting [1][4]. - The investment types include low-risk financial products such as bank time deposits, structured deposits, and wealth management products [2]. Group 2: Funding Source and Implementation - The cash management will be funded by the company's idle self-owned funds, without involving raised funds or bank loans [2]. - The board of directors will seek authorization from the shareholders' meeting for cash management decisions, including investment product selection and contract signing [2]. Group 3: Impact on Daily Operations - The cash management will not affect the company's daily operations and will not harm the interests of shareholders, especially minority shareholders [3]. Group 4: Review Procedures and Opinions - The board of directors and the supervisory board have approved the cash management plan, confirming it aligns with the company's interests and complies with relevant regulations [4][5]. - The sponsor believes the cash management plan has undergone necessary approval procedures and does not harm the interests of shareholders [5].
华锐精密: 第三届监事会第十次会议决议公告
Zheng Quan Zhi Xing· 2025-06-18 10:21
证券代码:688059 证券简称:华锐精密 公告编号:2025-040 转债代码:118009 转债简称:华锐转债 株洲华锐精密工具股份有限公司 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。 株洲华锐精密工具股份有限公司(以下简称"公司")第三届监事会第十次会 议于 2025 年 6 月 18 日以现场表决与通讯结合的方式召开,会议通知已于 2025 年 6 月 12 日以专人、邮寄及电子邮件等方式发出。本次会议应出席监事 3 人, 实际出席监事 3 人,会议由监事会主席林孝良先生主持。本次会议的召集、召开 方式符合相关法律、行政法规、部门规章、规范性文件和《株洲华锐精密工具股 份有限公司章程》的规定,会议决议合法、有效。 株洲华锐精密工具股份有限公司监事会 一、审议通过了《关于使用部分暂时闲置可转债募集资金进行现金管理的议 案》 公司监事会认为:公司拟使用额度不超过人民币 7,000.00 万元(含本数)的 部分暂时闲置可转债募集资金进行现金管理,内容及审议程序符合《上市公司募 集资金监管规则》《上海证券交易所科创板上 ...
美邦股份: 陕西美邦药业集团股份有限公司关于使用暂时闲置募集资金进行现金管理到期赎回并继续进行现金管理的公告
Zheng Quan Zhi Xing· 2025-06-17 10:17
Core Viewpoint - The company, Shaanxi Meibang Pharmaceutical Group Co., Ltd., has announced the use of temporarily idle raised funds for cash management, specifically through a financial product with a total investment of 15 million yuan [1][4]. Group 1: Financial Management - The entrusted financial management is conducted by CITIC Bank, with a total amount of 15 million yuan allocated to the "Anying Xiang Fixed Income Stable Profit One Month Holding Period 32 C" product [1][7]. - The company aims to enhance the efficiency of fund utilization while ensuring that the investment projects funded by the raised capital are not affected [4][11]. - The maximum amount approved for cash management is 20 million yuan from idle raised funds and 60 million yuan from idle self-owned funds, with the ability to roll over the amount within the validity period of the resolution [1][8]. Group 2: Previous Financial Management - The previous financial management involved the redemption of funds from a product named "Tongying Xiang Fixed Income Stable Seven-Day Holding Product 1," with actual returns aligning with expectations [2][3]. - The company has utilized a total of 9 million yuan in financial products over the last twelve months, with a maximum single-day investment of 3 million yuan, representing 2.67% of the net assets for the past year [13]. Group 3: Investment Product Details - The current financial product has a duration of 30 days, with an expected annualized return rate of 3.86% [7]. - The company ensures that the investment products are of high safety and liquidity, complying with the requirements for cash management without altering the intended use of raised funds [6][11]. Group 4: Approval Process - The decision to use idle funds for cash management was approved during the third board meeting and the fifth supervisory board meeting held on April 24, 2025, and subsequently ratified at the annual shareholders' meeting on May 16, 2025 [1][8]. - The supervisory board and the sponsor institution have both expressed agreement with the company's cash management strategy, confirming compliance with relevant regulations [11].