Core Viewpoint - The company has approved the use of temporarily idle raised funds and self-owned funds for cash management, aiming to enhance fund utilization efficiency and generate investment returns [1][7]. Group 1: Cash Management Approval - The company plans to use up to 100 million yuan of temporarily idle raised funds and up to 150 million yuan of self-owned funds for cash management, with investments in high-security and high-liquidity products, with a maximum investment period of 12 months [1][2]. - The board and supervisory committee have approved this cash management initiative during their meetings held on November 27, 2024 [1]. Group 2: Cash Management Progress - The company has reported on the redemption of cash management products, confirming that the actual returns align with expected returns, and the principal and earnings have been deposited into the respective accounts [2]. - The cash management activities do not involve related parties and do not constitute a major asset restructuring as per regulations [3]. Group 3: Risk Control Measures - The company has established strict evaluation processes for investment products to mitigate risks associated with market fluctuations [4]. - Various risk control measures include selecting appropriate cash management products, timely analysis of investment performance, and regular audits by the company's audit department [5][6]. Group 4: Impact on the Company - The cash management initiative is designed to ensure that it does not affect the company's normal operations or the implementation of fundraising projects, thereby benefiting the company and its shareholders [7]. - The company will comply with regulatory requirements for timely disclosure of cash management progress [7]. Group 5: Current Cash Management Status - As of July 31, 2025, the company has no outstanding cash management products using raised funds, while the cumulative balance of self-owned funds in cash management is 31.4 million yuan, within the authorized limits [8][9].
北京挖金客信息科技股份有限公司关于使用暂时闲置募集资金和自有资金进行现金管理的进展公告