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首页 公告 南极电商:关于公司使用闲置自有资金购买理财产品的进展公告

南极电商:关于公司使用闲置自有资金购买理财产品的进展公告

公告日期:2026-01-06


        证券代码:002127            证券简称:南极电商              公告编号:2026-001

                        南极电商股份有限公司

            关于公司使用闲置自有资金购买理财产品的进展公告

            本公司及董事会全体成员保证信息披露内容的真实、准确、完整,没有

        虚假记载、误导性陈述或重大遗漏。

            南极电商股份有限公司(以下简称“公司”)2024年年度股东大会审议通过了《关于使用

        闲置自有资金购买理财产品的议案》,授权董事长审批使用公司及合并报表范围内下属子公

        司暂时闲置的自有资金用于购买理财产品的额度为250,000万元(人民币);投资类型为安

        全性高、流动性好、保本型或低风险型的理财产品或固定收益类证券(除股票、证券投资基

        金、无担保债券等有价证券及其衍生品),期限不超过12个月,在上述额度及期限范围内可

        循环滚动使用。

            现将公司 2025 年 12 月份使用闲置自有资金购买理财产品的事项公告如下:

            一、使用闲置自有资金购买理财产品的情况

                                                    委托理

序                                        产品              预计年化收                          资金  关联
      受托人名称        产品名称                  财金额                  起始日    到期日

号                                        类型                  益率                            来源  关系
                                                  (万元)

                      利多多公司稳利

    浦发银行静安                      保本浮动                                                  自有

 1                  99JG0679 期人民币              20,000  0.95%-2.05%  2025/12/3    2026/5/29            无
        支行                            收益型                                                  资金

                      对公结构性存款

                      农银理财农银安

    招商银行股份

                    心·灵珑同业存单及  非保本浮                                                  自有

 2  有限公司北京                                  12,000  1.80%-2.10%  2025/12/2    2026/3/5            无
                    存款增强第 327 期理  动收益型                                                  资金

        分行

                          财产品

    杭州银行上海  杭州银行“添利宝”  保本浮动                                                  自有

 3                                                  10,000    0.45%-2.4%  2025/12/3  2025/12/30            无
      临汾路支行      结构性存款产品    收益型                                                  资金

                      单位结构性存款

    南京银行上海                      保本浮动                                                  自有

 4                  2025 年第 53 期53 号              10,000  1.20%-2.30%  2025/12/30  2026/12/28            无
      北外滩支行                        收益型                                                  资金

                          363 天

                      单位结构性存款

    南京银行上海                      保本浮动                                                  自有

 5                  2025 年第 53 期54 号              10,000  1.20%-2.30%  2025/12/30  2026/6/30            无
      北外滩支行                        收益型                                                  资金

                          182 天

    杭州银行上海  杭州银行“添利宝”  保本浮动                                                  自有

 6                                                  6,000    0.65%-2.2%  2025/12/3  2025/12/26            无
      临汾路支行      结构性存款产品    收益型                                                  资金


                                                    委托理

序                                        产品              预计年化收                          资金  关联
      受托人名称        产品名称                  财金额                  起始日    到期日

号                                        类型                  益率                            来源  关系
                                                  (万元)

    华泰证券(上

                    华泰如意宝 31 号集  非保本浮                                                  自有

 7  海)资产管理有                                  5,000    2.25%-3.30%  2025/12/10  2026/6/17            无
                      合资产管理计划    动收益型                                                  资金

        限公司

    杭州银行上海  杭州银行“添利宝”  保本浮动                                                  自有

 8                                                  5,000    0.65%-2.4%  2025/12/1  2025/12/30            无
      临汾路支行      结构性存款产品    收益型                                                  资金

    杭州银行上海  杭州银行“添利宝”  保本浮动                                                  自有

 9                                                  5,000    0.65%-2.4%  2025/12/1  2025/12/30            无
      临汾路支行      结构性存款产品    收益型                                                  资金

    招商银行南西  招银理财日日金 138  非保本浮                                                  自有

10                                                  5,000      1.52%    2025/12/3  2025/12/11            无
        支行              号 C        动收益型                                                  资金

                    对公人民币结构性存

    江苏银行上海                      保本浮动                                                  自有

11                  款 2025 年第 65 期              5,000    1.20%-2.50%  2025/12/8    2026/3/9            无
      虹口支行                          收益型                                                  资金

                        91 天 Y 款

                    对公人民币结构性存

    江苏银行上海                      保本浮动                                                  自有

12                  款 2025 年第 48 期              5,000    1.20%-2.50%  2025/12