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金溢科技: 深圳市金溢科技股份有限公司2025年度向特定对象发行股票募集资金使用的可行性分析报告
Zheng Quan Zhi Xing· 2025-08-22 12:20
Group 1 - The total amount of funds to be raised in the issuance is not more than 1 billion RMB, and the net amount after deducting issuance costs will be used entirely to supplement working capital [1] - The issuance of funds is necessary to enhance the company's financial strength and seize industry development opportunities, driven by national policies promoting digital transformation in the transportation sector [2][3] - The actual controller and controlled enterprises will fully subscribe to the issuance, reinforcing control and boosting market confidence [3] Group 2 - The use of raised funds complies with relevant laws and regulations, enhancing the company's capital strength and optimizing its capital structure [4] - The company has established a sound corporate governance structure and internal control system, ensuring proper management of the raised funds [4] - The issuance will improve the company's operational management by effectively supplementing working capital and enhancing competitive and profitability capabilities [5] Group 3 - The financial impact of the issuance includes an increase in total assets and net assets, a decrease in the asset-liability ratio, and enhanced financial strength [5] - Although the total share capital will increase, there may be a short-term dilution of earnings per share and a potential decrease in return on net assets [5] - The overall conclusion is that the fundraising plan aligns with the company's strategic development and will enhance its sustainable development capabilities [5]