上市及非上市股权与基金投资

港股IPO招股书披露先例 · 39 家公司,39 项

上市及非上市股权与基金投资,指公司持有的按公允价值计量的上市证券、非上市股权及理财产品、基金等投资组合及其估值。招股书一般在概要、风险因素、业务及财务资料章节披露该等投资的构成、各期末金额及公允价值变动对损益或其他收入的影响,并说明相关波动成因;申请人常披露已制定内部投资政策与分级审批机制、限定低风险短期产品、聘请独立估值师复核估值,或说明上市后将遵守相关监管规定。

2026-09-21Prospectus
彤程新材料集团股份有限公司Red Avenue New Materials Group Co., Ltd.09607.HK

按公允价值计量的金融资产投资

For FY2023, FY2024, FY2025 and 6M2026, we registered a fair value gain of approximately RMB12.1 million, gain of RMB1.8 million, loss of RMB6.0 million and loss of RMB12.4 million on financial assets at fair value through profit or loss, respectively.

Financial Information · 第 211 页

As stipulated in our Policy on Management of External Investments (對外投資管理制度), external investments, including investments in financial assets at fair value through profit or loss, shall only be made if they are in line with our long-term development plan and strategy, favourable to expansion of our principal business, conducive to our sustainable development, with real prospects of generating returns and capable of improving our overall economic interests.

Financial Information · 第 234 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-09-21Prospectus
深圳市景旺电子股份有限公司Shenzhen Kinwong Electronic Co., Ltd.03228.HK

按公允值计量的金融资产及公允值收益波动较大

The wealth management products were mandatorily classified as financial assets at fair value through profit or loss as their contractual cash flows are not solely payments of principal and interest.

Financial Information · 第 231 页

Our investments in wealth management products will be subject to, and are expected to comply with, the Chapter 14 of the Listing Rules after the Listing.

Financial Information · 第 231 页

Our financial assets at fair value through profit or loss further decreased by RMB99.6 million, or 44.8%, to RMB122.6 million as of April 30, 2026, primarily due to the decrease in listed equity investments at fair value from RMB182.2 million as of December 31, 2025 to RMB82.6 million as of April 30, 2026.

Financial Information · 第 231 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-09-18Application Proof
浙江京新药业股份有限公司Zhejiang Jingxin Pharmaceutical Co., Ltd.

大额金融资产公允价值波动

We recorded financial assets at FVTPL of RMB700.7 million, RMB1,322.2 million, RMB822.1 million and RMB1,115.7 million as of December 31, 2023 and 2024 and 2025 and the six months ended June 30, 2026.

Financial Information · 第 231 页

We recorded net other losses of RMB26.9 million in 2024 and net other gains of RMB18.1 million in 2025, primarily due to a change in fair value changes on financial assets at fair value through profit or loss from a loss of RMB42.4 million to a gain of RMB9.5 million, mainly attributable to the change in the fair value of our unlisted investee companies.

Financial Information · 第 221 页

Our investment policies for financial assets at FVTPL aims to preserve capital, maintain adequate liquidity and generate reasonable returns while managing investment risks, while our strategic equity investments target opportunities in cardiovascular and cerebrovascular diseases and CNS disorders that may support our R&D and market expansion.

Financial Information · 第 232 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-08-31Prospectus
深圳市江波龙电子股份有限公司Shenzhen Longsys Electronics Co., Ltd.09976.HK

按公允价值计量的金融资产逾10亿元

We had financial assets at fair value through profit or loss (including both current and non-current portions) of RMB393.9 million, RMB899.7 million, RMB950.1 million and RMB1,068.1 million as of December 31, 2023, 2024, 2025 and April 30, 2026, respectively, consisting of current portion of nil, RMB179.6 million, RMB38.5 million and RMB2.8 million as of the same respective dates and non-current portion of RMB393.9 million, RMB720.1 million, RMB911.5 million and RMB1,065.3 million as of the same respective dates.

Financial Information · 第 258 页

We follow a prudent investment approach for wealth management products, focusing on capital preservation and stable returns.

