理财产品及结构性存款

港股IPO招股书披露先例 · 231 家公司,231 项

此类事项指以公允价值计量且其变动计入损益的银行理财产品、结构性存款及类似现金管理工具投资。招股书通常于概要、业务、财务资料及风险因素章节披露相关结余、各期间波动、公允价值变动收益及计量层次,并将增减归因于现金状况或融资所得变化;申请人一般说明仅以闲置自有资金投资低风险短期产品,并披露内部投资政策、审批授权及监控汇报机制作为解释或整改安排。

2026-07-30Prospectus
拿森智能科技(浙江)股份有限公司NASN Intelligent Tech (Zhejiang) Co., Ltd.02261.HK

按公平值计量的结构性存款投资及其政策

Our financial investments at fair value through profit or loss increased from RMB170.5 million as of December 31, 2023 to RMB394.6 million as of December 31, 2024, primarily due to purchase of additional structured deposits.

Financial Information · 第 242 页

To monitor and control investment risks associated with our financial product portfolio, we have adopted a comprehensive investment policy and internal control procedures. We apply a low-risk strategy that ensures compliance with applicable laws, regulations, and our Articles of Association.

Financial Information · 第 242 页

After the Listing, our investments in financial assets will be subject to compliance with Chapter 14 of the Listing Rules.

Financial Information · 第 242 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
卡奥斯物联科技股份有限公司COSMOPlat IoT Technology Co., Ltd.

按公允价值计量的结构性存款及非上市股权投资

Our current portion of financial assets at fair value through profit or loss represents (i) structured deposits with low risks and (ii) investment in unlisted equity expected to be recovered within one year, primarily to generate additional returns on cash reserves, while ensuring liquidity and capital preservation.

Financial Information · 第 246 页

Our current portion of financial assets at fair value through profit or loss increased significantly from RMB126.1 million as of December 31, 2024 to RMB370.6 million as of December 31, 2025, primarily due to an increase in our investments in short-term structured deposits.

Financial Information · 第 246 页

We primarily invest in financial products issued by major commercial banks in Chinese Mainland with low risks and a short-to-mid-term.

Financial Information · 第 246 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-07-28Application Proof
聚辰半导体股份有限公司Giantec Semiconductor Corporation

持有逾7.6亿元按公允价值计量的金融资产

Our financial assets at fair value through profit or loss mainly represent our investments in the structured deposits, listed securities and private equity fund.

Financial Information · 第 227 页

Our financial assets at fair value through profit or loss increased from RMB750.5 million as of December 31, 2023 to RMB923.0 million as of December 31, 2024, primarily attributable to an increase in acquisition of structured deposits in 2024.

Financial Information · 第 227 页

The Group will comply with Chapter 14 of the Rules when making such investments after the [REDACTED].

Financial Information · 第 228 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-07-28Application Proof
宁波德业科技股份有限公司Ningbo Deye Technology Corporation

大额理财产品及衍生工具公允价值变动

Our financial assets at fair value through profit or loss primarily represent wealth management products and derivative financial instruments.

Financial Information · 第 214 页

Our financial assets at fair value through profit or loss increased from RMB1,854.8 million as of December 31, 2023 to RMB3,077.7 million as of December 31, 2024, mainly due to our strategic use of idle funds to purchase wealth management products for improved asset management and the increase of our derivative financial instruments to mitigate the risk caused by foreign exchange rate fluctuations.

Financial Information · 第 214 页

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

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
2026-07-24Application Proof
北京普祺医药科技股份有限公司PrimeGenX Therapeutics Co., Ltd.

结构性存款及存单等金融资产投资

Our financial assets measured at fair value through profit or loss represent structured deposits purchased from banks in the PRC with variable interest that we purchased as part of our cash management efforts.

Financial Information · 第 248 页

Our financial assets measured at fair value through profit or loss decreased from RMB50.2 million as of December 31, 2024 to nil as of December 31, 2025 due to the maturity and redemption of such financial products.

Financial Information · 第 248 页

Such assets increased to RMB43.1 million as of April 30, 2026 as a result of our purchase of structured deposits with cash on hand during the four months ended April 30, 2026.

