江阴华新精密科技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 - The company has approved the use of up to 420 million RMB of idle raised funds for cash management, ensuring it does not affect the normal implementation of fundraising projects and operations [1] - The cash management will involve purchasing low-risk, liquid principal-protected products with a maximum term of 12 months, including notice deposits, time deposits, structured deposits, large certificates of deposit, and income certificates [1] - The company has completed the redemption of a principal amount of 40 million RMB from a wealth management product, yielding an actual return of 73,000 RMB, which has been returned to the special account for raised funds [2] Group 2 - As of the announcement date, the remaining balance of idle raised funds used for cash management that has not yet matured is 300 million RMB, and the highest daily balance and usage period have not exceeded the board's authorization [2]