亿嘉和:节余募集资金1.37亿元拟永久补充流动资金
Core Points - The company has completed its non-public stock issuance fundraising project, resulting in a surplus of 137 million yuan intended for permanent replenishment of working capital for daily operations and business development [1] - The total amount raised from the fundraising was 708 million yuan, with a net amount of 697 million yuan [1] - The project reached its intended usable status by June 2025, generating a cumulative net income of approximately 45 million yuan [1] - The matter has been approved by the board of directors and is pending submission for shareholder meeting approval [1]