Core Viewpoint - The company has approved the use of idle funds for cash management, allowing for investment in low-risk financial products to enhance returns while ensuring operational safety [2][3][9]. Group 1: Cash Management Approval - The company approved the use of up to 630 million yuan for cash management to purchase safe and liquid financial products with a maximum investment term of 12 months [2]. - A subsequent approval increased the limit to 650 million yuan under the same conditions [3]. Group 2: Recent Developments - The company has signed an agreement with China Galaxy Securities to invest 30 million yuan in financial products [4]. - The company has successfully recovered the principal and returns from previously matured financial products [10]. Group 3: Risk Management - The company emphasizes strict adherence to prudent investment principles, avoiding high-risk securities and ensuring funds are used solely for cash management [8]. - Regular monitoring and auditing of the investment process will be conducted to maintain fund safety [8]. Group 4: Impact on Operations - The cash management strategy will not affect the company's daily operations or core business development, while also providing additional returns for shareholders [9].
许昌开普检测研究院股份有限公司关于使用部分闲置自有资金进行现金管理的进展公告