Special Reminder:
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The price of the "Yiwei Convertible Bonds": 100.034 yuan/bond (the bond value corresponds to the interest for the current period, with an annual yield of 0.40%. This price is subject to tax). The price of the bond is based on the standard of the company (hereinafter referred to as "the Company").
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The conditions for redeeming the bonds must be met by: March 30, 2026.
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The bond exchange date is: April 21, 2026.
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The bond suspension date is: April 24, 2026.
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The bond redemption record date is: April 23, 2026.
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The bond redemption date is: April 24, 2026.
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The issuance of the bond funds will be completed by: April 29, 2026 (to reach the China Clearing Account).
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The investment bond will be credited to the account by: May 6, 2026.
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Bond type: All bonds.
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Risk warning: After the redemption of the "Yiwei Convertible Bonds" on April 23, 2026, the price will be strictly controlled at 100.034 yuan/bond. This announcement is complete, and the "Yiwei Convertible Bonds" will be strengthened in the trading market. Investors are reminded to pay attention to market risks.