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摩尔线程:拟使用不超75亿元闲置募资进行现金管理
Xin Lang Cai Jing· 2025-12-12 10:22
Core Viewpoint - The company and its subsidiaries plan to utilize up to 7.5 billion yuan of idle raised funds for cash management, with a usage period of 12 months from the board's approval date [1] Group 1 - The net amount raised from the company's initial public offering (IPO) is 7.576 billion yuan, which was received on November 28, 2025 [1] - The investment will be directed towards purchasing principal-protected products such as agreed deposits [1] - The relevant proposal was approved by the board on December 12, 2025, and does not require shareholder meeting approval [1] Group 2 - Although the investment carries market volatility risks, the company has implemented multiple risk control measures [1] - The sponsor has no objections to this matter [1]