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首页 公告 688179:大华会计师事务所(特殊普通合伙)关于上海阿拉丁生化科技股份有限公司前次募集资金使用进度的专项报告

688179:大华会计师事务所(特殊普通合伙)关于上海阿拉丁生化科技股份有限公司前次募集资金使用进度的专项报告

公告日期:2021-12-07

688179:大华会计师事务所(特殊普通合伙)关于上海阿拉丁生化科技股份有限公司前次募集资金使用进度的专项报告 PDF查看PDF原文
 关于上海阿拉丁生化科技股份有限公司

    前次募集资金使用进度的专项报告

                大华核字[2021]0012779 号

 大 华 会 计 师 事 务 所 (特 殊 普 通 合 伙 )

DaHuaCertifiedPublicAccountants(SpecialGeneralPartnership)


        关于上海阿拉丁生化科技股份有限公司

          前次募集资金使用进度的专项报告

                        目  录                      页  次
一、  关于上海阿拉丁生化科技股份有限公司前次        1-5
      募集资金使用进度的专项报告


                                                            大华核字[2021]0012779 号专项报告

 关 于 上 海 阿 拉 丁 生 化 科 技 股 份 有 限 公 司
  前 次 募 集 资 金 使 用 进 度 的 专 项 报 告

                                                        大华核字[2021]0012779 号
上海证券交易所:

    我们已对上海阿拉丁生化科技股份有限公司(以下简称阿拉丁公司或公司)前次募集资金的使用进度进行了专项核查,现汇报如下。
    一、前次募集资金的最新使用进度

    (一)截至 2021 年 12 月 4 日,前次募集资金使用和结余情况如
下:

                                        金额单位:人民币元

                            项目                                          金额

  募集资金总额                                                                490,284,962.00

  减:承销费及保荐费                                                            39,222,796.96

  募集资金专项账户到位金额                                                    451,062,165.04

  减:支付其他发行费用                                                          12,743,382.04

  减:募集资金置换先期投入募投项目及已支付发行费用的自筹资金                    13,775,826.68

  减:募集资金到位后募投项目使用募集资金总额                                  190,588,916.15

  加:累计利息收入和投资收益(减手续费)                                        8,743,679.44

  减:用于现金管理的期末余额                                                    20,000,000.00

  募集资金专项账户期末余额                                                    222,697,719.61

    截至 2021 年 12 月 4 日,募集资金余额为 24,269.77 万元(包括
累计收到的银行存款利息收入及理财收益净额扣除银行手续费等的净额 874.37 万元),其中,募集资金专户余额 22,269.77 万元,购买
的 7 天通知存款余额 2, 000. 00 万元。


                                                                                                                  大华核字[2021]0012779 号专项报告

    (二)前次募集资金的最新使用情况

    截至 2021 年 12 月 4 日,公司前次募集资金的使用情况如下表所示:

                                                                                                      单位:元

募集资金总额:434,430,143.22                                                    已累计投入募集资金总额:200,476,103.46

变更用途的募集资金总额:-                                                      各年度募集资金使用总额:

变更用途的募集资金占总额比例:-                                                2020 年:14,296,486.13

                                                                              2021 年 1 月 1 日至 2021 年 12 月 4 日:186,179,617.33

募投项目                          募集资金投资总额                            截止日募集资金累计投资额                          本          项目

                                                                                                                        项目达  年          可行
                        已变更                                                                                截至    到预定  度  是否  性是
                        项目,含                              截至期末承诺                  截至期末累计投  期末            实  达到

                                  募集资金承诺  调整后投资                  截至期末累计投  入金额与承诺投  投入    可使用  现  预计  否发
承诺投资项目            部分变    投资总额        总额        投入金额      入金额(2)    入金额的差额    进度    状态日                生重
                          更                                      (1)                                                  期    的  效益  大变
                        (如有)                                                              (3)=(2)-(1)      (4)=            效          化
                                                                                                                (2)/(1)            益

高纯度科研试剂研发中心    无    147,653,100.00  147,653,100.00  147,653,100.00    66,500,048.48    -81,153,051.52  45.04% 2023 年 不适  不适用  否
                                                                                                                        10 月  用

云电商平台及营销服务中    无    105,779,300.00  105,779,300.00  105,779,300.00    20,845,311.44    -84,933,988.56  19.71% 2023 年 不适  不适用  否
心建设项目                                                                                                              10 月  用

补充营运资金              无    180,000,000.00  180,000,000.00  180,000,000.00  113,130,743.54    -66,869,256.46  62.85% 不适用  不适  不适用  否
                                                                                                                                用

        合计                    433,432,400.00  433,432,400.00  433,432,400.00  200,476,103.46  -232,956,296.54      - -      -        -      -

                                                                                                                                      超募资金投向

补充流动资金                                                                                                                              299,300.00

尚未明确投资方向                                                                                                                          698,443.22

超募资金合计                                                                                                                              997,743.22
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