Workflow
南芯科技: 关于使用部分闲置自有资金进行现金管理的公告

Core Viewpoint - The company plans to utilize idle self-owned funds for cash management, aiming to enhance fund efficiency and increase asset returns while ensuring normal business operations and risk control [1][2][5]. Group 1: Cash Management Overview - The company will use up to RMB 1.5 billion of idle self-owned funds for cash management, with a validity period of 12 months from the board's approval date [2][4]. - The cash management aims to improve fund utilization efficiency and provide better returns for the company and its shareholders [2][5]. - The funds will be invested in high-security, liquid financial products, including but not limited to guaranteed financial products, structured deposits, and time deposits [3][4]. Group 2: Decision-Making Process - The board of directors approved the cash management proposal during the seventh meeting of the second board on July 31, 2025 [4][5]. - The supervisory board also reviewed and approved the proposal, confirming that it does not harm the interests of shareholders, especially minority shareholders [5][6]. - The sponsor, CITIC Securities, provided a no-objection opinion on the cash management plan, affirming compliance with relevant regulations [5][6]. Group 3: Risk Control Measures - The company will implement strict risk control measures, ensuring that the investment products are not used for pledging or securities investment purposes [3][4]. - A comprehensive accounting system will be established to track fund usage and ensure safety [4]. - The company will disclose information in accordance with relevant laws and regulations [3][4].