// Company Overview //
Stock Name 极智嘉-W
Stock Code 02590
Company Full Name 极智嘉-W
Industry 工業制造
Principal Activities 公司在全球AMR市場中處于領先地位,提供了一系列AMR解決方案,旨在賦能倉儲履約和工業搬運場景,在提高供應鏈效率的同時減少對人工的依賴。
Listing Date 2025-07-09
Listing Rules Era Old Rules
Listing Rules Chapter 8A不同投票权
Weighted Voting Rights (WVR) Yes
Registered Address (Mainland China) 中國北京市順義區安祥街12號北京環普國際科創園5號樓8-9樓
Business Address (Hong Kong) No data
Place of Incorporation No data
Listing Method No data
Listing Board Main Board
Website https://www.geekplus.com/en/
Share Registrar 卓佳证券登记有限公司 (Tricor Investor Services Limited)
Registrar Contact (852)2862 8628
A-Share/US Dual Listing No
// Offering Information //
Offering Mechanism
机制A(旧)
Clawback Tiers 因超购133.6倍,回拨至43.5%
Offer Period 2025-06-30 to 2025-07-04
Offer Price HK$ 16.80 / shares
Offer Price Range Final offer price only, no range
Lot Size 200 shares
Entry Threshold HK$ 3,360
Par Value No data
Global Offering Shares 161,405,800
HK Public Offering Shares 70,176,600 (43.5%)
International Placing Shares — (0.0%)
Offer Ratio No data
Total Shares Post-IPO No data
Total Global Offering Size HK$ 2,711,617,440
Public Offering Size HK$ 1,178,966,880 (43.5%)
Oversubscription Multiple 133.6x
Valid Applications 94,292
Accepted Applications 39,481
Reallocation No
Total Funds Raised HK$ 1,178,966,880
Greenshoe (Over-allotment Option) No
Final Public Offering Share 43.5%
// Valuation & Financials //
Market Cap (at Offer Price) HK$ 0
Pre-IPO Valuation (Last Round) No data
P/E Ratio -24.62
Profit/Loss Status No data
Period-End Cash Balance No data
Listing Expenses ~HK$ 166,620,000
Listing Expenses / Funds Raised No data
Total Pre-IPO Investment No data
// First Day Performance
First Day Close Loading...
First Day Open HK$ 16.9
First Day Change 5.36%
First Day Volume 78383500.0
First Day Turnover 1323870000.0
// Price Chart //
// Use of Proceeds
Use of Proceeds 1、約40%的所得款項凈額將用于投資研發及產品迭代計劃;
2、約20%的所得款項凈額將用于擴大公司的銷售及服務網絡,以加強公司的國際品牌影響力和市場參與;
3、約15%的所得款項凈額將用于支持公司不斷擴大的供應鏈發展,在高需求地區戰略性地建立本地生產中心及供應鏈中心;
4、約15%的所得款項凈額將用于開發先進的數字化管理平臺和升級網絡安全IT基礎設施;
5、約10%的所得款項凈額將用于用作營運資金及一般公司用途。
// Underwriting Syndicate //
联席保荐人 (2)
摩根士丹利亚洲有限公司
中国国际金融香港证券有限公司
整体协调人 (10)
摩根士丹利亚洲有限公司
中国国际金融香港证券有限公司
德意志银行香港分行
招银国际融资有限公司
星展亚洲融资有限公司
申万宏源证券(香港)有限公司
广发证券(香港)经纪有限公司
大和资本市场香港有限公司
工银国际证券有限公司
南华证券投资有限公司
联席账簿管理人 (11)
摩根士丹利亚洲有限公司
中国国际金融香港证券有限公司
德意志银行香港分行
招银国际融资有限公司
星展亚洲融资有限公司
申万宏源证券(香港)有限公司
广发证券(香港)经纪有限公司
大和资本市场香港有限公司
工银国际证券有限公司
南华证券投资有限公司
老虎证券(香港)环球有限公司
联席牵头经办人 (11)
摩根士丹利亚洲有限公司
中国国际金融香港证券有限公司
德意志银行香港分行
招银国际融资有限公司
星展亚洲融资有限公司
申万宏源证券(香港)有限公司
广发证券(香港)经纪有限公司
大和资本市场香港有限公司
工银国际证券有限公司
南华证券投资有限公司
老虎证券(香港)环球有限公司
// Cornerstone Investors //
Allotment Results Announcement
# Investor Name Shares Subscribed % of Offer Shares % of Total Shares Lock-up Period Est. Unlock Date
1
MarcasiteGemHoldings
137,520,423
13.65%
10.41%
2026-07-08
2026-07-08
2
天津極智創想科技合夥
83,351,729
6.31%
—
2026-07-08
2026-07-08
3
D1SPVGKMaster
71,785,317
7.13%
5.44%
2026-07-08
2026-07-08
4
天津極智創智科技合夥
56,194,987
4.26%
—
2026-07-08
2026-07-08
5
AcceleratorVILtd.
