Workflow
募集资金
icon
Search documents
亚联机械:对IPO募投项目实施方式、投资总额及投资结构等进行变更
亚联机械(001395)7月9日晚发布公告,公司根据实际经营管理需要,对首次公开发行股票募集资金投 资项目"研发中心项目"的实施方式、实施地点、投资总额及投资结构进行变更。 谈及本次变更的原因,亚联机械表示,"研发中心项目"主体工程及办公场地原计划在公司敦化老厂区原 有厂房的基础上进行改扩建和翻新,但受限于老厂区建筑结构及空间规划,厂房即使经过改造,也仅能 满足短期内的研发需求,难以支撑公司长期发展。拟购置的新研发场地由当地政府平台公司根据公司设 计要求进行定制建设,在空间规划、作业环境、操作流程等方面更加优化,将为公司募投项目和生产经 营提供更充足、稳定的研发空间,符合公司长期发展战略。 亚联机械是人造板生产装备整体解决方案的供应商和服务商,主营业务为人造板生产线和配套设备的研 发、生产、销售和服务。此外,公司将核心技术和产品向其他新型材料板材制造领域拓展,产品已成功 运用于岩纤板、热塑性蜂窝板、碳纤维板等新型材料板材的生产。 此外,老厂区距离公司现有主要厂区相对较远,研发环节与生产协作不便,协同效率低,沟通和管理成 本高。新场地位于敦化经济开发区下石工业园区,毗邻公司现有主要厂区,能够实现研发生产的高效对 ...
华强科技: 湖北华强科技股份有限公司第二届董事会第十二次会议决议公告
Zheng Quan Zhi Xing· 2025-07-09 10:17
证券代码:688151 证券简称:华强科技 公告编号:2025-031 湖北华强科技股份有限公司 第二届董事会第十二次会议决议公告 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。 一、董事会会议召开情况 湖北华强科技股份有限公司(以下简称"公司")于 2025 年 7 月 8 日以现场 结合视频会议的方式在公司会议室召开第二届董事会第十二次会议。本次会议的 通知于 2025 年 7 月 3 日通过电子邮件方式送达全体董事。本次会议由董事长孙 光幸先生主持,应出席董事 9 名,实际出席董事 9 名,公司监事、高级管理人员 列席了会议。本次会议的召集和召开符合《中华人民共和国公司法》、 《中华人民 共和国证券法》 《湖北华强科技股份有限公司章程》 《湖北华强科技股份有限公司 董事会议事规则》等有关法律、法规、规范性文件的规定,会议决议合法、有效。 二、董事会会议审议情况 经与会董事审议,做出以下决议: (一)审议通过《关于变更持续督导保荐机构和保荐代表人的议案》 公司董事会同意《关于变更持续督导保荐机构和保荐代表人的议案》,并 ...
烽火电子: 关于控股子公司设立募集资金专户并签订监管协议的公告
Zheng Quan Zhi Xing· 2025-07-09 09:15
Fundraising Overview - The company, Shaanxi Fenghuo Electronics Co., Ltd., has received approval from the China Securities Regulatory Commission to issue shares and raise funds for asset acquisition, totaling 114,249,034 shares issued, with a net fundraising amount of approximately 870 million RMB [1][2][3] Fund Management - The company has established special accounts for the management of the raised funds, ensuring compliance with regulations and protecting investor rights. The funds will be managed by the company's subsidiary, Shaanxi Changling Electronics Technology Co., Ltd., and its subsidiary, Xi'an High-tech Intelligent Manufacturing Innovation and Entrepreneurship Industrial Park Co., Ltd. [2][3] Special Account Details - The special accounts have been opened at designated financial institutions, and the funds will be used exclusively for specific projects, including the development of aviation intelligent radio altimeters and radar navigation systems [3][4] Regulatory Agreement - A fundraising supervision agreement has been signed among the company, its subsidiaries, and the banks involved, outlining the management and usage of the raised funds. The agreement includes provisions for regular audits and oversight by an independent financial advisor [4][5] Compliance and Reporting - The agreement stipulates that the company must provide monthly account statements and notify the financial advisor of any significant withdrawals. The financial advisor has the authority to conduct on-site inspections and ensure compliance with the terms of the agreement [5][6] Duration and Dispute Resolution - The agreement will remain in effect until all funds are fully utilized and the accounts are closed. Any disputes arising from the agreement will be resolved through negotiation or legal proceedings in the jurisdiction of the company's registered address [6][8]
正元智慧: 第五届监事会第四次会议决议公告
Zheng Quan Zhi Xing· 2025-07-09 04:10
