002958SZSE
🚨 Material Event

Second Reminder Announcement on the Maturity Redemption and Delisting of Qingnong Commercial Bank Convertible Bonds

✨ AI Summary

This announcement provides a second reminder regarding the maturity redemption and delisting of Qingnong Commercial Bank convertible bonds. The bonds will mature on August 24, 2026, with a redemption price of RMB 108 per bond. The last trading day is August 19, 2026, after which they will be delisted. Holders are urged to convert or redeem before the deadline.

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Full Translation

AI Translation· gemini_document

Securities Code: 002958

Convertible Bond Code: 128129

Securities Abbreviation: Qingnong Commercial Bank

Convertible Bond Abbreviation: Qingnong Convertible Bond

Announcement Number: 2026-032

Qingdao Rural Commercial Bank Co., Ltd.

Second Reminder Announcement on the Maturity Redemption and Delisting of Qingnong Convertible Bonds

The Bank and all members of the Board of Directors guarantee the truthfulness, accuracy, and completeness of the content of this announcement, and there are no false records, misleading statements, or significant omissions.

Special Reminder:

  1. Maturity Date and Redemption Registration Date of Qingnong Convertible Bonds: August 24, 2026

  2. Redemption Price of Qingnong Convertible Bonds: RMB 108 per bond (including tax and the final interest payment)

  3. Last Trading Day of Qingnong Convertible Bonds: August 19, 2026

  4. Trading Suspension Date of Qingnong Convertible Bonds: August 20, 2026

  5. Last Conversion Date of Qingnong Convertible Bonds: August 24, 2026

  6. According to the arrangement, Qingnong convertible bonds that have not been converted by the close of trading on August 24, 2026, will be mandatorily redeemed. Upon completion of this redemption, Qingnong convertible bonds will be delisted from the Shenzhen Stock Exchange. Holders of Qingnong convertible bonds are hereby reminded to convert their bonds within the conversion period.

  7. After the trading suspension and b

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