剑桥科技 06166Stock Information

Stock Information · New Rules (after Aug 2025)
// Company Overview //
Stock Name剑桥科技
Stock Code06166
Company Full Name剑桥科技
Industry通信設備
Principal Activities我們主要從事設計、開發及銷售連接及數據傳輸設備。於往績記錄期間,我們主要從銷售(i)寬帶;(ii)無線;及(iii)光模塊技術產品產生收入。
Listing Date2025-10-28
Listing Rules EraNew Rules (after Aug 2025)
Listing Rules ChapterNo data
Weighted Voting Rights (WVR)No
Registered Address (Mainland China)中國 上海市 閔行區 陳行公路2388號 8幢501室
Business Address (Hong Kong)香港 銅鑼灣 希慎道33號 利園一期 19樓1901室
Place of IncorporationNo data
Listing MethodNo data
Listing BoardMain Board
Websitecigtech.com
Share Registrar卓佳证券登记有限公司 (Tricor Investor Services Limited)
Registrar Contact(852)2980 1333
A-Share/US Dual ListingYes (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 Period2025-10-20 to 2025-10-23
Offer PriceHK$ 68.88 / shares
Offer Price RangeFinal offer price only, no range
Lot Size50 shares
Entry ThresholdHK$ 3,444
Par ValueRMB 1.0 / shares
Global Offering Shares67,010,500
HK Public Offering Shares6,701,050 (10.0%)
International Placing Shares60,309,450 (90.0%)
Offer Ratio~20.0%
Total Shares Post-IPO335,030,341 shares
Total Global Offering SizeHK$ 4,615,683,240
Public Offering SizeHK$ 461,568,324 (10.0%)
Oversubscription Multiple338.7x
Valid Applications206,461
Accepted Applications
ReallocationNo
Total Funds RaisedHK$ 461,568,324
Greenshoe (Over-allotment Option)Yes
Final Public Offering Share10.0%
// Valuation & Financials //
Market Cap (at Offer Price)HK$ 23,076,889,888
Pre-IPO Valuation (Last Round)No data
P/E Ratio不適用(公司處於盈利狀態,但未提供市盈率信息)
Profit/Loss Status盈利約人民幣167.0百萬元
Period-End Cash BalanceNo data
Listing Expenses~HK$ 135,700,000
Listing Expenses / Funds Raised~3.0%
Total Pre-IPO InvestmentNo data
// First Day Performance
First Day CloseLoading...
First Day OpenHK$ 3.11
First Day Change5.16%
First Day Volume26588100.0
First Day Turnover83446200.0
// Price Chart //
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// Use of Proceeds
Use of Proceeds1、約50.0%(或2,240.0百萬港元)用于提升自身設施及目前及未來co-location合作伙伴設施的產能; 2、約20.0%(或896.0百萬港元)用于進一步提升研發人才及技術,以實現更多研發突破; 3、約5.0%(或224.0百萬港元)用于業務推廣及營銷; 4、約15.0%(或672.0百萬港元)用于海外戰略投資,以實現長期增長戰略; 5、約10.0%(或448.0百萬港元)用作一般公司用途,包括營運資金需求。
// Underwriting Syndicate //
独家保荐人 (1)
国泰君安融资有限公司(sole)
保荐人兼整体协调人 (1)
国泰君安证券(香港)有限公司(sole)
整体协调人 (2)
国泰君安证券(香港)有限公司 中信里昂证券有限公司
联席全球协调人 (3)
国泰君安证券(香港)有限公司 中信里昂证券有限公司 星展亚洲融资有限公司
联席账簿管理人 (3)
国泰君安证券(香港)有限公司 中信里昂证券有限公司 星展亚洲融资有限公司
联席牵头经办人 (3)
国泰君安证券(香港)有限公司 中信里昂证券有限公司 星展亚洲融资有限公司
资本市场中介人 (4)
