301193SZSE

Announcement on the Redemption Results of "Jia Lian Convertible Bonds"

Jia Lian Technology Co., Ltd.··7 pages

✨ AI Summary

This announcement details the redemption results for the "Jia Lian Convertible Bonds." A total of 5,870 bonds were redeemed at a total value of 589,019.14 yuan. The redemption date is set for June 4, 2026, with the last trading day on May 28, 2026. The company emphasizes the accuracy and completeness of the information provided.

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Full Translation

AI Translation· azure_openai

Special Instructions:

  1. "Jia Lian Convertible Bonds" redemption quantity: 5,870 shares
  2. "Jia Lian Convertible Bonds" total redemption amount: 589,019.14 yuan (excluding handling fees)
  3. "Jia Lian Convertible Bonds" redemption deadline: June 4, 2026
  4. "Jia Lian Convertible Bonds" last trading day: June 5, 2026

Basic Information on Convertible Bonds

(1) Status of the convertible bonds issuance

According to the notice from the China Securities Regulatory Commission on November 17, 2023, regarding the approval for the issuance of convertible bonds by Ningbo Jia Lian Technology Co., Ltd. (Document No. 2023-2602), the company plans to issue 7,500 shares of convertible bonds, with a price set at 750,000,000.00 yuan (excluding handling fees). The total amount raised is 6,143,876,213.21 yuan.

Status of the Convertible Bonds Listing

The company intends to list the convertible bonds on the Shenzhen Stock Exchange starting from January 18, 2024, under the name "Jia Lian Convertible Bonds" and the code "123236."

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