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晋西车轴: 晋西车轴关于使用部分闲置自有资金进行现金管理的公告
Zheng Quan Zhi Xing· 2025-08-05 16:32
Overview - The company announced the use of idle self-owned funds for cash management, with a maximum amount not exceeding RMB 500 million [1][2] Cash Management Details - Cash management will be conducted through financial institutions such as commercial banks, focusing on high safety and liquidity investment products with a maturity of no more than 12 months [1][2] - The cash management period is valid for one year from the date of board approval [2] Purpose and Benefits - The purpose of cash management is to enhance the efficiency of idle funds and increase the investment return rate while ensuring the safety of funds and the company's operational needs [1][3] - This initiative is expected to benefit the company and all shareholders by increasing overall returns [3] Approval Process - The cash management proposal was approved in the fifth meeting of the eighth board and the third meeting of the eighth supervisory board held on August 5, 2025 [2][4] - The independent directors unanimously supported the proposal prior to the board meeting [2][4] Risk Management - Although the investment products are low-risk, the company acknowledges potential market volatility and will adjust its investment strategy accordingly [2] - The company will implement measures to control investment risks and ensure the safety of funds [2][4]