竞业达:拟使用不超2.70亿元闲置募集资金进行现金管理

Core Viewpoint - The company plans to utilize up to 270 million yuan of temporarily idle raised funds for cash management, investing in safe principal-protected products such as structured deposits and large certificates of deposit [1] Group 1: Investment Details - The investment period is set from December 19, 2025, to April 30, 2026 [1] - The funds can be used on a rolling basis within the specified limit [1] Group 2: Impact on Operations - This decision will not affect the progress of the raised funds investment projects or the company's normal production and operations [1]