麦格米特:拟使用不超20.00亿元部分暂时闲置募集资金进行现金管理

Core Viewpoint - The company has announced the approval to use part of its temporarily idle raised funds for cash management, specifically allowing for investments in low-risk, liquid principal-protected products up to 2 billion yuan [1] Group 1 - The company will hold its sixth board meeting on January 28, 2026, to review the proposal for cash management [1] - The approved amount for cash management is not to exceed 2 billion yuan [1] - The investment products will include safe and liquid options such as structured deposits and large certificates of deposit, with a maximum individual product term of 12 months [1] Group 2 - The effective period for the cash management strategy is 12 months from the date of board approval [1] - Funds can be rolled over within the approved limit without affecting the progress of the investment projects or the company's normal operations [1]

Megmeet-麦格米特:拟使用不超20.00亿元部分暂时闲置募集资金进行现金管理 - Reportify