Financial Information · 第 259 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-08-28Application Proof
浙江正泰电器股份有限公司Zhejiang Chint Electrics Co., Ltd.

FVTPL金融工具公允价值收益波动

For the six months ended June 30, 2026, gains on financial instruments at FVTPL primarily comprised disposal gains of RMB359.3 million and fair value gains of RMB158.4 million arising from Level 1 financial instruments measured at FVTPL.

Financial Information · 第 171 页

(1) an increase in gains on financial instruments at FVTPL from RMB12.5 million to RMB517.7 million, mainly reflecting changes in the fair value of our listed equity investments and (2) a decrease in asset impairment provision from RMB85.4 million to RMB6.4 million.

Financial Information · 第 177 页

(2) higher gains on financial instruments at FVTPL from RMB200.8 million in 2024 to RMB344.0 million in 2025, primarily reflecting changes in the fair value of derivative financial instruments, and (3) a decrease in asset impairment provision from RMB230.4 million in 2024 to RMB129.1 million in 2025.

Financial Information · 第 180 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-07-30Application Proof
袁记食品集团股份有限公司YUEN KEE FOOD GROUP CO., LTD.

理财及非上市投资按公允价值计量

Our financial investments at fair value through profit or loss (non-current) increased by 51.4% from RMB33.3 million as of December 31, 2024 to RMB50.4 million as of December 31, 2025 and further by 47.0% to RMB74.1 million as of May 31, 2026, primarily because of the increase in the fair value of our investments.

Financial Information · 第 212 页

We had a balance of RMB400.3 million of financial investments at fair value through profit or loss (current), representing wealth management products we purchased in 2026 and were holding as of the date indicated.

Financial Information · 第 218 页

Specifically, we are only allowed by our internal policies and guidelines to invest in structured deposits or certificates of deposit that carry low risk labels, with a term of no more than three months.

Financial Information · 第 214 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-07-22Prospectus
中际旭创股份有限公司ZHONGJI INNOLIGHT CO., LTD.03308.HK

持有逾8亿元按公允价值计量的投资

Our financial assets at fair value through profit or loss increased from RMB784.3 million as of December 31, 2023 to RMB1,033.0 million as of December 31, 2024, primarily attributable to (i) an increase in investment in private equity funds of RMB178.8 million and

Financial Information · 第 256 页

We adopt a prudent investment policy with capital preservation and liquidity as our primary objectives, and only invest in wealth management products with high safety, strong liquidity, controllable risks and principal protection features.

Financial Information · 第 256 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-06-29Application Proof
北京盛景网联科技服务股份有限公司Beijing Shengjing Wanglian Science and Technology Service Co., Ltd.

按公允价值计量的金融资产估值依赖不可观察输入值

The valuation of our funds and portfolio companies involves exercise of professional judgement and the use of certain bases, assumptions and unobservable inputs.

Financial Information · 第 205 页

Changes in these unobservable inputs caused by the capital market conditions and trends will affect the estimated fair value of our financial assets at fair value through profit or loss, which leads to uncertainty in our financial results.

Financial Information · 第 205 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-06-15Prospectus
上海仙工智能科技股份有限公司Shanghai Seer Intelligent Technology Co., Ltd.06106.HK

按公允价值计量的金融资产投资

As of December 31, 2023, 2024 and 2025, we recorded financial assets at fair value through profit or loss of nil, RMB2.1 million and RMB18.0 million, respectively.

Financial Information · 第 236 页

We have adopted written policies and internal control procedures governing our wealth management product investments.

Financial Information · 第 236 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-06-12Application Proof
宁波三星医疗电气股份有限公司NINGBO SANXING MEDICAL ELECTRIC CO., LTD.

按公允价值计量的金融资产规模大且波动

Our non-current financial assets at FVTPL amounted to RMB952.1 million, RMB756.4 million and RMB939.1 million as of December 31, 2023, 2024 and 2025, respectively.

Financial Information · 第 215 页

The decrease from 2023 to 2024 was primarily due to negative fair value changes in our unlisted equity investment portfolio, which subsequently recovered in 2025.

