// Company Overview //
Stock Name 安克創新
Stock Code 00668
Company Full Name 安克創新
Industry 消費電子
Principal Activities 我們主要從事全球智能硬件科技行業消費電子產品的設計與開發,為全球消費者提供值得信賴的產品和以用戶為本的體驗。產品覆蓋智能充電儲能、智能家居及智能影音三大產品線,涵蓋移動充電、消費級儲能、智能安防、智能清潔、打印、智能音頻及智能投影等領域。
Listing Date 2026-07-02
Listing Rules Era
Listing Rules Chapter No data
Weighted Voting Rights (WVR) No
Registered Address (Mainland China) 中國湖南省長沙國家高新技術產業開發區尖山路39號長沙中電軟件園有限公司一期七棟7樓701室
Business Address (Hong Kong) 香港金鐘夏愨道18號海富中心2座8樓56室
Place of Incorporation 中国
Listing Method 全球发售
Listing Board Main Board
Website www.anker.com
Share Registrar 香港中央證券登記有限公司 (Computershare Hong Kong Investor Services Limited)
Registrar Contact No data
A-Share/US Dual Listing Yes (A股)
// Offering Information //
Offering Mechanism
机制B
Clawback Tiers 机制B不设回拨,公开发售占比维持10.0%
Offer Period 2026-06-23 to 2026-06-26
Offer Price HK$ 99.32 / shares
Offer Price Range Final offer price only, no range
Lot Size 100 shares
Entry Threshold HK$ 9,932
Par Value RMB 1.0 / shares
Global Offering Shares 46,632,800
HK Public Offering Shares 4,663,300 (10.0%)
International Placing Shares 41,969,500 (90.0%)
Offer Ratio No data
Total Shares Post-IPO 582,909,162 shares
Total Global Offering Size HK$ 4,631,569,696
Public Offering Size HK$ 463,158,956 (10.0%)
Oversubscription Multiple 27.6x
Valid Applications 36,424
Accepted Applications 18,453
Reallocation No
Greenshoe (Over-allotment Option) Yes
Final Public Offering Share 10.0%
// Valuation & Financials //
Market Cap (at Offer Price) No data
Pre-IPO Valuation (Last Round) No data
P/E Ratio No data
Profit/Loss Status 盈利約人民幣2,617.2百萬元
Period-End Cash Balance 人民幣3,067.7百萬元
Listing Expenses No data
Listing Expenses / Funds Raised No data
Total Pre-IPO Investment No data
// First Day Performance
First Day Close Loading...
// Price Chart //
// Use of Proceeds
Use of Proceeds 約20%用於推動產品迭代及創新及拓寬產品種類、約20%用於研發與人才引進、約15%用於提升品牌影響力及深化客戶忠誠度、約20%用於強化直接面向消費者的全球市場策略、約20%用於升級供應鏈管理體系、約5%用於營運資金及一般公司用途。
// Underwriting Syndicate //
联席保荐人 (3)
中国国际金融香港证券有限公司
高盛(亚洲)有限责任公司
J.P. Morgan Securities (Far East) Limited
保荐人兼整体协调人 (1)
中国国际金融香港证券有限公司
整体协调人 (3)
中国国际金融香港证券有限公司
高盛(亚洲)有限责任公司
J.P. Morgan Securities (Asia Pacific) Limited
联席全球协调人 (3)
中国国际金融香港证券有限公司
高盛(亚洲)有限责任公司
J.P. Morgan Securities (Asia Pacific) Limited
联席账簿管理人 (3)
中国国际金融香港证券有限公司
高盛(亚洲)有限责任公司
J.P. Morgan Securities (Asia Pacific) Limited
联席牵头经办人 (3)
中国国际金融香港证券有限公司
高盛(亚洲)有限责任公司
J.P. Morgan Securities (Asia Pacific) Limited
资本市场中介人 (3)
中国国际金融香港证券有限公司
高盛(亚洲)有限责任公司
J.P. Morgan Securities (Asia Pacific) Limited
// Service Providers //
Role Institution
本公司法律顾问
Davis Polk & Wardwell
海问律师事务所
Winson Partners and Legal Consultants
Shanze Partners PLLC
Addleshaw Goddard LLP
李伟斌律师行
Jacobson Burton Kelley PLLC
保荐人/包销商法律顾问
年利达律师事务所
通商律师事务所
核数师兼申报会计师
毕马威会计师事务所
行业顾问
弗若斯特沙利文(北京)咨询有限公司上海分公司
合规顾问
浤博资本有限公司
收款银行
中国工商银行(亚洲)有限公司
// Cornerstone Investors //
Allotment Results Announcement
# Investor Name Shares Subscribed % of Offer Shares % of Total Shares Lock-up Period Est. Unlock Date
1
Schroder Investment Management (Singapore) Ltd
5,522,200
11.84%
0.95%
—
—
2
