Group 1 - The company held its fourth meeting of the fifth board of directors and the second meeting of the fifth supervisory board on April 22, 2025, where it approved a proposal to use up to 300 million yuan of idle raised funds for cash management [1] - The company plans to invest in financial products or deposit products that are safe, liquid, and have a capital protection agreement, with a maximum investment period of 12 months [1] - Recently, the company redeemed its expired financial products, recovering a total principal of 100 million yuan and earning a total return of 403,287.67 yuan, which has been returned to the special account for raised funds [1] Group 2 - As of the announcement date, the company has utilized raised funds for entrusted financial management over the past twelve months [2]
证券代码:603585 证券简称:苏利股份 公告编号:2026-005 转债代码:113640 转债简称:苏利转债