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隆基绿能: 关于签订募集资金专户存储三方监管协议的公告
Zheng Quan Zhi Xing· 2025-07-08 13:15
Fundraising Overview - Longi Green Energy Technology Co., Ltd. has been approved to publicly issue convertible bonds totaling RMB 7 billion, with a term of 6 years [1] - The actual issuance occurred on January 5, 2022, with 70 million bonds issued at a face value of RMB 100 each, resulting in net proceeds of approximately RMB 6.965 billion after deducting issuance costs [1] Fund Allocation Changes - The company has decided to terminate the investment in the Wuhu (Phase II) 15GW monocrystalline module project, reallocating the originally planned investment of RMB 1.08 billion to the Tongchuan Longi 12GW high-efficiency monocrystalline battery project [1] Fund Management and Oversight - A tripartite regulatory agreement was signed on July 8, 2025, between Longi Green Energy, its subsidiaries, and CITIC Bank to manage and oversee the fundraising for the Tongchuan project [2] - The agreement stipulates that the funds must be used solely for the designated project and outlines the responsibilities of each party involved in the management and oversight of the funds [3][4] Compliance and Reporting - The agreement includes provisions for regular reporting and oversight by the sponsor, ensuring compliance with relevant laws and regulations [4][5] - Any significant withdrawals from the special account must be reported to the sponsor, and failure to comply with the agreement can lead to termination of the agreement [4][5]
九联科技: 广东九联科技股份有限公司关于注销部分募集资金账号专户的公告
Zheng Quan Zhi Xing· 2025-07-08 11:24
证券代码:688609 证券简称:九联科技 公告编号:2025-038 广东九联科技股份有限公司 关于注销部分募集资金专户的公告 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、准确性和完整性承担个别及连带责任。 一、募集资金基本情况 根据中国证券监督管理委员会出具的《关于同意广东九联科技股份有限公司 首次公开发行股票注册的批复》(证监许可2021349 号),同意广东九联科技 股份有限公司(以下简称"公司")向社会首次公开发行人民币普通股股票 10,000 万股,每股发行价格为人民币 3.99 元,募集资金总额为人民币 399,000,000.00 元;扣除发行费用后实际募集资金净额为人民币 345,402,847.17 元。本次募集 资金已全部到位,大华会计师事务所(特殊普通合伙)对资金到位情况进行了审 验,并于 2021 年 3 月 18 日出具了《验资报告》(大华验字2021000169 号)。 为规范募集资金管理,公司开设了募集资金专项账户,对募集资金实行专户 管理。上述募集资金到账后已全部存放于募集资金专项账户内,公司已与存放募 集资金的银行、 ...
森林包装: 森林包装集团股份有限公司关于开立募集资金理财产品专用结算账户的公告
Zheng Quan Zhi Xing· 2025-07-08 11:24
森林包装集团股份有限公司(以下简称"公司"或"森林包装")于 2024 年 10 月 17 日召开第三届董事会第十次会议及第三届监事会第十次会议,分别审 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》,同意公司或全资 子公司为了提高募集资金的使用效率,增加募集资金利息收入,公司在确保募投 项目资金需求和资金安全的前提下,使用最高额不超过人民币 17,000 万元(含) 的暂时闲置募集资金进行现金管理,用于购买安全性高、流动性好、有保本约定 的理财产品、定期存款、结构性存款等。上述闲置募集资金进行现金管理事项自 董事会审议通过之日起 12 个月有效期内可以滚动使用,公司董事会授权总经理 在上述额度及相关要求范围最终审定并签署相关实施协议或合同等文件。保荐机 构对上述事项出具了无异议的核查意见。具体内容详见公司于 2024 年 10 月 18 日在上海证券交易所网站(www.sse.com.cn)上披露的《森林包装集团股份有限 公司关于使用部分闲置募集资金进行现金管理的公告》(公告编号:2024-062)。 一、开立募集资金理财产品专用结算账户情况 公司的全资子公司台州森林造纸有限公司,拟使用闲置募集资金 ...
卓越新能: 卓越新能第五届监事会第八次会议决议公告
Zheng Quan Zhi Xing· 2025-07-08 11:15
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。 证券代码:688196 证券简称:卓越新能 公告编号:2025-025 龙岩卓越新能源股份有限公司 第五届监事会第八次会议决议公告 一、 监事会会议召开情况 龙岩卓越新能源股份有限公司(以下简称"公司")于 2025 年 7 月 8 日在 公司东宝生物能源分厂会议室召开了公司第五届监事会第八次会议。会议应到 监事 3 人,实到 3 人。本次会议由监事会主席林春根先生主持,出席会议的监 事有林春根、罗敏健、陈文敏。本次会议的召集、召开及决议程序符合《中华 人民共和国公司法》和《公司章程》的规定。 二、 监事会会议审议情况 监事会成员经认真审议,以投票表决的方式通过如下决议: (一)《关于公司以简易程序向特定对象发行股票竞价结果的议案》 监事会认为:根据《中华人民共和国证券法》《上市公司证券发行注册管 理办法》及《上海证券交易所上市公司证券发行与承销业务实施细则》等法律 法规、规范性文件的有关规定及公司 2023 年年度股东大会、2024 年年度股东 大会的授权,公司本次发行的程 ...
