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。

2026-04-02Application Proof
广东潮宏基实业股份有限公司Guangdong CHJ Industry Co., Ltd.

结构性存款及理财产品投资

Our financial assets at fair value through profit or loss were RMB70.2 million, RMB100.6 million and nil as at 31 December 2023, 31 December 2024 and 31 December 2025, respectively.

Financial Information · 第 244 页

In accordance with our cash management policies, we may invest idle cash in low-risk, short-term financial products, including structured deposits and wealth management products, to enhance returns in a risk-controlled manner.

Financial Information · 第 244 页

Subsequent to the [REDACTED], the purchase of these financial products will be subject to compliance with Chapter 14 of the Listing Rules and approval from the Board when necessary.

Financial Information · 第 244 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-04-02Application Proof
苏州天华新能源科技股份有限公司Suzhou Canmax Technologies Limited

结构性存款按公允值计量金额重大

Our financial assets at fair value through profit or loss represented the balance of our structured deposits.

Financial Information · 第 189 页

Our financial assets at fair value through profit or loss then decreased to RMB311.2 million as of December 31, 2025, primarily due to the redemption of a substantial amount of structured deposits during the period.

Financial Information · 第 189 页

Gain on disposal of financial assets at fair value through profit or loss, net | 23,747 | 3.4 | 36,983 | 5.0 | 23,492 | 6.9

Financial Information · 第 174 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-04-01Application Proof
芯原微电子(上海)股份有限公司VeriSilicon Microelectronics (Shanghai) Co., Ltd.

按公允价值计量的金融资产规模波动

Financial assets at FVTPL, current increased to RMB923.8 million as of December 31, 2025, primarily due to an increase in unlisted financial products, as we deployed part of our available funds into structured deposits.

Financial Information · 第 182 页

Unlisted financial products | 400,130 | 112,276 | 923,813

Financial Information · 第 182 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-04-01Application Proof

理财产品公允价值收益及年度间变动

Our fair value change on financial assets mainly related to wealth management products. We recorded fair value gain on financial assets of RMB17.4 million, RMB3.0 million and RMB1.8 million in 2023, 2024 and 2025, respectively.

Financial Information · 第 186 页

Our fair value change on financial assets decreased by 38.9% from RMB3.0 million in 2024 to RMB1.8 million in 2025, primarily due to a decrease in our purchases of wealth management products in 2025.

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
2026-03-31Application Proof

按公允价值计量的金融资产增至2.86亿元

Our financial assets at fair value through profit or loss further increased significantly to RMB286.0 million as of December 31, 2025, primarily due to (i) the purchase of structured deposits of RMB110.1 million and the purchase of wealth management products at fair value of RMB35.0 million and (ii) the new equity investment in Shanghai Xindi Digital Technology Co,. Ltd. (上海新迪數字技術有限公司) of RMB100.0 million.

Financial Information · 第 234 页

As of the Latest Practicable Date, the Board authorized our senior management to approve purchases of highly liquid, low-risk structured products up to RMB750.0 million.

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
2026-03-30Application Proof
江苏瘦西湖文化旅游股份有限公司Jiangsu Slender West Lake Culture and Tourism Co., Ltd.

结构性存款投资规模庞大

Our financial assets at FVPL consist of low-risk and short-term structured deposits we purchased from domestic reputable commercial banks.

Financial Information · 第 242 页

Our financial assets at FVTPL increased from RMB160.9 million as of December 31, 2024 to RMB190.0 million as of December 31, 2025 because of an increase of structured deposits in the principal amount of approximately RMB30.0 million.

Financial Information · 第 242 页

We only invest in wealth management products offered by reputable commercial banks that guarantee the principal amounts of our investments.

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
2026-03-29Application Proof
中茵微电子(北京)股份有限公司Joinsilicon Microelectronics (Beijing) Co., Ltd.

结构性存款及理财等按公允价值计量的投资降至零

Our investments measured at fair value through profit or loss decreased from RMB355.8 million as of December 31, 2023 to RMB150.3 million as of December 31, 2024 and further to nil as of December 31, 2025, primarily due to our strategic allocation of funding to support our business growth.

Financial Information · 第 181 页

Our other income and gains decreased by 15.4% from RMB19.6 million in 2024 to RMB16.6 million in 2025, primarily due to (i) higher government grants received in 2024 and (ii) a decrease in other interest income from financial assets at fair value through profit or loss as a result of the reduction in our wealth management product holdings, which in turn was due to the allocation of more funds on operating expenditures to support our business growth in 2025.

