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三一重能: 三一重能第二届监事会第十六次会议决议公告

Meeting Details - The second session of the Supervisory Board of SANY Renewable Energy Co., Ltd. held its 16th meeting on June 18, 2025, with all three supervisors present, ensuring compliance with legal and regulatory requirements [1][2] Supervisory Board Resolutions - The Supervisory Board approved the proposal for the company and its subsidiaries to use temporarily idle raised funds for cash management, ensuring that this does not affect the construction of fundraising projects or the safety of the raised funds [1] - The cash management of idle funds is deemed to improve the efficiency of fund usage and generate investment returns, aligning with regulatory requirements [1] - The approved amount for cash management is up to RMB 800 million, which will not change the purpose of the raised funds or harm shareholder interests [1][2]