国泰君安证券(香港)有限公司 中信里昂证券有限公司 星展亚洲融资有限公司 星河证券有限公司
// Service Providers //
RoleInstitution
本公司法律顾问 贝克•麦坚时律师事务所
北京德恒律师事务所
Thompson Hine LLP
Hibiya Park Law Offices
的近律师行
Hogan Lovells International LLP
Commerce & Finance Law Offices LLP
保荐人/包销商法律顾问 周俊轩律师事务所与通商律师事务所联营
北京市君合律师事务所
核数师兼申报会计师 致同(香港)会计师事务所有限公司
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 国泰君安融资有限公司
收款银行 星展银行(香港)有限公司
// Cornerstone Investors // Allotment Results Announcement
#Investor NameShares Subscribed% of Offer Shares% of Total SharesLock-up PeriodEst. Unlock Date
1 奇點資產管理有限公司 3,389,250 5.06% 1.01%
2 圖靈國際有限公司(「圖 3,389,250 5.06% 1.01%
3 霸菱資產管理(亞洲)有限 2,259,500 3.37% 0.67%
4 HCEP Management Limited 2,259,500 3.37% 0.67%
5 3W Fund Management 2,259,500 3.37% 0.67%
6 Alpine Investment 2,259,500 3.37% 0.67%
7 Arc Avenue Asset 1,129,750 1.69% 0.34%
8 Infini Global Master Fund 1,129,750 1.69% 0.34%
9 Martis Fund, 1,129,750 1.69% 0.34%
10 泰康人壽保險有限責任公司 1,129,750 1.69% 0.34%
11 工銀理財有限責任公司 1,129,750 1.69% 0.34%
// Directors & Management //
ChairmanGerald G Wong
Company Secretary金澤清
No director data available.
// Major Shareholders //
Major Shareholders & HoldingsGerald G Wong先生通過CIG開曼持有32,025,735股A股(佔11.95%),並與趙海波先生為一致行動人;趙海波先生通過康令科技持有5,850,476股A股(佔2.18%)。
// Allotment Benchmarks //
Pool A (Small Subscriptions)
Shares AppliedApplicantsAllotteesExpected Lots
50 81,623 4,082 0.05
100 25,868 1,965 0.08
150 6,720 652 0.10
200 6,443 744 0.12
250 5,223 690 0.13
300 2,942 434 0.15
350 1,181 192 0.16
400 1,436 252 0.18
450 1,010 191 0.19
500 5,852 1,174 0.20
600 2,284 512 0.22
700 7,672 1,886 0.25
800 1,283 342 0.27
900 896 257 0.29
1,000 7,339 2,237 0.30
1,500 4,265 1,660 0.39
2,000 4,454 2,062 0.46
2,500 2,499 1,324 0.53
3,000 2,430 1,437 0.59
3,500 1,352 878 0.65
4,000 1,509 1,062 0.70
4,500 1,247 942 0.76
5,000 2,865 2,306 0.80
6,000 1,783 1,602 0.90
7,000 1,452 1,432 0.98
8,000 1,290 1,290 1.07
9,000 952 952 1.15
10,000 5,712 5,712 1.22
20,000 3,305 3,305 1.84
30,000 2,024 2,024 2.40
40,000 1,224 1,224 2.80
50,000 1,147 1,147 3.20
60,000 758 758 3.60
70,000 1,622 1,622 3.92
Pool B (Large Subscriptions)
Shares AppliedApplicantsAllotteesExpected Lots
80,000 2,288 2,288 4.48
90,000 487 487 4.86
100,000 1,747 1,747 5.40
200,000 893 893 9.20
300,000 381 381 12.60
400,000 196 196 16.00
500,000 191 191 19.00
600,000 83 83 22.80
700,000 66 66 25.20
800,000 65 65 27.20
900,000 46 46 30.60
1,000,000 191 191 32.00
2,000,000 83 83 60.00
3,350,500 82 82 87.11
Offer Ratio
Allotment Benchmarks
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