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。

2026-06-09Application Proof
广东同亚科技股份有限公司Guangdong TOYA Technology Co., Ltd.

理财产品余额大幅波动及投资管理政策

Our financial assets at fair value through profit or loss primarily consisted of structured deposits and other wealth management products issued by well-established commercial banks in China that are principal-protected with guaranteed minimum returns during the Track Record Period.

Financial Information · 第 208 页

Our financial assets at fair value through profit or loss increased significantly from RMB20.0 million as of December 31, 2023 to RMB189.9 million as of December 31, 2024, primarily due to our purchase of additional wealth management products in 2024, as we completed our Series C Financing by the end of 2024, and used the unutilized portion of its proceeds to purchase the wealth management products for short-term liquidity management purposes.

Financial Information · 第 208 页

Our financial assets at fair value through profit or loss decreased from RMB189.9 million as of December 31, 2024 to RMB4.5 million as of December 31, 2025, primarily because we disposed of most of our wealth management products in 2025.

Financial Information · 第 208 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-06-09Prospectus
䛺ܩ捷电子科技(江苏)股份有限公司SENASIC Electronics Technology Co., Ltd.06675.HK

理财产品及股权投资按公允价值计量

Our other net income or losses primarily consist of (1) government grants, mainly including subsidies received from the government for the encouragement of research and development projects; (2) net realized and unrealized gain or losses on financial assets measured at FVPL, mainly representing (i) fair value gains of our wealth management products; and (ii) fair value changes of our investment in the equity interests a semiconductor company;

Financial Information · 第 226 页

(2) the change in net realized and unrealized gain/(losses) on financial assets measured at FVPL from a loss of RMB3.9 million in 2024 to a gain of RMB2.6 million in 2025, as we recognized fair value loss for our investment in a semiconductor company in 2024, and we did not recognize similar loss in 2025.

Financial Information · 第 230 页

As of the same dates, we had current portion of financial assets at FVPL (representing wealth management products) of RMB233.3 million, RMB274.7 million, RMB50.0 million and RMB174.3 million, respectively.

Financial Information · 第 240 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-06-05Application Proof
沪士电子股份有限公司WUS Printed Circuit (Kunshan) Co., Ltd.

结构性存款及非上市股权证券按公允价值计量

As of December 31, 2023, 2024, 2025 and March 31, 2026, our other financial assets at fair value through profit or loss amounted to RMB118.0 million, RMB69.9 million, RMB85.0 million and RMB85.0 million, respectively.

Financial Information · 第 208 页

Assets and liabilities subject to Level 3 fair value measurement mainly include unlisted securities of other financial assets at FVPL and other financial assets at FVOCI.

Financial Information · 第 182 页

We have adopted internal investment policies and guidelines to manage risks associated with our investments in structured deposits and equity securities, and our investment strategy aims to enhance returns on surplus funds while maintaining prudent risk limits and preserving liquidity for our operating needs.

Financial Information · 第 208 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-05-29Application Proof
江苏贝尔家居科技股份有限公司Jiangsu BBL Home Technology Company Limited

结构性存款及理财产品按公允值计量

Our financial assets at fair value through profit or loss primarily consist of structured deposits and wealth management products.

Financial Information · 第 178 页

Our financial assets at fair value through profit or loss further decreased by 56.9% to RMB110.3 million as of December 31, 2025, primarily due to the redemption of structured deposits upon maturity in accordance with our fund arrangements.

Financial Information · 第 178 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-05-28Application Proof
深圳杰成新能源科技股份有限公司Shenzhen Jiecheng New Energy Technology Co., Ltd.

持有按公允价值计量的理财产品

We had financial assets at fair value through profit or loss of nil, RMB0.5 million and RMB50.3 million as of December 31, 2023, 2024 and 2025, respectively, representing the fair value of wealth management products we purchased from banks in the PRC.

Financial Information · 第 226 页

After the [REDACTED], we will strictly comply with requirements under Chapter 14 of the Listing Rules and our internal policies when making investment in such financial products.

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
2026-05-28Application Proof
上海凯诘电子商务股份有限公司SHANGHAI KEYING E-COMMERCE CO., LTD.

结构性存款及银行理财按公允值计量

Our financial assets at FVTPL recorded as current assets primarily represent structured deposits and banking financial products, i.e. the investment products we purchase at major commercial banks.

Financial Information · 第 217 页

Our financial assets at FVTPL increased from RMB116.5 million as of 31 December 2023 to RMB152.7 million as of 31 December 2024 mainly as a result of our purchase of investment products at major commercial banks.

Financial Information · 第 217 页

Under our investment policy on the purchase of such financial assets, we employ a comprehensive set of internal policies and guidelines to manage our investments in order to monitor the investment risks associated with our portfolio of financial assets.

Financial Information · 第 217 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-05-26Application Proof
福瑞泰克(浙江)智能科技股份有限公司Freetech (Zhejiang) Intelligent Technology Co., Ltd.

