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ST新潮: 2024年度募集资金存放与实际使用情况的专项报告
Zheng Quan Zhi Xing· 2025-07-04 16:33
Summary of Key Points Core Viewpoint The report outlines the fundraising activities and the actual usage of funds by Shandong Xinchao Energy Co., Ltd. as of December 31, 2024, highlighting the total amount raised, the allocation of funds, and the management practices in place to ensure compliance with regulatory requirements. Group 1: Fundraising Overview - The company raised a total of RMB 2,099,999,974.86 through a non-public offering of 206,084,394 shares at RMB 10.19 per share, with a net amount of RMB 2,044,204,730.26 after deducting issuance costs [1][2] - As of December 31, 2024, the total amount used from the raised funds was RMB 1,553,953,785.42, with specific allocations for intermediary fees and operational funds for oilfield assets [2][3] Group 2: Fund Management Practices - The company has established a management system for fundraising that includes special account storage and strict approval procedures to ensure funds are used for their intended purposes [3][4] - Independent directors have the authority to inspect the usage of funds and can hire accounting firms for special audits [3] Group 3: Fund Usage Details - The company has utilized RMB 60 million for intermediary fees in 2016 and has allocated funds for operational costs related to Howard and Borden oilfield assets in subsequent years [2][5] - As of the end of 2024, the remaining balance of unused funds was RMB 655,775,150.75, with RMB 5,775,150.75 in special accounts [10][11] Group 4: Changes in Fund Usage - The company has made adjustments to the intended use of funds, reallocating amounts to enhance efficiency and returns, particularly for the Howard and Borden oilfield assets [7][8] - The company has also temporarily supplemented working capital with raised funds, which has not yet been fully returned to the designated accounts [8][9] Group 5: Audit and Compliance - The report has been audited by Lixin Accounting Firm, which confirmed that the fundraising and usage report complies with relevant regulations [6][9] - The independent financial advisor, Caitong Securities, noted that the company failed to return temporarily supplemented funds as required, and will continue to monitor the situation [9]
连亏股潜能恒信拟定增募不超6.76亿 首季扭亏去年减亏
Zhong Guo Jing Ji Wang· 2025-05-12 06:16
本次向特定对象发行A股股票的定价基准日为发行期首日。本次发行的发行价格不低于定价基准日前二十个交易日公 司A股股票交易均价的80%。定价基准日前二十个交易日股票交易均价=定价基准日前二十个交易日股票交易总额÷定 价基准日前二十个交易日股票交易总量。 中国经济网北京5月12日讯潜能恒信(300191)(300191.SZ)5月9日晚披露2025年度向特定对象发行A股股票预案。公 司本次向特定对象发行募集资金总额不超过67,600.00万元(含本数),扣除发行费用后的募集资金净额将用于以下项 目:涠洲5-3油田开发项目、补充流动资金。 | | | | 中山: /1/0 | | --- | --- | --- | --- | | 房會 | 项目名称 | 投资总额 | 拟使用募集资金 | | 1 | 潤洲 5-3 油田开发项目 | 56,634.00 | 55,600.00 | | 2 | 补充流动资金 | 12,000.00 | 12,000.00 | | | 合计 | 68,634.00 | 67,600.00 | 本次向特定对象发行A股股票的发行对象为符合中国证监会规定条件的证券投资基金管理公司、证券公司、信托 ...
潜能恒信:拟定增募资不超过6.76亿元
news flash· 2025-05-09 11:29
潜能恒信(300191)公告,拟定增募资不超过6.76亿元,用于涠洲5-3油田开发项目、补充流动资金。 ...