002937SZSE

Announcement on the Eighth Reminder for Early Redemption of "Xingrui Convertible Bonds"

✨ AI Summary

This announcement details the early redemption of "Xingrui Convertible Bonds." Key dates include the redemption date on June 16, 2026, and the bond price set at 100.717 CNY per share. The company emphasizes the importance of accurate information disclosure and outlines the conditions for bondholders.

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Full Translation

AI Translation· azure_openai

Special Reminder:

  1. Redemption date: June 16, 2026

  2. Redemption price: 100.717 CNY/share (including tax)

  3. Funds received for redemption: June 24, 2026

  4. Trading suspension date: June 11, 2026

  5. Suspension of transfer shares: June 16, 2026

  6. Conditions for redemption: May 22, 2026

  7. Registration date for redemption: June 15, 2026

  8. Date for fund issuance (to reach China Securities Depository and Clearing Co., Ltd.): June 22, 2026

  9. Type of bond: All types

  10. The last trading day for the convertible bond will be: Z Xingrui Convertible Bond

Basic Situation of "Xingrui Convertible Bond"

1. Issuance of Convertible Bonds

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