Financial Information · 第 175 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-03-27Application Proof
随手播集团公司Easylive Group Inc.

结构性存款及上市证券投资与处置

Our financial assets at fair value through profit or loss amounted to approximately RMB24.2 million, RMB4.0 million and nil as at 31 December 2023, 31 December 2024 and 31 December 2025, respectively.

Financial Information · 第 245 页

However, in preparation for the [REDACTED], our Directors wished to focus more on our core business and the funding needs of our business and its development and therefore our Group disposed of all equity securities in FY2024.

Financial Information · 第 245 页

We exclusively select such financial products which are with low risk level issued by well-established commercial banks to ensure the safety of our capital.

公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-03-27Application Proof
星宸科技股份有限公司SigmaStar Technology Ltd.

以闲置资金购买理财产品规模大增

Our financial assets at fair value through profit or loss grew significantly from RMB513.5 million as of December 31, 2023 to RMB1,293.6 million as of December 31, 2024, and then to RMB2,094.6 million as of December 31, 2025.

Financial Information · 第 203 页

This increase was primarily due to our strategic use of idle funds to purchase wealth management products for improved asset management.

Financial Information · 第 203 页

Entrusted Wealth Management: we may invest temporarily idle self-owned funds in high-safety, high-liquidity products from approval by the Shareholders’ general meeting until the 2025 annual general meeting of Shareholders, on a rolling basis.

Financial Information · 第 203 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-03-26Application Proof
广州极飞科技股份有限公司GUANGZHOU XAIRCRAFT TECHNOLOGY CO., LTD.

理财产品投资大幅增至1.468亿元

Our financial assets at fair value through profit or loss increased significantly from RMB6.0 million as of December 31, 2023 to RMB115.7 million as of December 31, 2024, and further increased by 26.9% from RMB115.7 million as of December 31, 2024 to RMB146.8 million as of December 31, 2025, primarily due to our purchase of certain wealth management products.

Financial Information · 第 245 页

We primarily invest in short-term and low-risk wealth management products issued by reputable financial institutions to ensure controllable risk exposure from our investments.

Financial Information · 第 245 页

Such investments are also subject to multi-layer approval processes.

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
2026-03-26Application Proof
四维智联(南京)科技股份有限公司AutoAI (Nanjing) Technology Co., Ltd.

以Series B所得款购入大额可转让存单

Our time deposits increased from nil as of December 31, 2023 to RMB50.8 million as of December 31, 2024, as we placed part of the total cash we received from the Series B Financing with a bank as time deposits for a duration of three years, given that there was no immediate need for us to utilize that amount to support our operating, investing and financing activities at that time, and the time deposit offers us interest as return and are early redeemable.

Financial Information · 第 240 页

Our time deposits decreased from RMB50.8 million as of December 31, 2024 to RMB42.0 million as of December 31, 2025, because we redeemed part of it for working capital purposes.

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
2026-03-25Application Proof
陕西源杰半导体科技股份有限公司YUANJIE SEMICONDUCTOR TECHNOLOGY CO., LTD.

结构性存款及理财公允价值变动影响损益

Our other gains or losses, net primarily consist of (i) change in fair value of financial assets at FVTPL, in connection with our structured deposits and other wealth management products we purchased for cash management purposes, (ii) net gains/losses on disposal of property, plant and equipment, (iii) net foreign exchange losses, and (iv) donations.

Financial Information · 第 208 页

We recorded a net other gain of RMB3.6 million in 2024 and a net other loss of RMB3.7 million in 2025, primarily attributable to (i) a decrease of RMB4.0 million in change in fair value of financial assets at FVTPL, caused by lower interest rates and our reduced investment scale in wealth management products, and (ii) an increase of RMB3.6 million in net foreign exchange losses, as a result of fluctuations in exchange rates.

Financial Information · 第 212 页

Our financial assets at FVOCI increased from RMB14.1 million as of December 31, 2024 to RMB36.5 million as of December 31, 2025, primarily due to our equity investments in a technology company.

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
2026-03-24Application Proof
浙江可胜技术股份有限公司Cosin Solar Technology Co., Ltd.

理财产品投资规模增至5.655亿元

Our financial assets at fair value through profit or loss increased from RMB220.0 million as of December 31, 2023 to RMB560.1 million as of December 31, 2024.

Financial Information · 第 238 页

We generally invest in wealth management products with low risk labels issued by qualified financial institutions.

