派克新材:拟用1.3亿元闲置募集资金进行现金管理

Core Points - The company announced the approval of a temporary cash management plan using up to 400 million yuan of idle raised funds [1] - The total investment amount for this cash management is 130 million yuan, with investments in structured deposits from Bank of China and Ningbo Bank [1] - The investment products have terms ranging from 86 to 107 days, with annualized yields between 0.59% and 2.9% [1] - As of September 30, 2025, the company's monetary funds amount to 2.186 billion yuan, with this subscription representing 5.95% of the total [1] - The cash management will not affect the company's fundraising projects or main business development [1]