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江苏微导纳米科技股份有限公司关于开立募集资金专项账户并签订募集资金专户存储三方监管协议的公告
Shang Hai Zheng Quan Bao· 2025-08-14 19:30
Group 1 - The company has successfully raised a total of RMB 1,170,000,000 through the issuance of convertible bonds, with a net amount of RMB 1,158,921,603.78 after deducting issuance costs [2][3] - The funds have been deposited as of August 12, 2025, and the verification report has been issued by Zhongxinghua Accounting Firm [2][3] - A special account for the management of the raised funds has been established, and a tripartite supervision agreement has been signed to ensure proper usage and storage of the funds [3][4] Group 2 - The tripartite agreement involves the company, the banks where the funds are stored, and the sponsor, CITIC Securities, to regulate the management of the raised funds [4][7] - The special account is exclusively for the company's semiconductor thin film deposition equipment project, and funds cannot be used for other purposes [7][12] - The company is required to notify the sponsor of any cash management products and ensure that these products are not pledged [8][12] Group 3 - The sponsor has the right to conduct ongoing supervision of the fund management and can perform on-site investigations [8][19] - Monthly account statements must be provided by the banks to both the company and the sponsor [20][21] - Any significant withdrawals exceeding 20% of the net raised funds must be reported to the sponsor within two working days [20][21]
金桥信息: 关于前次募集资金使用情况的专项报告
Zheng Quan Zhi Xing· 2025-07-25 16:37
Fundraising Overview - The company raised a total of RMB 346.72 million through a non-public offering of 46.63 million shares at RMB 7.50 per share, with net proceeds amounting to RMB 347.20 million after deducting related expenses [1][6] - As of December 31, 2024, the remaining balance of the raised funds in the bank accounts was RMB 67.12 million [1] Fund Utilization - The total amount of raised funds utilized by the company was RMB 294.37 million, with annual usage reported as RMB 104.08 million in 2021 and RMB 70.84 million in 2023 [6] - The company has not changed the purpose of the raised funds, and there are no discrepancies between the actual investment amounts and the committed amounts [1][6] Project Investment and Benefits - The company has not transferred any investment projects funded by the raised capital as of December 31, 2024 [1] - The projects funded include a cloud-based technology center upgrade, a smart legal comprehensive platform, and a smart education comprehensive platform, with a total of RMB 25.49 million used to replace self-raised funds previously invested in these projects [1][3] Financial Management of Idle Funds - The company has approved the use of idle funds for cash management, allowing up to RMB 300 million for purchasing principal-protected financial products, with subsequent approvals for RMB 200 million and RMB 150 million for similar purposes [4][5] Project Performance - The cloud-based technology center upgrade project is a research and development initiative that does not directly generate revenue but enhances the company's R&D capabilities and innovation potential [3] - The company has not reported any projects with cumulative returns below 20% of the promised returns [3]
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 ...