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首页 公告 瑞凌股份:2022年半年度募集资金存放与使用情况的专项报告

瑞凌股份:2022年半年度募集资金存放与使用情况的专项报告

公告日期:2022-08-23

瑞凌股份:2022年半年度募集资金存放与使用情况的专项报告 PDF查看PDF原文

          深圳市瑞凌实业集团股份有限公司

    2022年半年度募集资金存放与使用情况专项报告

      根据中国证券监督管理委员会《上市公司监管指引第 2 号——上市公司募集资金管
      理和使用的监管要求(2022 年修订)》(证监会公告〔2022〕15 号)、《上市公司
      自律监管指引第 2 号——创业板上市公司规范运作》以及《深圳证券交易所创业板
      上市公司自律监管指南第 2 号——公告格式》的相关规定,本公司就 2022 年半年度
      募集资金存放与使用情况作如下专项报告:

一、  募集资金基本情况
(一)  实际募集资金金额、资金到位情况

      经中国证券监督管理委员会以证监许可[2010]1798 号《关于核准深圳市瑞凌实业集
      团股份有限公司首次公开发行股票并在创业板上市的批复》核准,由主承销商平安
      证券股份有限公司采用网下向询价对象配售与网上向社会公众投资者定价发行相结
      合的方式,本公司公开发行人民币普通股(A 股)股票 2,800 万股,发行价格 38.50
      元/股。

      截至 2010 年 12 月 23 日,公司已实际发行人民币普通股(A 股)股票 2,800 万股,
      募集资金总额为 1,078,000,000.00 元,由主承销商平安证券股份有限公司扣除承销费
      和保荐费 62,740,000.00 元后,将剩余募集资金 1,015,260,000.00 元汇入本公司在中
      国工商银行股份有限公司深圳蛇口支行开立的账号为 4000020239200378711 的人民
      币账户;扣除其他发行费用人民币 5,149,643.85 元后,募集资金净额为人民币
      1,010,110,356.15 元。

      上述募集资金到位情况业经立信会计师事务所有限公司审验,并出具了信会师报字
      (2010)第 12099 号验资报告。

(二)  募集资金使用及结余情况

                                                                              单位:人民币元

                        项目                                    金额

        2010 年 12 月 23 日募集资金净额                                        1,010,110,356.15

        减:募集资金置换金额                                                  27,041,992.49

        减:2011 年度募投项目使用募集资金                                      38,261,458.68

        减:2011 年度使用超募资金投入                                          69,010,321.91

        加:2011 年度存款利息收入                                              12,229,757.64

        减:2012 年度募投项目使用募集资金                                      49,184,885.70

        减:2012 年度使用超募资金投入                                          11,358,957.71

        加:2012 年度存款利息收入                                              14,339,495.88

        减:2013 年度募投项目使用募集资金                                      24,798,174.18

        减:2013 年度使用超募资金投入                                          11,246,354.27

        加:2013 年度存款利息收入                                              28,337,343.31

        减:2014 年度募投项目使用募集资金                                      34,770,848.53

        减:2014 年度使用超募资金投入                                          30,692,272.34

        加:2014 年度存款利息收入                                              33,958,732.72

        减:2015 年度募投项目使用募集资金                                      17,460,992.18

        减:2015 年度使用超募资金投入                                          13,015,197.24

        加:2015 年度存款利息收入                                              24,730,158.32

        减:2016 年度募投项目使用募集资金                                        199,782.50

        减:2016 年度使用超募资金投入                                          30,298,617.36

        加:2016 年度存款利息收入                                              15,644,101.42

        加:2016 年度理财收益                                                    1,504,054.79

        加:2016 年度汇兑损益                                                  16,947,295.83

        减:2016 年度手续费                                                        1,358.88

        减:2017 年度使用超募资金投入                                          39,139,115.97

        加:2017 年度存款利息收入                                              33,976,954.13

        加:2017 年度理财收益                                                    3,816,181.77

        加:2017 年度汇兑损益                                                  -19,673,007.33

        减:2017 年度手续费                                                        1,133.66

        减:2018 年度募投项目支出                                                1,570,068.43

        减:补充流动资金                                                      200,000,000.00

        加:2018 年度存款利息收入                                              26,257,986.19

        加:2018 年度理财收益                                                  10,337,628.91

        加:2018 年度汇兑损益                                                  16,621,963.71

        减:2018 年度手续费                                                          360.00

        减:2019 年度募投项目支出                                                3,557,958.65

        减:补充流动资金                                                              0.00

        加:2019 年度存款利息收入                                                9,767,209.10

        加:2019 年度理财收益                                                    5,962,332.22

        加:2019 年度汇兑损益                                                    5,761,284.14

        减:2019 年度手续费                                                          430.00

        减:2020 年度募投项目支出                                                4,428,781.31

        减:补充流动资金                                                              0.00

        加:2020 年度存款利息收入                                                5,549,532.22

        加:2020 年度理财收益                                                    9,935,067.28

        加:2020 年度汇兑损益                                                  -23,249,004.35

        减:2020 年度手续费                                                        4,600.18

        减:2021 年年度募投项目支出                                              3,893,
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