Special Instructions:
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Redemption date: June 23, 2026.
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Redemption price: 101.266 CNY/share (including tax).
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Redemption funds to be credited by: June 30, 2026.
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Suspension of conversion: June 17, 2026.
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Registration date: June 22, 2026.
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Type of bonds: All types.
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The trading of the convertible bonds will be handled by: Zimei Convertible Bonds.
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According to the announcement, the "Jiemei Convertible Bonds" will be subject to strict management starting from June 22, 2026.
Basic Situation of "Jiemei Convertible Bonds"
- Convertible bond issuance situation