Aspex Master Fund(「Aspex」)
3,944,400
8.46%
0.68%
2027-01-01
2027-01-01
3
Aspex Master Fund(「Aspex」)
3,944,400
8.46%
0.68%
2027-01-01
2027-01-01
4
Aspex Master Fund(「Aspex」)
3,944,400
8.46%
0.68%
2027-01-01
2027-01-01
5
信安資金管理(亞洲)有限公司(「信安資金管理」)
3,155,500
6.77%
0.54%
2027-01-01
2027-01-01
6
信安資金管理(亞洲)有限公司(「信安資金管理」)
3,155,500
6.77%
0.54%
2027-01-01
2027-01-01
7
信安資金管理(亞洲)有限公司(「信安資金管理」)
3,155,500
6.77%
0.54%
2027-01-01
2027-01-01
8
UBS Asset Management (Singapore) Ltd
1,577,700
3.38%
0.27%
—
—
9
景林資產管理香港有限公司(「香港景林」)
1,186,800
2.54%
0.20%
2027-01-01
2027-01-01
10
景林資產管理香港有限公司(「香港景林」)
1,186,800
2.54%
0.20%
2027-01-01
2027-01-01
11
景林資產管理香港有限公司(「香港景林」)
1,186,800
2.54%
0.20%
2027-01-01
2027-01-01
12
國海富蘭克林基金管理有限公司(「國海富蘭克林」)
1,183,300
2.54%
0.20%
2027-01-01
2027-01-01
13
泰康人壽保險有限責任公司(「泰康人壽」)
1,183,300
2.54%
0.20%
2027-01-01
2027-01-01
14
國海富蘭克林基金管理有限公司(「國海富蘭克林」)
1,183,300
2.54%
0.20%
2027-01-01
2027-01-01
15
泰康人壽保險有限責任公司(「泰康人壽」)
1,183,300
2.54%
0.20%
2027-01-01
2027-01-01
16
國海富蘭克林基金管理有限公司(「國海富蘭克林」)
1,183,300
2.54%
0.20%
2027-01-01
2027-01-01
17
泰康人壽保險有限責任公司(「泰康人壽」)
1,183,300
2.54%
0.20%
2027-01-01
2027-01-01
18
WT Asset Management Limited
1,183,300
2.54%
0.20%
—
—
19
惠理基金管理香港有限公司和惠理基金管理公司
788,800
1.69%
0.14%
2027-01-01
2027-01-01
20
惠理基金管理香港有限公司和惠理基金管理公司
788,800
1.69%
0.14%
2027-01-01
2027-01-01
21
惠理基金管理香港有限公司和惠理基金管理公司
788,800
1.69%
0.14%
2027-01-01
2027-01-01
22
富蘭克林鄧普頓投資(亞洲)有限公司附註4
788,000
1.69%
0.14%
—
—
23
國泰君安投資(香港)有限公司(「國泰君安」)及上海
785,400
1.68%
0.13%
—
—
24
WT Asset Management
181,000
0.39%
0.03%
—
—
25
深圳資本惠理大灣區多策略投資
1,000
—
—
2027-01-01
2027-01-01
26
深圳資本惠理大灣區多策略投資
1,000
—
—
2027-01-01
2027-01-01
27
深圳資本惠理大灣區多策略投資
1,000
—
—
2027-01-01
2027-01-01
// Directors & Management //
Chairman 陽萌
Company Secretary 彭文婷
執行董事 (4)
# Name English Name Type
1
陽萌
—
執行董事
2
趙東平
—
執行董事
3
祝芳浩
—
執行董事
4
熊康
—
執行董事
非執行董事 (2)
# Name English Name Type
1
張山峰
—
非執行董事
2
連萌
—
非執行董事
獨立非執行董事 (3)
# Name English Name Type
1
李聰亮
—
獨立非執行董事
2
易玄
—
獨立非執行董事
3
韓曦
—
獨立非執行董事
// Major Shareholders //
Major Shareholders & Holdings 控股股東陽萌先生與賀女士作為一致行動人合共持有約43.39%,趙東平先生持有約11.21%。
// Allotment Benchmarks //
Expand Allotment Tiers ▼ ▾
Pool A (Small Subscriptions)
Shares Applied Applicants Allottees Expected Lots
100
16,474
4,942
0.30
200
3,319
1,460
0.44
300
1,584
760
0.48
400
2,359
1,227
0.52
500
1,355
745
0.55
600
551
314
0.57
700
394
229
0.58
800
479
291
0.61
900
648
420
0.65
1,000
2,383
1,573
0.66
1,500
819
639
0.78
2,000
821
706
0.86
2,500
389
350
0.90
3,000
411
384
0.93
3,500
244
231
0.95
4,000
253
243
0.96
4,500
196
194
0.99
5,000
477
477
1.00
6,000
273
22
1.08
7,000
214
41
1.19
8,000
184
59
1.32
9,000
168
74
1.44
10,000
907
499
1.55
20,000
433
433
3.00
30,000
242
242
3.99
40,000
158
158
5.00
50,000
439
439
6.00
Pool B (Large Subscriptions)
Shares Applied Applicants Allottees Expected Lots
100,000
169
165
49.00
200,000
37
37
97.00
300,000
14
14
144.00
400,000
15
15
188.00
500,000
2
2
230.00
600,000
1
1
270.00
700,000
4
4
308.00
800,000
1
1
344.00
900,000
1
1
378.00
1,000,000
3
3
410.00
2,331,600
3
3
900.00
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