Financial Information · 第 238 页

In the future, we may continue to invest in wealth management products that are in our Group’s interest upon through 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 [REDACTED].

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
2026-03-20Application Proof
杭州新元素药业股份有限公司Atom Therapeutics Co., Ltd.

结构性存款按公允价值计量

Financial assets at FVTPL refer to structured deposits placed with licensed commercial banks in the PRC, which were with variable interest rates.

Financial Information · 第 250 页

As of December 31, 2025, we had cash and cash equivalents of RMB184.9 million, term deposits of RMB21.3 million, financial assets at FVTPL of RMB140.0 million, and as of January 31, 2026, we had unutilized banking facilities of RMB200 million.

Financial Information · 第 257 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-03-20Prospectus
广东华沿机器人股份有限公司Guangdong Huayan Robotics Co., Ltd.01021.HK

理财产品的金融资产及投资政策

Our financial assets at fair value through profit or loss decreased by 37.0% from RMB119.6 million as of December 31, 2022 to RMB75.3 million as of December 31, 2023, and further decreased by 58.7% to RMB31.0 million as of December 31, 2024, primarily due to changes in the product portfolio of asset management products we purchased.

Financial Information · 第 261 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 261 页

Our investment horizon for each short-term financial asset we purchase is typically within three months.

Financial Information · 第 261 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-03-20Prospectus
山东极视角科技股份有限公司Shandong Extreme Vision Technology Co., Ltd.06636.HK

FVTPL金融资产为主要流动性来源

Furthermore, as of January 31, 2026, we had cash and cash equivalent of RMB14.5 million and our financial assets at FVTPL amounted to RMB126.6 million which generally can be redeemed and settled within two business days.

Summary · 第 16 页

Our other income and gains increased from RMB5.6 million for the nine months ended September 30, 2024 to RMB8.1 million for the nine months ended September 30,2025, primarily because (i) the increase of government grants; (ii) the increase of fair value gain on financial assets at fair value through profit which was caused by changes in the fair value of wealth management products; and (iii) partially offset by the decrease in investment income.

Financial Information · 第 227 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-03-20Prospectus
杭州德适生物科技股份有限公司Hangzhou Diagens Biotechnology Co., Ltd.02526.HK

理财产品投资余额及投资管理政策

Our financial assets at fair value through profit or loss decreased from RMB40.0 million in 2023 to RMB16.5 million in 2024, primarily because we redeemed part of our wealth management products in 2024.

Financial Information · 第 255 页

We adopt a prudent approach in selecting financial assets.

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
2026-03-17Application Proof
上海爱科百发生物医药技术股份有限公司Shanghai Ark Biopharmaceutical Co., Ltd.

理财产品投资及其公允价值计量

During the Track Record Period, we generally limited our purchase to principal guaranteed and short-term (three to six months maturity periods) financial products from reputable commercial banks.

Financial Information · 第 242 页

We recorded RMB201.1 million and RMB74.1 million of financial assets at FVTPL as of December 31, 2024 and 2025, respectively.

Financial Information · 第 242 页

The investment in wealth management products after [REDACTED] will be subject to the compliance requirements in accordance 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
2026-03-16Prospectus
江苏泽景汽车电子股份有限公司JIANGSU NEW VISION AUTOMOTIVE ELECTRONICS CO., LTD.02632.HK

结构性存款等按公允值计量的金融资产增长

Our financial assets at fair value through profit or loss increase from RMB45.1 million as of December 31, 2024 to RMB77.0 million as of September 30, 2025, primarily due to our purchase of structured deposits and investments in equity instruments at fair value through profit or loss to optimize our fund management and enhance our fund utilization efficiency.

Financial Information · 第 400 页

To control our risk exposure, we only invest in low-risk structured deposits 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 401 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2026-03-13Prospectus

持有较大规模结构性存款等金融资产

We had financial assets at FVTPL of RMB390.0 million, RMB180.3 million, RMB506.4 million and RMB694.0 million as of December 31, 2022, 2023, 2024 and September 30, 2025, respectively.

Financial Information · 第 267 页

We endeavor to increase the return of idle cash and bank balances by placing investments in wealth financial assets with high liquidity and low risk such that our risk exposure arising from such investments is controlled.

Financial Information · 第 267 页

We have categorized our financial assets at FVTPL as Level 2 of the fair value hierarchy because they are valued with reference to recent transaction price.

Financial Information · 第 268 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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