Financial Information · 第 248 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-07-24Application Proof
广州新济医药股份有限公司Guangzhou Novaken Pharm Co., Ltd.

持有结构性存款,2026年5月末约820万元

Our financial assets at fair value through profit or loss represent structured deposit products issued by a commercial bank in the PRC.

Financial Information · 第 254 页

Our financial assets at fair value through profit or loss increased from nil as at December 31, 2024 to approximately RMB1.4 million as at December 31, 2025 and further increased to approximately RMB8.2 million as a May 31, 2026, primarily due to subscription of new structured deposit products.

Financial Information · 第 254 页

The scope of these investments are strictly limited to short-to-medium term, highly secured, liquid and low risk products issued by licensed financial institutions in the PRC, including but not limited to structured deposits, money market funds, treasury bonds, and investment in derivatives products is prohibited.

Financial Information · 第 254 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-07-22Application Proof
臻驱科技(上海)股份有限公司Leadrive Technology (SHANGHAI) Co., Ltd.

理财产品及股权投资按公允价值计量及其政策

Our current financial assets at fair value through profit or loss decreased significantly from RMB180.9 million as of December 31, 2023 to nil as of December 31, 2024, primarily due to the maturity of wealth management products.

Financial Information · 第 226 页

We have established internal policies on the purchase and management of wealth management products.

Financial Information · 第 226 页

Our non-current financial assets at fair value through profit or loss increased significantly from RMB6.7 million as of December 31, 2023 to RMB14.8 million as of December 31, 2024, and then increased by 38.2% to RMB20.5 million as of December 31, 2025, primarily due to the fair value appreciation of our equity investments, resulted from subsequent financing rounds of the investees at higher valuation levels.

Financial Information · 第 226 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-07-20Application Proof
广东拓斯达科技股份有限公司Guangdong Topstar Technology Co., Ltd.

结构性存款及理财产品按公允价值计量

Our current portion of financial assets at fair value through profit or loss primarily consists of other financial instruments at fair value, including structured deposits and wealth management products.

Financial Information · 第 197 页

Our investment policy is to invest in low-risk, principal-protected and highly liquid wealth management products, including structured deposits, agreement deposits, large-denomination certificates of deposit and bank wealth management products, with the goal to enhancing returns on our temporarily idle funds while preserving capital.

Financial Information · 第 198 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-07-14Application Proof
深圳市威兆半导体股份有限公司Shenzhen Vergiga Semiconductor Co., Ltd.

闲置资金投资保本理财及结构性存款

We invest idle funds in low-risk and principal-protected wealth management products, primarily structured deposits issued by reputable banks, to enhance the efficiency of cash utilization and increase investment returns without affecting our working capital requirements and business operations.

Financial Information · 第 202 页

The maximum investment amount and types of permitted financial products are approved at shareholders' meetings, with investments limited to financial products characterized by relatively high capital security and liquidity, such as structured bank deposits issued by large, reputable commercial banks and other established financial institutions.

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
2026-07-08Application Proof

以公允价值计量的银行理财产品投资

Our financial assets measured at fair value through profit or loss represent wealth management products issued by banks, which primarily consisted of structured deposits.

Financial Information · 第 161 页

Our financial assets measured at fair value through profit or loss increased from RMB41.4 million as of December 31, 2024 to RMB120.5 million as of December 31, 2025, primarily due to subscription of additional wealth management products as part of our cash management.

Financial Information · 第 161 页

We have established investment policies and strategies with respect to financial products, to manage risks and safeguard assets.

Financial Information · 第 161 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-07-07Application Proof
广州视源电子科技股份有限公司Guangzhou Shiyuan Electronic Technology Company Limited

金融产品投资及结构性存款公允价值变动

We make investment decisions primarily based on our estimated capital requirements and annual budgets and take into account the duration, expected returns and risks of financial products;

Business · 第 163 页

Our audit department closely monitors our investments in financial products and reports to our management when any unusual circumstances or material adverse changes regarding the expected returns and principal of our wealth management products occurs.

