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首页 公告 众兴菌业:关于使用部分闲置自有资金进行委托理财的进展公告

众兴菌业:关于使用部分闲置自有资金进行委托理财的进展公告

公告日期:2025-07-17


 证券代码:002772                    证券简称:众兴菌业              公告编号:2025-043

              天水众兴菌业科技股份有限公司

    关于使用部分闲置自有资金进行委托理财的进展公告

    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。

    天水众兴菌业科技股份有限公司(以下简称“公司”)于 2025 年 03 月 21

 日召开第五届董事会第十次会议及第五届监事会第六次会议审议通过了《关于使
 用部分闲置自有资金进行委托理财的议案》,同意公司(包括控股子公司,下同) 在确保不影响正常运营和资金安全的前提下,使用不超过 60,000 万元(含 60,000
 万元,下同)闲置自有资金(含截至董事会召开日未赎回的委托理财产品金额, 下同)进行委托理财,额度使用期限自董事会审议通过之日起 12 个月内。在额
 度和有效期内资金可以滚动使用,期限内任一时点的委托理财金额(含前述投资
 的收益进行再投资的相关金额)不得超过 60,000 万元。公司董事会授权公司经
 营管理层行使投资决策权并签署相关文件。《关于使用部分闲置自有资金进行委

 托理财的公告》(公告编号:2025-016)详见 2025 年 03 月 22 日公司指定信息

 披露媒体《证券时报》、《中国证券报》及巨潮资讯网(http://www.cninfo.com.cn)。
    一、本次委托理财产品赎回情况

                                                                                  单位:万元

 资产管理  产品名称    产品    认购(起  认购    本次赎  实际年化  实际收      赎回情况

 人名称                类型    息)日期  金额    回金额    收益率    益金额

          海 通 期 货  固 定 收                                                  已于 2025 年 07
海 通 期 货  财 富 匠 心  益 类 单  2024 年                                          月 09 日赎回,截
股 份 有 限  100 系 列  一 资 产  12 月 24                                          至 2025 年 07 月
          108号FOF                      3,000    3,000    4.57%    73.96  16 日,相应的本
公司      单 一 资 产  管 理 计  日                                              金 及 收 益 已 到
          管理计划  划                                                        账。


    二、本公告日前十二个月内赎回的委托理财产品情况

                                                                                  单位:万元

      托管人                                                      实际年

序                                        认购(起息)  赎回              实际收

      或管理    产品名称    产品类型                            化收益                  赎回情况

号                                            日期        金额              益金额

      人名称                                                        率

                                                                                        已全部赎回,截至
                                                                                        2024 年 11 月 06 日,
                                                                                        相应的本金及收益
    华 龙 证  华龙证券金

                            固定收益类                                                已到账。具体内容详
    券 股 份  智汇金债 5                2023 年 11 月

 1                          集合资产管                  5,000    3.65%    182.71  见《关于使用部分闲
    有 限 公  号集合资产                1 日

                            理计划                                                    置自有资金进行委
    司        管理计划

                                                                                        托理财的进展公告》
                                                                                        ( 公 告 编 号 :
                                                                                        2024-057)。

                                                                                        已全部赎回,截至
                                                                                        2024 年 10 月 31 日,
                                                                                        相应的本金及收益
    海 通 期  海通期货致

                            固定收益类                                                已到账。具体内容详
    货 股 份  享鸿利 2 号                2024 年 4 月

 2                          单一资产管                  5,000    2.63%      65.27  见《关于使用部分闲
    有 限 公  FOF 单一资                26 日

                            理计划                                                    置自有资金进行委
    司        产管理计划

                                                                                        托理财的进展公告》
                                                                                        ( 公 告 编 号 :
                                                                                        2024-057)。

                                                                                        已全部赎回,截至
                                                                                        2024 年 10 月 30 日,
                                                                                        相应的本金及收益
    太 平 洋  太平洋证券

                                                                                        已到账。具体内容详
    证 券 股  金元宝 11 号                2024 年 5 月

 3                          固定收益类                    5,000    8.47%    176.36  见《关于使用部分闲
    份 有 限  集合资产管                27 日

                                                                                        置自有资金进行委
    公司      理计划

                                                                                        托理财的进展公告》
                                                                                        ( 公 告 编 号 :
                                                                                        2024-057)。

                                                                                        已全部赎回,截至