Group 1 - The company held its fifth supervisory board meeting, where the use of idle raised funds was discussed and approved [1][2] - The supervisory board agreed to temporarily use up to RMB 110 million of idle raised funds to supplement working capital, enhancing operational efficiency and reducing financial costs [1][2] - The decision to change the use of part of the raised funds aligns with the company's actual business needs and complies with relevant regulations [2][3] Group 2 - The supervisory board approved the addition of expected daily related transactions for 2025, which are deemed necessary for the company's operations and business expansion [3] - All supervisory board members voted in favor of the proposals, with unanimous support reflected in the voting results [2][3]
浙江福莱新材料股份有限公司关于公司监事辞职的公告
Group 1 - The company received a resignation letter from supervisor Li Liang due to personal reasons, which will lead to the supervisory board having fewer members than the legal minimum [1] - The company plans to abolish the supervisory board, and Li Liang will continue to fulfill his duties until the abolition takes effect [1] - The company expressed gratitude for Li Liang's contributions during his tenure as a supervisor [1] Group 2 - The company approved the temporary use of up to RMB 100 million of idle raised funds to supplement working capital, with a usage period not exceeding 12 months [2] - The company has actually used RMB 100 million of idle raised funds for temporary working capital [3] - As of July 8, 2025, the company has fully repaid the RMB 100 million of idle raised funds to the special account for raised funds [4]
华大智造: 关于增设募集资金专户的公告
Zheng Quan Zhi Xing· 2025-07-08 16:12
Group 1 - The company held its 15th meeting of the second board on July 8, 2025, and approved the establishment of a special fundraising account for the "BGI Intelligent Manufacturing R&D Center Project" [1] - The company aims to standardize the management of raised funds and protect the rights of small and medium investors, in accordance with relevant regulations from the China Securities Regulatory Commission and the Shanghai Stock Exchange [1] - The company previously approved the addition of Wuhan Intelligent Manufacturing Co., Ltd. as the implementation entity for the "BGI Intelligent Manufacturing R&D Center Project" and the use of self-owned funds to pay for R&D personnel costs, which will later be replaced with raised funds [2] Group 2 - The company will transfer the required funds for the project to the special fundraising account of Wuhan Intelligent Manufacturing through capital increase or borrowing [2] - The board authorized the financial officer to open the special fundraising account for Wuhan Intelligent Manufacturing and to sign relevant agreements with the commercial bank and sponsor regarding the supervision of the fundraising account [2]
英科医疗: 募集资金管理制度
Zheng Quan Zhi Xing· 2025-07-08 16:12
英科医疗科技股份有限公司 第一章 总 则 第一条 为规范英科医疗科技股份有限公司(以下简称"公司")募集资金 管理,提高募集资金使用效率,根据《中华人民共和国公司法》(以下简称《公 司法》)《中华人民共和国证券法》(以下简称《证券法》)《深圳证券交易所 创业板股票上市规则》(以下简称《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》(以下简称《规范运作指引》) 《上市公司募集资金监管规则》(以下简称《监管规则》)等有关法律法规、规 范性文件等相关法律、法规和规范性文件以及《英科医疗科技股份有限公司公司 章程》(以下简称《公司章程》)的规定,制定本制度。 第二条 本制度所称募集资金是指公司通过发行股票或者其他具有股权性 质的证券,向投资者募集并用于特定用途的资金,但不包括公司实施股权激励计 划募集的资金。 第三条 公司的董事和高级管理人员应当勤勉尽责,督促公司规范使用募集 资金,自觉维护公司募集资金安全,不得参与、协助或纵容公司擅自或变相改变 募集资金用途。 第四条 公司董事会负责健全并确保本制度的有效实施。 募集资金投资项目通过公司的子公司或公司控制的其他公司实施的,公司确 ...
