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普莱柯:2.65亿闲置募资现金管理到期,收回本金8.21亿收益366.53万

Group 1 - The company plans to manage temporarily idle raised funds of up to 265 million yuan through cash management [1] - The cash management period will be effective for 12 months from the date of approval at the third extraordinary general meeting of shareholders in 2024 [1] - The company will redeem all idle raised funds from cash management by August 22, 2025, and return them to a designated account [1]