Special Reminder:
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Redemption date: June 16, 2026
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Redemption price: 100.717 CNY/share (including tax)
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Funds received for redemption: June 24, 2026
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Trading suspension date: June 11, 2026
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Suspension of transfer shares: June 16, 2026
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Conditions for redemption: May 22, 2026
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Registration date for redemption: June 15, 2026
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Date for fund issuance (to reach China Securities Depository and Clearing Co., Ltd.): June 22, 2026
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Type of bond: All types
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The last trading day for the convertible bond will be: Z Xingrui Convertible Bond