赛分科技:拟使用不超1.00亿元部分暂时闲置募集资金进行现金管理

Core Viewpoint - The company has approved a plan to utilize up to 100 million yuan of temporarily idle raised funds for cash management, focusing on high-security and high-liquidity financial products [1] Group 1: Company Actions - The company held its second board meeting of 2026 on February 9, 2026, where the cash management proposal was reviewed and approved [1] - The approved cash management plan allows for the use of idle funds from February 14, 2026, to February 13, 2027, with a validity of 12 months [1] - The funds can be rolled over within the specified limit and duration without affecting the progress of investment projects or the company's normal operations [1] Group 2: Investment Strategy - The investment products selected for cash management include but are not limited to notice deposits, time deposits, structured deposits, large certificates of deposit, reverse repos, and income certificates, all characterized by high safety and liquidity [1]

Suzhou Sepax Technologies-赛分科技:拟使用不超1.00亿元部分暂时闲置募集资金进行现金管理 - Reportify