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首页 公告 安妮股份:关于使用部分闲置募集资金购买结构性存款到期赎回及继续购买的公告

安妮股份:关于使用部分闲置募集资金购买结构性存款到期赎回及继续购买的公告

公告日期:2021-01-04

安妮股份:关于使用部分闲置募集资金购买结构性存款到期赎回及继续购买的公告 PDF查看PDF原文

证券代码:002235        证券简称:安妮股份        公告编号:2020-067

              厦门安妮股份有限公司

 关于使用部分闲置募集资金购买结构性存款到期赎回及继

                  续购买的公告

    本公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有虚
假记载、误导性陈述或重大遗漏。

  厦门安妮股份有限公司(以下简称“公司”)第五届董事会第三次会议审议
通过了《关于公司使用部分闲置募集资金进行现金管理的议案》,同意公司使用
不超过 65,000 万元闲置募集资金进行现金管理。在上述额度内,资金可以在一
年内进行滚动使用。上述议案经公司 2020 年度第二次临时股东大会审议批准。

  一、暂时使用募集资金购买结构性存款到期赎回的情况

                                                            金额                                        投资收
                                                                                                  是否

序号    银行    资金来源      产品名称        类型                  开始日      到期日              益(万
                                                          (万元)                              赎回

                                                                                                          元)

      招商银    闲置募集      结构性存款      结构性

 1                                                                                                是      48.13
        行        资金        CXM00400        存款    3,000.00    2019/10/24  2020/4/24

                              公司结构性存款

                  闲置募集      产品(挂钩      结构性

 2                                                                                                是    408.89
      厦门国      资金    SHIBOR A 款)2019    存款    20,000.00

      际银行                  第 4531 期                            2019/12/11  2020/6/12

      厦门银    闲置募集      结构性存款      结构性

 3                                                                                                是    258.56
        行        资金        -CK1904537      存款    13,000.00  2019/12/26  2020/6/22

                              公司结构性存款

                  闲置募集      产品(挂钩      结构性

 4                                                                                                是    405.56
      厦门国      资金    SHIBOR A 款)2019    存款    10,000.00

      际银行                  第 4574 期                            2019/12/18  2020/12/17

      厦门银    闲置募集      结构性存款      结构性

 5                                                                                                是    400.49
        行        资金        -CK1904538      存款    10,000.00  2019/12/26  2020/12/25

      厦门银    闲置募集      结构性存款      结构性

 6                                                                                                是      24.27
        行        资金        -CK1904642      存款    2,400.00    2019/12/27  2020/3/27

      厦门国    闲置募集    公司结构性存款    结构性

 7                                                                                                是      20.23
      际银行      资金    产品2020第6688    存款    2,400.00    2020/3/30    2020/6/20


                                  期

                            公司结构性存款

                闲置募集                      结构性

 8    厦门国              产品2020第7186                                                      是      17.88
                  资金                        存款    3,000.00

      际银行                      期                                2020/4/26    2020/6/23

                            公司结构性存款

                闲置募集        产品        结构性

 9                                                                                                是    360.92
      厦门国      资金      2020078950616    存款    20,000.00

      际银行                      期                                2020/6/17  2020/12/17

                            公司结构性存款

                闲置募集                      结构性

 10    厦门国                产品 202008150                                                      是      21.31
                  资金                        存款    2,400.00

      际银行                      期                                2020/6/23    2020/9/25

                            公司结构性存款

                闲置募集                      结构性

 11    厦门国                产品 202008151                                                      是      26.63
                  资金                        存款    3,000.00

      际银行                      期                                2020/6/24    2020/9/26

      厦门银    闲置募集      结构性存款      结构性

 12                                                                                                是    106.31
        行        资金        -CK2004149      存款    13,000.00    2020/6/24    2020/9/24

      厦门银    闲置募集      结构性存款      结构性

 13                                                                                                是      65.87
        行        资金        -CK2004606      存款    13,000.00    2020/9/29  2020/11/25

                            公司结构性存款

                闲置募集        产品        结构性

 14                                                                                                是      39.60
      厦门国      资金      2020501320928    存款    5,400.00

      际银行                      期                                2020/9/29  2020/12/18

  二、购买理财产品的主要情况:

                                                              金额                              预计年化收益
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