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豪恩汽电拟定增募不超11.05亿 2023年上市募9.15亿
Zhong Guo Jing Ji Wang· 2025-08-06 02:36
Core Viewpoint - The company, Haon Electric, has announced a plan to issue A-shares to specific investors in 2025, aiming to raise up to 1.1049391 billion yuan for various projects, including production line expansions and R&D upgrades [1][2]. Group 1: Share Issuance Details - The share issuance will target no more than 35 specific investors, including qualified institutional investors and individuals, with all subscriptions to be made in cash [1]. - The shares will be priced at no less than 80% of the average trading price over the 20 trading days prior to the pricing date [1]. - The total number of shares issued will not exceed 30% of the company's total shares before the issuance, amounting to a maximum of 27.6 million shares [2]. Group 2: Fund Utilization - The total funds raised will be allocated to three main projects: 1. Expansion of the Shenzhen production line with an estimated total investment of 392.88 million yuan, expecting to use 304.46 million yuan from the raised funds 2. Construction of the Huizhou production line with a total investment of 557.47 million yuan, with 471.88 million yuan planned from the raised funds 3. Upgrading the R&D center with a total investment of 501.80 million yuan, expecting to utilize 328.60 million yuan from the raised funds [3]. Group 3: Company Control and Ownership - The company's controlling shareholder is Haon Group, with actual control held by Chen Qingfeng and Chen Jinfang, who collectively controlled 58.76% of voting rights as of March 31, 2025. Post-issuance, their control is expected to decrease to 45.20%, but they will remain the actual controllers [3]. Group 4: Recent Financial Performance - In Q1 2025, the company reported a revenue of 387 million yuan, a year-on-year increase of 35.48%, and a net profit attributable to shareholders of 18.42 million yuan, up 4.44% [5][6]. - The net cash flow from operating activities reached 47.44 million yuan, showing a significant increase of 150.61% compared to the previous year [5][6].
豪恩汽电: 国信证券股份有限公司关于深圳市豪恩汽车电子装备股份有限公司继续使用部分闲置募集资金(含超募资金)进行现金管理的核查意见
Zheng Quan Zhi Xing· 2025-07-07 11:18
Core Viewpoint - The company intends to continue using part of its idle raised funds (including oversubscribed funds) for cash management to enhance fund utilization efficiency while ensuring that the investment projects remain unaffected [1][7]. Fundraising Basic Situation - The company has raised a total of RMB 91.5 million by issuing 23 million shares at RMB 39.78 per share, with a par value of RMB 1.00 per share [1][2]. Fund Usage and Idle Situation - As of June 30, 2025, the company has utilized RMB 65.525 million of the raised funds for its information technology construction project, leaving a portion temporarily idle due to the project’s construction cycle [2][3]. Previous Use of Idle Funds - In a previous meeting, the company approved the use of up to RMB 600 million of idle funds for cash management, which can be rolled over within 12 months [3][4]. Current Cash Management Plan - The company plans to use up to RMB 200 million of idle funds for cash management, with a maximum investment period of 12 months, ensuring that the investment does not affect the ongoing projects [4][5]. Investment Products - The company will invest in low-risk, high-liquidity products such as structured deposits, time deposits, and large certificates of deposit, with strict risk control measures in place [5][6]. Impact on Daily Operations - The cash management strategy is designed to enhance fund efficiency without impacting the company's normal operations or project funding needs, ultimately aiming to improve overall performance and shareholder returns [6][7]. Sponsor's Verification Opinion - The sponsor has confirmed that the company's decision to use idle funds for cash management complies with relevant regulations and does not harm the interests of the company or its shareholders [7].
豪恩汽电: 关于继续使用部分闲置募集资金(含超募资金)进行现金管理的公告
Zheng Quan Zhi Xing· 2025-07-07 11:12
证券代码:301488 证券简称:豪恩汽电 公告编号:2025-038 深圳市豪恩汽车电子装备股份有限公司关于 继续使用部分闲置募集资金(含超募资金)进行现金管理的公告 本公司及董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。 深圳市豪恩汽车电子装备股份有限公司(以下简称"公司"、"豪恩汽电")于 审议通过了《关于继续使用部分闲置募集资金(含超募资金)进行现金管理的议 案》,同意公司在保证募集资金投资项目的资金需求以及募集资金使用计划正常进行 的前提下,可以继续使用总金额不超过人民币2亿元的闲置募集资金(含超募资金) 进行现金管理。现将有关情况公告如下: 一、募集资金基本情况 因募集资金投资项目建设需要一定的周期,根据募集资金投资项目建设进度,现 阶段募集资金出现暂时部分闲置情况。为提高募集资金使用效率,在确保不影响募投 项目建设和募集资金使用并有效控制风险的前提下,公司结合实际经营情况,计划使 用部分闲置的募集资金(含超募资金)进行现金管理。 三、前次使用闲置募集资金(含超募资金)进行现金管理的情况 议,分别审议通过了《关于继续使用部分闲置募集资金(含超募资金)进行现 ...