44,810,055
4.45%
3.39%
2026-07-08
2026-07-08
6
無錫雲暉二期新汽車產
41,112,000
4.08%
3.11%
2026-07-08
2026-07-08
7
磐信(上海)投資中心
40,182,870
3.04%
—
2026-07-08
2026-07-08
8
天津極智合盈科技合夥
39,506,859
2.99%
—
2026-07-08
2026-07-08
9
天津極智聚合科技合夥
39,506,859
2.99%
—
2026-07-08
2026-07-08
10
廈門源峰股權投資基金
39,160,332
2.97%
—
2026-07-08
2026-07-08
11
中灣合智二號(合肥)
38,082,196
3.78%
2.88%
2026-07-08
2026-07-08
12
上海火山石一期股權投
37,929,138
3.76%
2.87%
2026-07-08
2026-07-08
13
RedviewCapital
37,067,690
3.68%
2.81%
2026-07-08
2026-07-08
14
GGVVIIInvestments
35,892,659
3.56%
2.72%
2026-07-08
2026-07-08
15
GGVVIIPlus
35,892,659
3.56%
2.72%
2026-07-08
2026-07-08
16
蘇州工業園區高榕成長
33,415,220
3.32%
2.53%
2026-07-08
2026-07-08
17
VertexVenturesChina
32,332,400
3.21%
2.45%
2026-07-08
2026-07-08
18
VertexGrowthFund
29,102,008
2.89%
2.20%
2026-07-08
2026-07-08
19
中國互聯網投資基金
26,042,626
2.58%
1.97%
2026-07-08
2026-07-08
20
上海賽領匯鴻股權投資
20,834,102
2.07%
1.58%
2026-07-08
2026-07-08
21
天津極智合興科技合夥
20,562,218
2.04%
1.56%
2026-07-08
2026-07-08
22
NHTVSwarmCompany
20,287,525
2.01%
1.54%
2026-07-08
2026-07-08
23
BCapital(China)I
19,498,085
1.94%
1.48%
2026-07-08
2026-07-08
24
合肥建恒新能源汽車投
15,232,879
1.15%
—
2026-07-08
2026-07-08
25
中灣合智(合肥)創業
15,232,879
1.51%
1.15%
2026-07-08
2026-07-08
26
青島高信聖美私募股權
14,490,142
1.44%
1.10%
2026-07-08
2026-07-08
27
無錫雲暉物聯網投資管
13,704,000
1.36%
1.04%
2026-07-08
2026-07-08
28
上海雲瑒企業管理諮詢
12,345,628
1.23%
0.93%
2026-07-08
2026-07-08
29
Arc Avenue Asset
11,681,200
1.16%
0.88%
—
—
30
天津極智共贏科技合夥
9,842,379
0.98%
0.75%
2026-07-08
2026-07-08
31
華賽智康(上海)股權
8,420,449
0.84%
0.64%
2026-07-08
2026-07-08
32
天津創熠信息科技合夥
8,128,455
0.81%
0.62%
2026-07-08
2026-07-08
33
天津極智共合科技合夥
7,857,931
0.78%
0.60%
2026-07-08
2026-07-08
34
Eastspring Investments
7,008,600
0.70%
0.53%
—
—
35
天津極智匯聚科技合夥
6,764,662
0.67%
0.51%
2026-07-08
2026-07-08
36
天津極智合創科技合夥
6,287,692
0.62%
0.48%
2026-07-08
2026-07-08
37
香港億格有限公司
4,672,400
0.46%
0.35%
—
—
38
天津極智匯佳科技合夥
4,569,496
0.45%
0.35%
2026-07-08
2026-07-08
39
共青城觀崢投資管理合
3,886,361
0.39%
0.29%
2026-07-08
2026-07-08
// Directors & Management //
Chairman 鄭勇
Company Secretary 劉紅巖,吳東澄
No director data available.
// Major Shareholders //
Major Shareholders & Holdings 天津極智創想科技合伙企業(有限合伙)(6.41%),天津極智創智科技合伙企業(有限合伙)(4.32%)
// Allotment Benchmarks //
Expand Allotment Tiers ▼ ▾
Pool A (Small Subscriptions)
Shares Applied Applicants Allottees Expected Lots
200
26,636
1,134
0.04
400
13,005
1,108
0.09
600
4,455
569
0.13
800
2,079
354
0.17
1,000
3,141
669
0.21
1,200
1,243
317
0.26
1,400
747
222
0.30
1,600
808
274
0.34
1,800
1,851
706
0.38
2,000
8,631
8,631
0.42
3,000
2,425
2,425
0.64
4,000
2,258
2,258
0.85
5,000
3,205
3,205
1.06
6,000
2,138
2,138
1.27
7,000
1,009
1,009
1.48
8,000
1,180
1,180
1.70
9,000
818
818
1.91
10,000
5,705
5,705
2.12
20,000
3,557
3,557
4.24
30,000
1,741
1,741
6.36
40,000
1,149
1,149
8.46
50,000
810
810
10.57
60,000
794
794
12.69
70,000
361
361
14.81
80,000
393
393
16.92
90,000
231
231
19.04
100,000
1,639
1,639
21.15
200,000
807
807
42.30
Pool B (Large Subscriptions)
Shares Applied Applicants Allottees Expected Lots
300,000
847
847
50.25
400,000
154
154
67.00
500,000
120
120
83.75
600,000
80
80
100.50
700,000
48
48
117.25
800,000
31
31
134.00
900,000
17
17
150.75
1,000,000
50
50
167.50
1,500,000
32
32
251.25
2,000,000
20
20
335.00
2,500,000
13
13
418.75
3,000,000
11
11
502.50
4,000,000
6
6
670.00
5,000,000
3
3
837.50
6,000,000
2
2
1005.00
7,017,600
42
42
1175.45
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