Core Points - The company, 瑞纳智能设备股份有限公司, held its third board meeting and supervisory board meeting on November 8, 2024, and will hold a temporary shareholders' meeting on November 26, 2024, to approve the use of excess raised funds and idle raised funds for cash management [1] - The company has been authorized to use up to 500 million yuan of excess and idle funds for cash management, with a usage period of 12 months from the approval date, allowing for rolling use within the specified limit [1] - The company's sponsor institution has expressed clear consent regarding the above matters [1] Financial Management - The company will manage part of the excess and idle funds for cash management, ensuring that it does not affect the normal investment plans of the raised funds [1] - Details regarding the redemption of cash management products and the usage of funds in the past twelve months will be disclosed in future announcements [2]
瑞纳智能设备股份有限公司 关于使用部分超募资金及闲置募集资金进行现金管理到期赎回的公告