Stock Code: 003043 Bond Code: 127079 Stock Abbreviation: Huaya Intelligent Bond Abbreviation: Huaya Convertible Bond Announcement Number: 2026-055
Suzhou Huaya Intelligent Technology Co., Ltd.
Announcement on Early Redemption of "Huaya Convertible Bond"
The Company and all members of the Board of Directors guarantee the truthfulness, accuracy, and completeness of the information disclosed, and there are no false records, misleading statements, or significant omissions.
Special Notes:
- Redemption Date for Convertible Bonds: July 9, 2026
- Redemption Price for Convertible Bonds: RMB 101.011 per bond (including interest and taxes). The post-tax redemption price shall be subject to the price approved by China Securities Depository and Clearing Corporation Limited Shenzhen Branch (hereinafter referred to as "CSDC").
- Trading Suspension Date: July 6, 2026
- Conversion Suspension Date: July 9, 2026
- Redemption Funds Arrival Date (Holder's Fund Account): July 16, 2026
- According to the arrangement, all "Huaya Convertible Bonds" that have not been converted into shares by the close of trading on July 8, 2026, will be mandatorily redeemed. Bondholders are reminded to convert their bonds within the deadline.
- Risk Warning: The redemption price of the "Huaya Convertible Bond" in this instance may differ significantly from its market price before the suspension of trading and conversion. Investors who fail to convert their bonds in a timely manner may face losses. Investors are kindly requested to pay attention to investment risks.
I. Basic Information of Convertible Corporate Bonds (1) Issuance of Convertible Corporate Bonds Approved by the China Securities Regulatory Commission's "Approval on Suzhou Huaya Intelligent Technology Co., Ltd.'s Public Offering of Convertible Corporate Bonds" (Document No. [2022] 2756), the Company publicly issued 3,400,000 convertible corporate bonds on December 16, 2022. Each bond has a face value of RMB 100, with a total issuance amount of RMB 340,000,000. (2) Listing of Convertible Corporate Bonds