券商理财产品及其他投资产品
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南亚新材: 南亚新材关于使用闲置自有资金进行现金管理的公告
Zheng Quan Zhi Xing· 2025-07-17 16:29
Group 1 - The company plans to use idle self-owned funds for cash management, with an investment limit not exceeding RMB 500 million [1][2] - The cash management period is valid for 12 months from the date of board approval [2] - The purpose of cash management is to improve the efficiency of idle funds and increase investment returns for the company and its shareholders [2][4] Group 2 - The company will invest in low-risk, high-liquidity, and safe investment products, including but not limited to bank wealth management products and broker wealth management products [2][3] - The board of directors has authorized the chairman to decide on specific investment matters within the approved limits [2][3] - The company will comply with relevant disclosure obligations as per applicable laws and regulations [2][4] Group 3 - The company’s use of idle funds for cash management will not affect its normal production and operations [4] - The supervisory board supports the decision, stating it will enhance the efficiency of idle funds and increase overall returns for the company and shareholders [4]