首都在线审议通过三季度报告 拟增加0.8亿元闲置资金现金管理

Core Points - The company held its sixth board meeting on October 23, 2025, to review and approve several important proposals, including the third quarter report for 2025 and a proposal to increase the use of idle funds for cash management [1][2][3] Group 1: Third Quarter Report - The board approved the proposal regarding the company's third quarter report for 2025 with a unanimous vote of 7 in favor, 0 against, and 0 abstentions [2] - The report had previously been reviewed and approved by the company's audit committee and does not require submission to the shareholders' meeting [2] Group 2: Cash Management Proposal - The board approved a proposal to increase the use of idle self-owned funds for cash management by up to 80 million yuan, ensuring that normal operational funding needs and fund safety are not affected [3] - The approved fund management limit is valid from the date of approval by the shareholders' meeting until March 30, 2026, allowing for the funds to be used in a rolling manner within this period [3] - The management team will have the authority to make decisions within this limit and handle related agreements and matters [3]