Group 1 - The company has approved the use of idle raised funds for cash management, with a total amount not exceeding RMB 13,500.00 million, allowing for rolling use within the authorized period until December 31, 2025 [1] - The company has also approved a new cash management plan using idle funds not exceeding RMB 10,000.00 million, with authorization valid from January 1, 2026, to December 31, 2026 [2] - The company redeemed a financial product from Bank of Communications, recovering a principal of RMB 2,200.00 million and earning a profit of RMB 34.10 million [2] Group 2 - As of the announcement date, the company has a remaining balance of RMB 5,000.00 million in idle raised funds for cash management, with no overdue amounts [3] - The highest daily balance and usage period of the idle funds have not exceeded the board's authorized limits [3]
上海新炬网络信息技术股份有限公司关于使用部分闲置募集资金进行现金管理赎回的公告