观想科技: 第四届监事会第十二次会议决议公告
Zheng Quan Zhi Xing· 2025-07-08 11:15
经监事会审议,认为公司使用自有资金支付募投项目部分款项并 以募集资金等额置换,履行了必要的决策程序,有利于提高募集资金 使用效率,符合公司及股东的利益。该事项不会影响募集资金投资项 目的正常进行,不存在变相改变募集资金用途和损害股东利益的行为, 符合相关规定的要求。因此,监事会同意公司使用自有资金支付募投 项目部分款项并以募集资金等额置换事项。 表决结果:3 票同意,0 票反对,0 票弃权,本议案获得通过。 该议案具体内容详见公司于同日披露在巨潮资讯网 (http://www.cninfo.com.cn)的《关于使用自有资金支付募投项目部 分款项并以募集资金等额置换的公告》(公告编号:2025-040)。 证券代码:301213 证券简称:观想科技 公告编号:2025-039 四川观想科技股份有限公司 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。 一、监事会会议召开情况 四川观想科技股份有限公司(以下简称"公司")于2025年7月3 日以电话、邮件、专人送达等方式发出了关于召开第四届监事会第十 二次会议的通知,会议于2025年7月8日在公司会议室以现场与通讯 ...
汇隆新材实控人方拟减持 2021上市当年股价净利双巅峰
Zhong Guo Jing Ji Wang· 2025-07-08 07:21
Core Viewpoint - The major shareholder of Huilong New Materials, Huilong Partnership, plans to reduce its stake in the company by up to 3% within a specified period, which may impact the stock's market performance and investor sentiment [1][2]. Shareholder Reduction Plan - Huilong Partnership holds 6,488,000 shares, accounting for 5.5884% of the total share capital, and plans to reduce its holdings by a maximum of 3,482,902 shares, which is 3% of the total share capital after excluding repurchased shares [1][2]. - The reduction will occur through centralized bidding and block trading, with a maximum of 1,160,967 shares via centralized bidding and 2,321,935 shares via block trading [1]. Company Background - Huilong New Materials was listed on the Shenzhen Stock Exchange on September 9, 2021, with an initial public offering (IPO) of 27.3 million shares at a price of 8.03 yuan per share [2]. - The company raised a total of 21.92 million yuan from its IPO, with a net amount of 16.83 million yuan after expenses [2][3]. Financial Performance - The company's revenue from 2021 to 2024 showed a growth trend, with revenues of 613 million yuan in 2021, 615 million yuan in 2022, 804 million yuan in 2023, and 838 million yuan in 2024 [4][6]. - Net profit for the same period was 72.11 million yuan in 2021, dropping to 30.93 million yuan in 2024, indicating a decline in profitability [4][6]. - The first quarter of 2025 reported a revenue of 19.41 million yuan, a year-on-year increase of 23.91%, with a net profit of 1.23 million yuan, up 44.60% from the previous year [6][7]. Fundraising Activities - The company has conducted two fundraising activities, raising a total of 339 million yuan [8]. - The second fundraising round involved issuing 7,348,438 shares at 16.33 yuan each, raising approximately 120 million yuan, with a net amount of about 115.58 million yuan after deducting expenses [7].
华东建筑集团股份有限公司关于部分募集资金专户注销的公告
Shang Hai Zheng Quan Bao· 2025-07-07 18:51
证券代码:600629 证券简称:华建集团 编号:临2025-031 华东建筑集团股份有限公司 上述募集资金已全部到账,众华会计师事务所(特殊普通合伙)对本次发行募集资金到位情况进行了审 验,并于 2022 年 4 月 8 日出具了《验资报告》(众会字(2022)第 03313 号)。 二、募集资金管理与使用情况 公司按照《上海证券交易所上市公司自律监管指引第 1 号一一规范运作》及相关规定,对募集资金进行 了专户存储,公司及相关子公司已与联合保荐机构、各存储募集资金的商业银行签署了募集资金专户存 储三方监管或四方监管协议。 截至本公告披露日,公司及募投项目实施主体的子公司开立的募集资金专项账户的情况如下: ■ 三、募集资金专户注销情况 关于部分募集资金专户注销的公告 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、准确性和完整性承担个别及连带责任。 一、募集资金基本情况 经中国证券监督管理委员会(以下简称"中国证监会")《关于核准华东建筑集团股份有限公司非公开发 行股票的批复》(证监许可[2021]2754 号)核准,华东建筑集团股份有限公司(以下简称" ...
