补充流动资金

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祥鑫科技: 关于使用部分闲置募集资金暂时补充流动资金的公告
Zheng Quan Zhi Xing· 2025-03-31 09:14
Core Viewpoint - The company has approved the temporary use of idle raised funds, not exceeding RMB 500 million, to supplement working capital for a period of up to 12 months, ensuring that the investment projects funded by the raised capital continue as planned [1][7]. Fundraising Overview - In 2020, the company issued convertible bonds with a total face value of RMB 10,689,532.57, resulting in a net fundraising amount of RMB 10,689.53 million after expenses [1][2]. - In 2022, the company issued 26 million A-shares at RMB 33.69 per share, raising a total of RMB 875.94 million, with a net amount of RMB 863.09 million after deducting related expenses [2][3]. Fund Usage - The total planned investment from the 2020 convertible bond issuance was RMB 647 million [3]. - The company adjusted the investment amounts for projects funded by the 2022 A-share issuance, with a total planned investment of RMB 1838.15 million, of which RMB 863.09 million is allocated [3]. Previous Use of Idle Funds - In February 2024, the company used RMB 215.37 million of idle funds to supplement working capital, which was fully returned to the dedicated account by February 2025 [4][5]. Current Fund Supplementation Details - The company plans to use idle funds to supplement working capital, with a maximum of RMB 500 million for a period of 12 months, ensuring the return of funds to the dedicated account before the deadline [4][5]. - The expected savings in financial costs from this action is estimated at RMB 15.5 million based on the current one-year loan market quoted interest rate (LPR) of 3.10% [5]. Approval Process - The independent directors and the board of supervisors have reviewed and approved the use of idle funds, confirming that it will not affect the ongoing investment projects or the company's main business operations [6][7]. - The sponsor institution has also verified that the approval process complies with relevant regulations and does not harm shareholder interests [8].
中科星图(688568) - 中科星图股份有限公司截至2024年12月31日止前次募集资金使用情况报告及鉴证报告
2025-03-03 14:45
中科星图股份有限公司 截至 2024 年 12 月 31 日止 前次募集资金使用情况报告及鉴证报告 信会师报字[2025]第 ZG10087 号 目 录 页 次 | 一、 | 前次募集资金使用情况报告的鉴证报告 | 1-2 | | --- | --- | --- | | 二、 | 前次募集资金使用情况报告 | 1-10 | | 三、 | 附表 | 1-4 | 关于中科星图股份有限公司截至2024年12月31日止 前次募集资金使用情况报告的鉴证报告 信会师报字[2025]第ZG10087号 中科星图股份有限公司全体股东: 我们接受委托,对后附的中科星图股份有限公司(以下简称"中 科星图") 截至2024年12月31日止前次募集资金使用情况报告(以下 简称"前次募集资金使用情况报告")执行了合理保证的鉴证业务。 一、管理层的责任 中科星图管理层的责任是按照中国证券监督管理委员会《监管规 则适用指引——发行类第7号》的相关规定编制前次募集资金使用情 况报告。这种责任包括设计、执行和维护与前次募集资金使用情况报 告编制相关的内部控制,确保前次募集资金使用情况报告真实、准确、 完整,不存在虚假记载、误导性陈述或重大遗漏 ...