结构性存款等FVTPL金融资产及投资政策

We recorded financial assets at fair value through profit or loss of nil and RMB50.0 million as of December 31, 2025 and March 31, 2026, respectively.

Financial Information · 第 255 页

During the Track Record Period, we primarily allocated surplus cash to structured deposits, which are principal-protected deposit products with low risk profiles issued by reputable commercial banks. We did not purchase any wealth management products during the Track Record Period.

Financial Information · 第 255 页

Any proposed investment exceeding RMB30.0 million must be submitted to our board of directors for review and approval.

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
2026-05-20Application Proof
上海科梁信息科技股份有限公司Shanghai KeLiang Information Technology Co., Ltd.

银行理财产品投资增至1.529亿元

Our financial assets at fair value through profit or loss increased significantly from RMB4.5 million as of December 31, 2023 to RMB139.1 million as of December 31, 2024, further increased by 10.0% to RMB152.9 million as of December 31, 2025, due to the continued allocation of surplus cash to wealth management products issued by banks in Chinese mainland.

Financial Information · 第 221 页

Our investment strategies on wealth management products prioritize liquidity, safety, and returns to ensure the availability of funds while maintaining a conservative risk profile.

Financial Information · 第 222 页

The approval from our Board of Directors is required for any significant entrusted financial investment.

Financial Information · 第 222 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-05-20Application Proof
上海观安信息技术股份有限公司SHANGHAI GUAN AN INFORMATION TECHNOLOGY CO., LTD.

理财投资规模下降及投资政策

Our financial assets at fair value through profit or loss decreased from RMB108.9 million as of December 31, 2023 to RMB55.7 million as of December 31, 2024, primarily due to the redemption of certain short-term wealth-management and investment products during the year, as well as fair value changes in the remaining portfolio.

Financial Information · 第 214 页

We primarily hold low-risk, short-term wealth management instruments to meet our daily liquidity needs, and deploy surplus long-term capital into medium- to long-term fixed income products to secure stable and favorable returns, while ensuring sufficient capital buffers and emergency reserves in place.

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
2026-05-20Prospectus
深圳市创想三维科技股份有限公司Shenzhen Creality 3D Technology Co., Ltd.03388.HK

持有较大规模按公允价值计量的银行理财产品

Our financial assets at fair value through profit or loss represent our investment in wealth management products at banks.

Financial Information · 第 238 页

Our financial assets at fair value through profit or loss increased from RMB11.4 million as of December 31, 2024 to RMB126.2 million as of December 31, 2025, primarily because we purchased more wealth management products at banks due to the increased deposit interest rates of U.S. dollars.

Financial Information · 第 238 页

Under our investment policy on the purchase of such financial assets, we employ a comprehensive set of internal policies and guidelines to manage our investments in order to monitor the investment risks associated with our portfolio of financial assets.

Financial Information · 第 238 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-05-20Application Proof
临工重机股份有限公司LINGONG HEAVY MACHINERY CO., LTD.

结构性存款、理财及股权投资公允价值

We invest in structured deposits and certain wealth management products to better utilize excess cash when our cash sufficiently covers our ordinary course of business.

Financial Information · 第 236 页

Our non-current portion of financial assets at FVTOCI decreased by 69.3% from RMB244.6 million as of December 31, 2023 to RMB75.1 million as of December 31, 2024, and further decreased by 17.3% to RMB62.1 million as of December 31, 2025, primarily due to changes in the fair value of our listed equity investment.

Financial Information · 第 236 页

In the future, we may continue to purchase low-risk structured deposits and wealth management products with a short maturity period based on surplus cash situation to maximize our capital utilization efficiency.

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
2026-05-18Prospectus
云英谷科技股份有限公司Viewtrix Technology Co., Ltd03310.HK

持有大额理财产品及结构性存款

Financial assets at fair value through profit or loss increased from RMB247.5 million as of December 31, 2023, to RMB415.4 million as of December 31, 2024, primarily due to: an increase in wealth management products from RMB180.4 million as of December 31, 2023, to RMB384.4 million as of December 31, 2024.

Financial Information · 第 212 页

We estimate the fair value of these unlisted investments using a discounted cash flow model, with discount rates determined by reference to market interest rates for instruments with similar terms and risk characteristics.

Financial Information · 第 213 页

Investments in wealth management products are subject to a multi-tier approval process, involving both management and the Board depending on the size and risk characteristics of the investment.

Financial Information · 第 213 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-05-18Prospectus
北京深演智能科技股份有限公司Beijing DeepZero Technology Co., Ltd.02723.HK

FVPL理财金融资产大幅增加

Our net current assets increased from RMB315.2 million as of December 31, 2024 to RMB393.7 million as of December 31, 2025, primarily attributable to (i) an increase of RMB82.8 million in cash and cash equivalents; and (ii) an increase of RMB77.2 million in financial assets measured at FVPL, which were partially offset by (i) a decrease of RMB67.1 million in time deposits; and (ii) an increase of RMB19.5 million in trade payables.

