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浙江大元泵业股份有限公司关于使用部分闲置募集资金进行现金管理到期赎回的公告

Group 1: Cash Management Announcement - The company has redeemed a total of RMB 20 million from its previous cash management activities, earning interest of RMB 127,000 [2] - The board approved the continued use of up to RMB 50 million of idle raised funds for cash management, with a usage period not exceeding 12 months [2] - As of the announcement date, the company has fully redeemed all financial products purchased with idle raised funds [3] Group 2: Share Pledge Release Announcement - The controlling shareholders, who are in concert, hold a total of 105,448,000 shares, representing 56.53% of the company's total share capital [6][7] - Each of the five controlling shareholders has released the pledge on 7 million shares, totaling 35 million shares, resulting in no pledged shares remaining [6][8] - The company will continue to monitor the pledge status of shareholders' shares and comply with disclosure obligations [8]