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亿嘉和科技股份有限公司关于使用非公开发行股票闲置募集资金进行现金管理部分到期赎回的公告

Core Viewpoint - The company has approved the use of idle funds from a non-public stock issuance for cash management, with a total amount not exceeding 170 million RMB, focusing on safe and liquid investment products [2]. Group 1: Cash Management Approval - The company held its third board and supervisory meetings on April 25, 2025, where it approved the proposal to use idle funds for cash management [2]. - The cash management will involve investments in safe, liquid principal-protected products from financial institutions, with a validity period from April 30, 2025, to April 29, 2026 [2]. Group 2: Investment and Redemption Details - On May 6, 2025, the company invested 120 million RMB in a wealth management product from China Construction Bank [2]. - The company redeemed the aforementioned wealth management product on August 4, 2025, with no overdue funds reported [2]. Group 3: Current Cash Management Status - As of the announcement date, the company has an unexpired balance of 40 million RMB from the idle funds used for cash management [2].