起步股份有限公司关于提前归还临时补充流动资金的募集资金的公告

Group 1 - The company has repaid a total of RMB 200 million of idle raised funds as of December 5, 2025 [2][30][31] - The company held board meetings on May 19, 2025, to approve the temporary use of idle raised funds for working capital [3][30] - The company has informed its sponsor, Dongxing Securities, about the repayment of the raised funds [4] Group 2 - The company plans to terminate two fundraising projects: "Smart Information System Upgrade Project" and "Infant and Child Products Sales Network Construction Project" [22][43] - The remaining raised funds amount to RMB 348,371,142.94, which will be permanently used to supplement working capital [22][30] - The decision to terminate the projects is based on changes in market conditions and the company's operational needs [32][35] Group 3 - The company has faced delays in project implementation due to changes in market environment and internal management changes [25][26] - The "Smart Information System Upgrade Project" has seen slow progress, with only RMB 23.326 million utilized as of September 30, 2025 [27][28] - The "Infant and Child Products Sales Network Construction Project" has not utilized any raised funds and has been on hold for over a year [29] Group 4 - The board and supervisory board have approved the proposal to terminate the fundraising projects and repurpose the remaining funds [41][42] - The proposal will be submitted for approval at the company's second extraordinary general meeting on December 15, 2025 [8][43] - The company aims to enhance the efficiency of fund usage and strengthen its financial position through this decision [32][35]