Financial Information · 第 215 页

Our current financial assets at FVTPL amounted to RMB53.7 million, RMB829.6 million and RMB564.2 million as of December 31, 2023, 2024 and 2025, respectively, with the fluctuation primarily reflecting changes in our purchases and redemptions of bank wealth management products for short-term cash management purposes.

Financial Information · 第 215 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-05-22Application Proof
普祥健康控股有限公司Puxiang Healthcare Holding Limited

结构性存款及非上市股权投资

Our financial assets measured at fair value through profit or loss increased from RMB2.5 million as of December 31, 2023 to RMB3.5 million as of December 31, 2024, and further increased to RMB9.5 million as of December 31, 2025, as we acquired additional unlisted equity securities.

Financial Information · 第 239 页

We primarily invest in structured deposits with maturities generally ranging from one to three months.

Financial Information · 第 239 页

For strategic equity investments, we require a rigorous and comprehensive due diligence process conducted by our dedicated investment department, and such investments must be approved by our investment committee before execution.

Financial Information · 第 239 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-05-15Application Proof
深圳市爱德泰科技股份有限公司Shenzhen ADTEK Technology Co., Ltd.

持有按公允价值计量的金融资产及基金产品

Our financial assets measured at fair value through profit or loss amounted to RMB16.5 million, RMB89.6 million and RMB48.5 million as of December 31, 2023, 2024 and 2025, respectively. Such financial assets primarily consisted of financial assets measured at fair value through profit and loss and fund products.

Financial Information · 第 180 页

The increase in 2024 was mainly attributable to the Company’s deployment of fund products held in Hong Kong, resulting in a marked increase in the balance of financial assets measured at fair value through profit and loss.

Financial Information · 第 181 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-05-11Application Proof
深圳迈瑞生物医疗电子股份有限公司Shenzhen Mindray Bio-Medical Electronics Co., Ltd.

持有按公允价值计量的理财及股权投资

Our financial assets at fair value through profit or loss then decreased to nil as of December 31, 2024, as a result of our disposal of the equity investments.

Financial Information · 第 251 页

We recorded financial assets at fair value through profit or loss of RMB250.5 million as of December 31, 2025, primarily associated with our investment in certain wealth management products.

Financial Information · 第 251 页

We have adopted comprehensive investment policies and procedures.

Financial Information · 第 251 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-04-27Application Proof
广州若羽臣科技股份有限公司Guangzhou Ruoyuchen Technology Co., Ltd.

按公允价值计量的股权投资及投资政策

Our other financial assets at fair value through profit or loss decreased from RMB39.4 million as of December 31, 2023 to RMB31.0 million as of December 31, 2024, and further to RMB28.4 million as of December 31, 2025, primarily due to (i) the disposal of certain investments in unlisted equity instrument, and (ii) the fair value losses arisen from such investments.

Financial Information · 第 202 页

The fluctuation was primarily due to the fair value losses on financial instruments in 2024, which mainly resulted from fair value losses from an investee ceasing operations by the end of 2024.

Financial Information · 第 200 页

Pursuant to our internal Investment Management Policy (《投資管理規定》), any financial asset investment is subject to feasibility analysis and risk assessment conducted by the business department together with the Board Office and the Finance Department.

Financial Information · 第 202 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2025-12-31Prospectus
豪威集成电路(集团)股份有限公司OmniVision Integrated Circuits Group, Inc.00501.HK

大额按公允价值计量的金融资产投资

Our financial assets at FVPL mainly represent our investments in equity instruments.

Financial Information · 第 328 页

To monitor and control the investment risks in our financial assets at fair value through profit or loss, we have adopted a structured internal review mechanism to manage our investment and the Board or personnel designated by the Board closely supervise our decision process.

Financial Information · 第 328 页

Our investment strategy related to financial assets at fair value through profit or loss focuses on managing the financial risks by reasonably and conservatively matching the estimated return on assets to anticipated our operating cash needs, while generating desirable investment returns for the benefits of our shareholders.

