格灵深瞳: 格灵深瞳关于开立募集资金现金管理产品专用结算账户的公告

Core Viewpoint - The company has established a dedicated settlement account for cash management of raised funds, allowing for the efficient use of idle funds without affecting ongoing investment projects or core business operations [2][5]. Group 1: Fund Management Adjustments - The company approved a proposal to adjust the use of idle raised funds and self-owned funds for cash management, with a limit of up to RMB 600 million for a period of 12 months [2]. - A subsequent board meeting approved the use of up to RMB 700 million of temporarily idle raised funds for cash management, also for a period of 12 months [3]. Group 2: Account Establishment - The company has opened a dedicated settlement account for cash management of raised funds, which will only be used for this purpose and will not hold non-raised funds [3]. Group 3: Risk Control Measures - The company will implement risk control measures in accordance with relevant regulations and internal policies, including selecting qualified financial products and monitoring investment risks [4]. Group 4: Impact on the Company - The establishment of the dedicated account and the use of idle funds for cash management is expected to enhance fund utilization efficiency and increase returns, benefiting the company and its shareholders [5].