青山纸业: 关于理财产品到期赎回并使用部分闲置募集资金进行现金管理进展的公告
Zheng Quan Zhi Xing· 2025-07-07 18:11
Core Viewpoint - Fujian Qingshan Paper Co., Ltd. is utilizing part of its idle raised funds for cash management, specifically investing in structured deposits to enhance fund efficiency and increase overall company performance, thereby providing better returns for shareholders [1][2][10]. Cash Management Overview - Cash management is conducted through entrusted parties, namely China Everbright Bank and Bank of China, with a total amount of RMB 120 million allocated for structured deposits [1][2]. - The cash management aims to improve the efficiency of temporarily idle raised funds while ensuring the safety of the funds and the progress of investment projects [2][8]. Financial Details - The company has approved the use of up to RMB 600 million of temporarily idle raised funds for cash management within one year from the shareholders' meeting approval date [2][10]. - The structured deposits include products with varying terms, such as 90 days and 129 days, with expected annualized returns ranging from 0.6% to 2.00% [7][8]. Investment Projects - The company has shifted its investment focus from a previously stalled project to new projects, including a recovery technology upgrade and expansion of a pharmaceutical workshop, utilizing the remaining raised funds [4][5]. Recent Financial Indicators - As of March 31, 2025, the company's total assets were RMB 622.81 million, with total liabilities of RMB 188.58 million, resulting in a net asset value of RMB 434.23 million [9][10]. - The cash management investment of RMB 120 million represents 15.69% of the company's cash balance as of the latest reporting period [10]. Risk Management - The company has established internal controls to monitor the investment of idle funds, ensuring that the selected financial products are low-risk and do not affect the normal operation of the fundraising projects [7][9].
天际股份: 华泰联合证券有限责任公司关于天际新能源科技股份有限公司使用部分闲置募集资金暂时补充流动资金的核查意见
Zheng Quan Zhi Xing· 2025-07-07 18:10
Summary of Key Points Core Viewpoint - The company intends to temporarily use part of its idle raised funds to supplement working capital, ensuring that this does not affect the implementation of its fundraising investment projects [1][4][6]. Group 1: Fundraising Overview - The company raised a total of RMB 894,999,954.16, with a net amount of RMB 875,792,998.29 after deducting related expenses [1][2]. - The funds were raised through the issuance of 96,030,038 shares at a price of RMB 9.32 per share, approved by the China Securities Regulatory Commission on June 26, 2023 [1]. Group 2: Fund Management and Usage - The company has established a fundraising supervision account and signed a tripartite/four-party supervision agreement with the sponsor and relevant banks [2]. - As of July 1, 2025, the company has used RMB 69,363.46 million of the raised funds, leaving RMB 18,985.96 million (including interest and net cash management income) unutilized [2]. Group 3: Temporary Fund Usage - The company plans to use up to RMB 17,500 million of idle funds to temporarily supplement working capital, with a usage period of up to 12 months from the board's approval [4][5]. - This temporary use of funds is expected to save approximately RMB 5.25 million in financial costs based on the current one-year loan market quotation rate of 3% [4]. Group 4: Compliance and Approval - The board and supervisory committee have approved the use of idle funds, confirming that it will not affect the normal progress of fundraising investment projects [6]. - The sponsor has verified that the company's actions comply with relevant regulations and do not change the intended use of the raised funds [6].
金盘科技: 募集资金管理制度
Zheng Quan Zhi Xing· 2025-07-07 16:24
海南金盘智能科技股份有限公司 第一章 总 则 公司发现控股股东、实际控制人及其他关联人占用募集资金的,应当及时要 求归还,并披露占用发生的原因、对公司的影响、清偿整改方案及整改进展情况。 公司的董事和高级管理人员应当勤勉尽责,确保公司募集资金安全,不得操 控公司擅自或者变相改变募集资金用途。 第二章 募集资金存储 第四条 公司应当审慎选择商业银行并开设募集资金专项账户(以下简称 "募集资金专户"),募集资金应当存放于经董事会批准设立的募集资金专户集 中管理和使用。募集资金专户不得存放非募集资金或者用作其它用途。 公司存在两次以上融资的,应当分别设置募集资金专户。超募资金也应当存 放于募集资金专户管理。 第五条 公司应当在募集资金到账后一个月内与保荐机构或者独立财务顾 问、存放募集资金的商业银行(以下简称"商业银行")签订募集资金专户存储 三方监管协议并及时公告。相关协议签订后,公司可以使用募集资金。该协议至 少应当包括以下内容: 第一条 为规范海南金盘智能科技股份有限公司(以下简称"公司")募集 资金的使用与管理,提高募集资金的使用效率,防范资金使用风险,确保资金使 用安全,保护投资者的利益,根据《中华人民共 ...