Financial Information · 第 255 页

We have established internal policies and guidelines to manage its investments in wealth management products, with the finance department overseeing proposal, evaluation, and decisionmaking processes.

Financial Information · 第 240 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

结构性存款按公允值计量及其变动

Our financial assets at FVTPL amounted to RMB56.0 million, nil and RMB61.0 million as at 31 December 2023, 2024 and 2025 respectively.

Financial Information · 第 229 页

Our financial assets at FVTPL dropped to nil as at 31 December 2024 was because all of our structured deposits matured on or before the year-end date, and we did not renew such deposits in light of our liquidity needs during the year.

Financial Information · 第 229 页

We subsequently subscribed for new structured deposits in FY2025 when our business operations revived with more operating cash inflow and liquidity resources as compared to that in FY2024.

Financial Information · 第 229 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
中鼎智能(无锡)科技股份有限公司Zhongding Intelligent (Wuxi) Technology Co., Ltd.

银行理财产品投资余额增至4.22亿元

Our financial assets measured at FVTPL further increased to RMB421.9 million as of December 31, 2025, primarily due to an increase in surplus cash available for investment, resulting in a higher balance of wealth management products held at period end.

Financial Information · 第 222 页

our cash management policy mandates that we invest in low-risk, short-term wealth management products and structure deposits offered by well-known PRC commercial banks

Financial Information · 第 222 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-05-14Application Proof
成都国星宇航科技股份有限公司Adaspace Technology Co., Ltd.

持有结构性存款等FVPL金融资产

As of December 31, 2023, 2024 and 2025, we recorded financial assets at FVPL of RMB191.4 million, RMB40.5 million and RMB41.5 million, respectively, with the fluctuations mainly reflecting changes in the balance resulting from the purchase and redemption of structured deposits in accordance with our cash management strategy.

Financial Information · 第 246 页

To control our risk exposure, we generally invest in low-risk financial products while ensuring sufficient working capital to meet business needs, operating activities, R&D and capital expenditures, taking into account a number of factors including the general market conditions, risk control, credit of the issuing financial institution, our own working capital conditions, duration of the investment and the expected return from the investment.

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
2026-05-11Application Proof
深圳市长盈精密技术股份有限公司SHENZHEN EVERWIN PRECISION TECHNOLOGY CO., LTD.

理财产品按公允值计量及投资政策

We had financial assets at fair value through profit or loss of RMB42.1 million, RMB351.4 million and RMB274.4 million as of December 31, 2023, 2024 and 2025, respectively.

Financial Information · 第 217 页

Our investment strategy related to such products focuses on minimizing the financial risks by reasonably and conservatively matching the maturities of the portfolio to anticipated operating cash needs, while generating desirable investment returns.

Financial Information · 第 217 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-05-08Application Proof
江苏芯德半导体科技股份有限公司Jiangsu Silicon Integrity Semiconductor Technology Co., Ltd.

按公允价值计量的银行理财产品投资

Our financial assets at fair value through profit or loss mainly consisted of wealth management products issued by banks in the PRC.

Financial Information · 第 236 页

Our financial assets at fair value through profit or loss amounted to RMB85.4 million, RMB26.2 million and RMB90.5 million as of December 31, 2023, 2024 and 2025, respectively.

Financial Information · 第 236 页

Our investment strategy related to such products focuses on minimizing the financial risks by reasonably and conservatively matching the maturities of the portfolio to anticipated operating cash needs, while generating desirable investment returns.

Financial Information · 第 237 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-05-05Prospectus
剂泰科技(北京)股份有限公司Metis TechBio Co., Ltd.07666.HK

理财产品等FVTPL金融资产及投资政策

We recorded financial assets at fair value through profit or loss of nil, RMB209.1 million and RMB30.1 million as of December 31, 2023, 2024 and 2025, respectively.

Financial Information · 第 261 页

We adhere to a conservative investment management strategy, with a strict requirement that all investment products, for both domestic and foreign currencies, should be principal-protected.

Financial Information · 第 261 页

In the future, we may continue to invest in structured deposits and other financial products that are in our Group’s interest upon thorough evaluations and analysis, and we will ensure that all such investments comply with the applicable laws and regulations, including the relevant requirements under Chapter 14 of the Listing Rules after the Listing.

Financial Information · 第 262 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-05-05Prospectus
南京英派药业股份有限公司IMPACT Therapeutics, Inc07630.HK

银行理财产品投资及政策披露

Our financial assets at fair value through profit or loss represented wealth management products issued by banks, with expected return rates from 0.65% to 2.60% per annum.

Financial Information · 第 249 页

Our financial assets at fair value through profit or loss decreased from RMB110.1 million as of December 31, 2024 to nil as of December 31, 2025.

Financial Information · 第 249 页

We currently only invest in low-risk financial products, specifically principal-protected structured deposits. We have established treasury management policy to standardize the types of financial products and their purchase procedures.

Financial Information · 第 249 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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