盛景微: 关于使用暂时闲置募集资金及超募资金进行现金管理到期赎回的公告

Core Points - The company plans to use up to RMB 450 million of temporarily idle raised funds and over-raised funds for cash management, ensuring it does not affect project construction and fund safety [1][2] - The cash management period is set for 12 months from the date of approval by the shareholders' meeting [1] - Recently, the company redeemed part of the idle raised funds from cash management, with the principal and earnings transferred to the company's special account for raised funds [1] Summary by Sections Fund Management - The company has proposed a plan to utilize temporarily idle and over-raised funds for cash management, with a maximum amount of RMB 450 million [1] - The cash management will be conducted under the condition that it does not impact the construction of fundraising projects and ensures the safety of the raised funds [1] Redemption Details - The company has recently redeemed some of the idle raised funds from cash management, with specific amounts and earnings detailed in the announcement [1] - The principal and earnings from the redeemed funds have been transferred to the company's special account for raised funds [1]