Business · 第 164 页

Our net gains increased by 18.4% from RMB10.2 million in the three months ended March 31, 2025 to RMB12.1 million in the three months ended March 31, 2026, primarily due to (i) an increase of RMB14.4 million in change in fair value of structured deposits, (ii) an increase of RMB9.5 million in change in fair value of unlisted equity interest and (iii) an increase of RMB5.8 million of net foreign exchange gain, partially offset by (i) loss on deemed disposal of an associate of RMB14.8 million and (ii) a decrease of RMB12.9 million in change in fair value of derivative financial instruments.

Financial Information · 第 183 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-07-05Application Proof
新思考电机股份有限公司New Shicoh Motor Co., Ltd.

以结构性存款为主的金融资产投资

Our financial assets at fair value through profit or loss recorded nil as of December 31, 2023, RMB20.0 million as of December 31, 2024, nil as of December 31, 2025, primarily due to our purchase of structured deposits in 2024, which matured and were fully redeemed in 2025.

Financial Information · 第 254 页

We obtain annual authorisation from the Board for the purchase of structured deposits.

Financial Information · 第 255 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-06-30Prospectus
合肥晶合集成电路股份有限公司NEXCHIP SEMICONDUCTOR (CHINA) LIMITED02249.HK

持有结构性存款及大额存单等按公允值计量投资

Our investment income of structured deposits, transferable large-denomination certificates of deposits and income certificates decreased from RMB72.3 million in 2023 to RMB43.4 million in 2024, and further decreased to RMB28.6 million in 2025, primarily due to the continued utilization of proceeds from the listing on the STAR Market of the Shanghai Stock Exchange and increased capital expenditure on production equipment, resulting in reduced funds available for such investments, as well as a continuous decline in product yields offered by financial institutions.

Financial Information · 第 190 页

We strategically prioritize to invest idle funds in low-risk, short-term wealth management products offered by banks.

Financial Information · 第 201 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-06-30Prospectus
广东鼎泰高科技术股份有限公司Guangdong Dtech Technology Co., Ltd.01377.HK

结构性存款及理财产品投资

Our financial assets at FVTPL mainly representing investment in structured deposits and wealth management products (''WMPs'').

Financial Information · 第 235 页

Our financial assets at FVTPL decreased by 34.1% from RMB604.9 million as of December 31, 2024 to RMB398.6 million as of December 31, 2025, primarily due to a decrease in structured deposits we purchased.

Financial Information · 第 235 页

The fund management department formulates annual investment plans and quotas for the cash management of our surplus funds, including idle proceeds, after considering our overall funding position and financing environment.

Financial Information · 第 235 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-06-30Application Proof
龙迅半导体(合肥)股份有限公司Lontium Semiconductor Corporation

逾7亿元结构性存款及存款证按公允价值计量

Our financial investments at fair value through profit or loss decreased from RMB1,158.2 million as of December 31, 2023 to RMB867.9 million as of December 31, 2024, and further to RMB764.0 million as of December 31, 2025, primarily due to the decrease in structured deposits, mainly attributable to our redemption of structured deposits to support our business expansion.

Financial Information · 第 164 页

Our investment strategy includes, in particular: (i) only deploying surplus funds for cash management to generate reasonable returns, (ii) being confined to low-risk, highly liquid and capital-secure short-term products, mainly including structured deposits and certificates of deposit, and (iii) ensuring that the products offer guaranteed returns and are issued by reputable banks.

Financial Information · 第 165 页

After our finance department formulates investment plans, which set out, among others, the types of investment products, the maximum investment limits and the manner of implementation, such investment plans are approved by our Board, and are further executed by our general manager, including selecting qualified issuers, determining investment amounts, choosing products and signing relevant agreements.

Financial Information · 第 165 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-06-30Application Proof
成都欧林生物科技股份有限公司Chengdu Olymvax Biopharmaceuticals Inc.

持有理财产品及私募基金投资并设投资管控

Our financial assets measured at FVPL consist of (i) wealth management products (WMPs) issued by commercial banks and securities companies in the PRC, and (ii) an investment in a private equity fund in which our Company serves as a limited partner.

Financial Information · 第 245 页

As of December 31, 2023, 2024 and 2025, our investment in wealth management products was nil, RMB15.0 million and nil, respectively.

