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关于芜湖伯特利汽车安全系统股份有限公司 关于使用部分闲置募集资金进行现金管理的公告
Group 1 - The company has approved the use of idle raised funds for cash management to enhance fund utilization efficiency and increase returns for shareholders [2][9][13] - The maximum amount for cash management is set at 1.3 billion RMB, with a usage period not exceeding 12 months, and the funds will be returned to the designated account upon maturity [7][9][13] - The cash management will involve low-risk, high-liquidity financial products such as structured deposits and large-denomination certificates of deposit [10][11] Group 2 - The company raised a total of 2.802 billion RMB through the issuance of convertible bonds, with a net amount of approximately 2.790 billion RMB after deducting issuance costs [6] - The cash management decision was made during the fourth board meeting held on July 30, 2025, and does not require shareholder approval as it falls within the board's authorized limits [9][13] - The company will ensure compliance with relevant regulations and maintain transparency in the management of idle funds [13][24]