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联诚精密(002921) - 关于“联诚转债”赎回实施的第七次提示性公告
2025-08-04 08:15
| 证券代码:002921 | 证券简称:联诚精密 | 公告编号:2025-059 | | --- | --- | --- | | 债券代码:128120 | 债券简称:联诚转债 | | 山东联诚精密制造股份有限公司 关于"联诚转债"赎回实施的第七次提示性公告 本公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有 虚假记载、误导性陈述或重大遗漏。 特别提示: 1、"联诚转债"赎回价格:100.22 元/张(含息税,当期年利率为 2.50%), 扣税后的赎回价格以中国证券登记结算有限责任公司深圳分公司(以下简称"中 登公司")核准的价格为准。 2、有条件赎回条款触发日:2025 年 7 月 25 日 3、赎回登记日:2025 年 8 月 15 日 4、赎回日:2025 年 8 月 18 日 5、停止交易日:2025 年 8 月 13 日 6、停止转股日:2025 年 8 月 18 日 7、发行人资金到账日(到达中登公司账户):2025 年 8 月 21 日 8、投资者赎回款到账日:2025 年 8 月 25 日 9、赎回类别:全部赎回 10、最后一个交易日可转债简称:Z 诚转债 11、根据安排,截至 ...
山东联诚精密制造股份有限公司关于“联诚转债”赎回实施的第六次提示性公告
Summary of Key Points Core Viewpoint - The company, Shandong Liancheng Precision Manufacturing Co., Ltd., has announced the implementation of the redemption of its convertible bonds, "Liancheng Convertible Bonds," due to the triggering of conditional redemption clauses based on stock price performance [1][5]. Redemption Overview - The redemption price for "Liancheng Convertible Bonds" is set at 100.22 CNY per bond, including interest and tax, with a current annual interest rate of 2.50% [2][11]. - The conditional redemption clause was triggered as the company's stock price closed above 130% of the conversion price for 15 trading days within a 30-day period [5][8]. Key Dates - Conditional redemption trigger date: July 25, 2025 [6] - Redemption registration date: August 15, 2025 [6] - Redemption date: August 18, 2025 [6] - Last trading day for the bonds: August 13, 2025 [6] - Last day for conversion: August 18, 2025 [6] - Funds credited to the issuer's account: August 21, 2025 [6] - Redemption funds credited to bondholders' accounts: August 25, 2025 [6]. Redemption Process - The company will issue a reminder announcement on each trading day leading up to the redemption date [14]. - The bonds will cease trading on August 13, 2025, and conversion will stop on August 18, 2025 [15]. - After the redemption is completed, the bonds will be delisted from the Shenzhen Stock Exchange [15]. Tax Implications - Individual investors are subject to a 20% tax on interest income, resulting in a net redemption amount of approximately 100.176 CNY per bond after tax [17]. - Qualified foreign institutional investors are exempt from corporate income tax on interest income until December 31, 2025 [18]. Additional Information - The company confirmed that there were no transactions of "Liancheng Convertible Bonds" by major shareholders and executives in the six months leading up to the redemption condition [16].