Financial Information · 第 245 页

The investment in private equity fund was RMB2.5 million as of December 31, 2024 and RMB2.6 million as of December 31, 2025.

Financial Information · 第 245 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-06-30Prospectus
普源精电科技股份有限公司RIGOL Technologies Co., Ltd.00537.HK

大额存款及结构性存款公允价值变动

During the Track Record Period, our other gains and losses primarily consisted of fair value changes of financial assets at FVTPL, net foreign exchange gains (losses), fair value changes of derivative financial liabilities and loss on disposal of property, plant and equipment.

Financial Information · 第 183 页

During the Track Record Period, we entered into foreign currency forward contracts with banks to manage our currency risk.

Financial Information · 第 183 页

Our other gains decreased from RMB53.7 million in 2023 to RMB48.0 million in 2024, primarily due to the net foreign exchange losses attributable to the fluctuation of Renminbi against United States dollar and euros which were our main settlement currencies for overseas business, partially offset by increase in fair value changes of financial assets at FVTPL attributable to the higher fair value of our large-denominated bank deposits and structured deposits.

Financial Information · 第 189 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-06-30Prospectus
江西齐云山食品股份有限公司Jiangxi Qiyunshan Food Co., Ltd.02797.HK

闲置现金购买理财产品,2024年末达1,700万元

During the Track Record Period, we recorded financial assets at fair value through profit or loss of RMB2.5 million, RMB17.0 million and nil as of 31 December 2023, 2024 and 2025, respectively.

Financial Information · 第 231 页

As part of our treasury management policy, we have purchased wealth management products as a means to better utilise our cash on hand on a short-term basis.

Financial Information · 第 231 页

– the types of investment shall generally be low-risk wealth management products including fixed deposits and investments with fixed investment amounts and/or guaranteed returns;

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
2026-06-30Application Proof
深圳市道通科技股份有限公司Autel Intelligent Technology Corp., Ltd.

按公允价值计量的理财及结构性存款投资

Our investments in financial assets at fair value through profit or loss primarily consist of wealth management products purchased from financial institutions for short-term liquidity management and enhancement of returns on surplus cash, rather than for speculative trading.

Financial Information · 第 184 页

Under such policies, we adopt a prudent and conservative investment strategy, and our investments are generally limited to low-risk and highly liquid financial products, such as structured deposits and wealth management products issued by reputable financial institutions.

Financial Information · 第 184 页

These include, among others: (i) clearly defined approval authorities and segregation of duties among investment decision-making, execution and settlement functions; (ii) internal limits on investment size, tenor and exposure to individual financial institutions (including position limits), to ensure that no excessive concentration risk is assumed; and (iii) regular monitoring and reporting of investment performance and fair value changes to senior management and (iv) dedicated internal control policies and procedures governing foreign exchange derivatives transactions, under which all such transactions are subject to strict approval, execution and monitoring requirements, and we will strictly comply with such internal control measures.

Financial Information · 第 184 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-06-30Prospectus
珞石(山东)机器人集团股份有限公司ROKAE (SHANDONG) ROBOTICS GROUP INC.03752.HK

理财产品及结构性存款公允价值变动

Our other gains and losses primarily consist of (1) fair value changes of financial assets at FVTPL in connection with our wealth management products and structured deposits, (2) net foreign exchange gains, and (3) modification of redemption liabilities in connection with the share transfer of certain investors with redemption rights.

Financial Information · 第 231 页

Our other gains decreased by 67.9% from RMB9.1 million in 2024 to RMB2.9 million in 2025, primarily due to decrease of RMB5.9 million of fair value changes of financial assets at FVTPL, mainly resulting from the higher yields of wealth management products purchased in 2024 compared to those in 2025.

Financial Information · 第 236 页

As of December 31, 2025, we had cash and cash equivalents of RMB14.8 million, current portion of term deposits of RMB134.6 million, and bank-issued short-term wealth management products and bank deposits, which were classified as financial assets at FVTPL of RMB232.5 million, and which primarily consist of instruments with short tenors and high liquidity.

Financial Information · 第 247 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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