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首页 公告 科思股份:关于使用闲置募集资金和闲置自有资金进行现金管理的进展公告

科思股份:关于使用闲置募集资金和闲置自有资金进行现金管理的进展公告

公告日期:2025-02-18


      证券代码:300856  证券简称:科思股份  公告编号:2025-002

      债券代码:123192  债券简称:科思转债

                南京科思化学股份有限公司

          关于使用闲置募集资金和闲置自有资金

                进行现金管理的进展公告

          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。

          南京科思化学股份有限公司(以下简称“公司”或“科思股份”)

      于 2024 年 4 月 16 日召开第三届董事会第十八次会议和第三届监事

      会第十五次会议,审议通过了《关于使用闲置募集资金和闲置自有资

      金进行现金管理的议案》,同意公司及子公司在确保不影响正常运营

      和募集资金投资项目推进的情况下,使用总额度不超过 20,000 万元

      人民币的闲置募集资金和不超过 70,000 万元人民币的闲置自有资金

      进行现金管理,用于购买安全性高、流动性好、期限不超过 12 个月

      的理财产品,现金管理期限自董事会审议通过之日起不超过 12 个月。

      在前述额度内,资金可以循环滚动使用。

          近期,公司使用闲置募集资金和闲置自有资金购买了银行理财产

      品,现就相关事宜公告如下:

          一、理财产品基本情况

购                                                                                资
买  受托  产品名称  产品  购买金额    起息日    到期日    预期年化收益率  金
主  方                类型  (万元)                                            来
体                                                                                源

公 宁 波 宁 波 银 行 结 构    5,000    2024.12.17 2025.3.13    1.00%-2.50%    闲
司 银 行 2024 年单位 性 存                                                      置

股 份 结构性存款 款                                                        自
有 限 7202404737                                                              有
公 司                                                                          资
南 京                                                                          金

江 宁                                                                          闲
科 学 宁 波 银 行 结 构                                                      置
园 支 2024 年单位 性 存    2,000    2024.12.24 2025.3.24    1.00%-2.50%    自
行    结构性存款 款                                                        有
      7202404844                                                              资
                                                                              金

      平安银行对

      公结构性存                                                            闲
      款(100%保本 结 构                                                      置
      挂钩黄金) 性 存    2,000    2024.12.17 2025.3.17  0.65%或 2.05%或  自
      2024    年 款                                            2.15%      有
      TGG24202194                                                            资
      期人民币产                                                            金
      品

平 安 平安银行对

银 行 公结构性存                                                            闲
股 份 款(100%保本 结 构                                                      置
有 限 挂钩黄金) 性 存    2,000    2024.12.31  2025.4.1  0.65%或 2.05%或  自
公 司 2024    年 款                                            2.15%      有
南 京 TGG24202282                                                            资
分行  期人民币产                                                            金
      品

      平安银行对

      公结构性存                                                            闲
      款(100%保本 结 构                                                      置
      挂钩黄金) 性 存    3,000    2025.1.24  2025.4.24  1.30%或 1.90%或  自
      2025    年 款                                            2.00%      有
      TGG25100266                                                            资
      期人民币产                                                            金
      品

      2024 年挂钩                                                            闲
中 国 汇率对公结 结 构                                                      置
光 大 构性存款定 性 存    2,000    2024.12.23 2025.3.23 1.30%/2.20%/2.30% 自
银 行 制第十二期 款                                                        有
股 份 产品 422                                                                资
有 限                                                                          金

公 司 2024 年挂钩 结 构                                                      闲
南 京 汇率对公结 性 存    2,000    2024.12.30 2025.3.30 1.30%/2.25%/2.35% 置
分行  构性存款定 款                                                        自
      制第十二期                                                            有

          产品 601                                                                资
                                                                                  金

          2025 年挂钩                                                            闲
          汇率对公结 结 构                                                      置
          构性存款定 性 存    3,000    2025.1.9  2025.4.9  1.30%/2.19%/2.29% 自
          制第一期产 款                                                        有
          品 296                                                                  资
                                                                                  金

                                                                                  闲
  宁 波 宁 波 银 行 结 构                                                      置
  银 行 2024 年单位 性 存    3,000    2024.12.24 2025.3.24    1.00%-2.50%    募
  股 份 结构性存款 款                                                        集
  有 限 7202404844                                                              资
安 公 司