Financial Information · 第 328 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2025-12-30Prospectus
北京智谱华章科技股份有限公司Knowledge Atlas Technology Joint Stock Company Limited02513.HK

理财产品及未上市股权投资公允值变动

During the Track Record Period, our changes in fair value of financial instruments measured at FVPL represented changes in fair value of (i) our equity investment of certain unlisted entities; and (ii) our investments of wealth management products. We recognized changes in fair value of financial instruments measured at FVPL of RMB6.0 million, RMB26.0 million, RMB66.3 million, RMB7.0 million and RMB9.8 million in 2022, 2023 and 2024, and for the six months ended June 30, 2024 and 2025, respectively.

Financial Information · 第 260 页

Changes in fair value of financial instruments measured at FVPL significantly increased from RMB26.0 million in 2023 to RMB66.3 million in 2024, primarily due to the increase in the fair value of some investee companies and our procurement of wealth management products.

Financial Information · 第 265 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2025-12-30Prospectus
上海天数智芯半导体股份有限公司Shanghai Iluvatar CoreX Semiconductor Co., Ltd.09903.HK

理财产品及未上市股权投资按公允价值计量

As part of our cash management policy, we purchase wealth management products to better utilize our idle cash without interfering with our business operations or capital expenditures.

Financial Information · 第 310 页

We have formulated policies setting out the approval process for the purchase of funds and wealth management products, and the responsible person/department for the enforcement of the policies.

Financial Information · 第 310 页

An increase/decrease of 1% in net asset value would result in a corresponding increase/decrease in the fair value of the investments by RMB0.4 million, RMB0.9 million, RMB1.0 million and RMB0.1 million as of December 31, 2022, 2023 and 2024 and June 30, 2025, respectively.

Financial Information · 第 310 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2025-12-09Prospectus

按公平值计量的投资及现金管理政策

Our financial assets at fair value through profit or loss including current and non-current components, represent our investment in funds and a U.S. licensed digital asset company.

Financial Information · 第 446 页

Our non-current financial assets at fair value through profit or loss decreased from HK$447.6 million as of December 31, 2023 to HK$388.4 million as of December 31, 2024, attributed to the decrease of unlisted investment — common share from HK$447.6 million as of December 31, 2023 to HK$388.4 million as of December 31, 2024, mainly due to the fair value change driven by the portfolio's subsequent financing activities.

Financial Information · 第 447 页

No more than 50% of the portfolio may be invested in any single instrument type in general, excluding government securities and bank deposits.

Financial Information · 第 448 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2025-12-03Prospectus
京东工业股份有限公司JINGDONG Industrials, Inc.07618.HK

非上市实体股权投资的公允价值亏损

Our fair value losses on equity investments in unlisted entities were RMB46.1 million, RMB78.4 million, RMB159.3 million, RMB134.8 million and RMB26.2 million in 2022, 2023 and 2024 and in the six months ended June 30, 2024 and 2025, respectively.

Financial Information · 第 321 页

We invested in these unlisted companies that are complementary to our existing business in order to enhance our competitive position and improve our long-term profitability.

Financial Information · 第 338 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2025-10-28Prospectus
小马智行Pony AI Inc.02026.HK

权益证券投资公允价值变动影响其他收支

We recorded other expense — net, of US$15.5 million in 2024, as compared to other income — net of US$1.4 million in 2023, primarily attributable to fair value changes of our equity securities investments.

Financial Information · 第 512 页

We recorded other expense — net, of US$2.0 million for the six months ended June 30, 2025, as compared to other income — net of US$3.0 million for the six months ended June 30, 2024, primarily attributable to fair value changes of our equity securities investments and foreign exchange gains (losses).

Financial Information · 第 512 页

Accordingly, the reconciliation includes an expense recognition difference in the consolidated statements of profit or loss and other comprehensive income of US$3.2 million, US$8.1 million, US$16.1 million, US$5.2 million and US$13.8 million for the years ended December 31, 2022, 2023 and 2024 and the six months ended June 30, 2024 and 2025, respectively.

Financial Information · 第 551 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看

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