西大门: 关于部分募集资金专户销户完成的公告
Zheng Quan Zhi Xing· 2025-07-08 16:08
证券代码:605155 证券简称:西大门 公告编号:2025-021 浙江西大门新材料股份有限公司 本公司董事会、全体董事及相关股东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。 浙江西大门新材料股份有限公司(以下简称"公司")首次公开发行股票 募集资金按照相关法律、法规、规范性文件的规定在银行开立了募集资金专项 账户。鉴于公司首次公开发行股票募集资金部分投资项目已经结项,公司办理 完成了部分募集资金专项账户的注销手续,具体情况如下: 一、 募集资金基本情况 为了规范募集资金的管理和使用,提高资金使用效率和效益,保护投资者 权益,本公司按照《中华人民共和国公司法》《中华人民共和国证券法》《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(2022 年 修订)》(证监会公告〔2022〕15 号)和《上海证券交易所上市公司自律监管 指引第 1 号——规范运作(2023 年 12 月修订)》(上证发〔2023〕193 号)等 有关法律、法规和规范性文件的规定,结合公司实际情况,制定了《浙江西大 门新材料股份有限公司募集资金管理办法》( ...
*ST太和: 上海太和水科技发展股份有限公司2025年第三次临时股东会会议资料
Zheng Quan Zhi Xing· 2025-07-08 16:08
Core Viewpoint - The company plans to terminate part of the fundraising projects from its initial public offering and permanently supplement the remaining funds of 83.41 million yuan into working capital, which will be used for daily operations and business development [5][6][12]. Group 1: Meeting Procedures - The company has established rules for the shareholder meeting to ensure order and protect shareholder rights, allowing only authorized personnel to attend [1][2]. - Shareholders have the right to speak, inquire, and vote, with specific time limits for discussions and questions [2][3]. - The meeting will be conducted with a combination of on-site and online voting, and results will be announced post-meeting [3][4]. Group 2: Fundraising Project Overview - The company raised a total of 845.65 million yuan from its initial public offering, with a net amount of 796.11 million yuan after deducting underwriting fees and other expenses [6][7]. - The remaining funds of 83.41 million yuan (including interest) will be used to support the company's daily operations after terminating the "Headquarters Operation Center and Information Technology Construction Project" [5][9]. Group 3: Reasons for Project Termination - The decision to terminate the project was influenced by various factors, including macroeconomic conditions and changes in industry demand, leading to reduced investment needs in the water environment governance sector [9][12]. - The company aims to optimize resource allocation and improve the efficiency of fund usage by reallocating the remaining funds to meet operational needs [12][13]. Group 4: Future Plans and Utilization of Funds - The remaining funds will primarily be used for employee salaries and operational expenses, with monthly fixed costs exceeding 5 million yuan [12]. - Additional investments are planned for ongoing projects to achieve expected revenues and mitigate losses, with estimated needs exceeding 20 million yuan [12]. - The company is also expanding into new business areas, which will further increase the demand for working capital [12].
清源股份: 关于使用部分暂时闲置募集资金进行现金管理到期赎回的公告
Zheng Quan Zhi Xing· 2025-07-08 13:15
Core Viewpoint - The company aims to enhance the efficiency of its raised funds by utilizing temporarily idle funds for cash management, ensuring safety and not affecting ongoing investment plans or normal operations [3][6]. Cash Management Overview - The amount used for cash management is RMB 5 million [5]. - The source of funds for this cash management is part of the temporarily idle funds raised from issuing convertible bonds [3][5]. - The cash management method involves a seven-day notice deposit with an annualized return rate of 0.65% [5][6]. - The cash management period is from June 30, 2025, to July 7, 2025, not exceeding 12 months [6]. Approval Process - The company held its fifth board meeting and supervisory board meeting on April 28, 2025, where it approved the use of up to RMB 400 million of temporarily idle funds for cash management, valid for 12 months from the approval date [5][6]. Impact on the Company - The use of idle funds for cash management will not affect the normal operation of investment projects and aims to improve fund utilization efficiency, thereby providing better returns for shareholders [6][7].