联诚精密: 关于“联诚转债”赎回实施的第六次提示性公告
Zheng Quan Zhi Xing· 2025-08-03 16:18
Redemption Overview - The company has triggered the conditional redemption of "Liancheng Convertible Bonds" due to the stock price closing at or above 130% of the conversion price for 15 trading days from June 25, 2025, to July 25, 2025, which is 15.07 CNY per share [1][2] - The redemption price is set at 100.22 CNY per bond, which includes accrued interest [3][4] Conditional Redemption Terms - The company can redeem all or part of the unconverted bonds if either of the following conditions is met: 1. The stock price remains above 130% of the conversion price for at least 15 trading days within any 30-day period 2. The remaining unconverted bonds are less than 30 million CNY [2] Redemption Implementation Arrangements - The redemption will be executed for all bondholders registered with the China Securities Depository and Clearing Corporation by the redemption registration date of August 15, 2025 [3][4] - The redemption amount will be directly transferred to the bondholders' accounts through their custodial brokers [4] Tax Implications - Individual investors are subject to a 20% tax on interest income, resulting in a net redemption amount of approximately 100.176 CNY per bond after tax [5] - Qualified foreign institutional investors are exempt from corporate income tax on bond interest income, receiving the full redemption amount of 100.22 CNY [6] Share Conversion Process - Bondholders wishing to convert their bonds into shares must submit a conversion application, with the minimum conversion unit being one share [6]
联诚精密(002921)8月1日主力资金净流入1585.42万元
Sou Hu Cai Jing· 2025-08-03 09:40
Group 1 - The core viewpoint of the news is that Liancheng Precision (002921) has shown a slight increase in stock price, with a closing price of 15.5 yuan, up 2.38% as of August 1, 2025 [1] - The trading volume was 102,100 lots, with a transaction amount of 158 million yuan, indicating active market participation [1] - The net inflow of main funds was 15.85 million yuan, accounting for 10.01% of the transaction amount, with significant contributions from large orders [1] Group 2 - For the latest financial performance, Liancheng Precision reported total operating revenue of 261 million yuan for Q1 2025, a year-on-year decrease of 0.18% [1] - The net profit attributable to shareholders was 7.8 million yuan, down 19.04% year-on-year, while the non-recurring net profit saw a significant drop of 75.97% to 9.65 million yuan [1] - The company has a current ratio of 1.379, a quick ratio of 0.964, and a debt-to-asset ratio of 49.29% [1] Group 3 - Liancheng Precision, established in 1998 and located in Jining, primarily operates in the automotive manufacturing sector [2] - The company has invested in 18 enterprises and participated in 53 bidding projects, showcasing its active engagement in the industry [2] - It holds 18 trademark registrations and 80 patents, along with 20 administrative licenses, indicating a strong intellectual property portfolio [2]
联诚精密(002921) - 关于“联诚转债”赎回实施的第六次提示性公告
2025-08-03 07:45
| 证券代码:002921 | 证券简称:联诚精密 公告编号:2025-058 | | --- | --- | | 债券代码:128120 | 债券简称:联诚转债 | 山东联诚精密制造股份有限公司 关于"联诚转债"赎回实施的第六次提示性公告 本公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有 虚假记载、误导性陈述或重大遗漏。 特别提示: 1、"联诚转债"赎回价格:100.22 元/张(含息税,当期年利率为 2.50%), 扣税后的赎回价格以中国证券登记结算有限责任公司深圳分公司(以下简称"中 登公司")核准的价格为准。 2、有条件赎回条款触发日:2025 年 7 月 25 日 3、赎回登记日:2025 年 8 月 15 日 4、赎回日:2025 年 8 月 18 日 5、停止交易日:2025 年 8 月 13 日 6、停止转股日:2025 年 8 月 18 日 7、发行人资金到账日(到达中登公司账户):2025 年 8 月 21 日 8、投资者赎回款到账日:2025 年 8 月 25 日 9、赎回类别:全部赎回 10、最后一个交易日可转债简称:Z 诚转债 11、根据安排,截至 2025 年 8 月 ...
联诚精密:关于“联诚转债”赎回实施的第五次提示性公告
Zheng Quan Ri Bao· 2025-07-31 13:09
Group 1 - The core point of the announcement is that the redemption price of "Liancheng Convertible Bonds" may differ significantly from the market price before trading and conversion stops, urging holders to convert within the specified period [2] - The company warns investors that failure to convert in time may lead to potential losses, highlighting the importance of being aware of investment risks [2]
联诚精密(002921) - 关于“联诚转债”赎回实施的第五次提示性公告
2025-07-31 07:47
关于"联诚转债"赎回实施的第五次提示性公告 本公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有 虚假记载、误导性陈述或重大遗漏。 特别提示: 1、"联诚转债"赎回价格:100.22 元/张(含息税,当期年利率为 2.50%), 扣税后的赎回价格以中国证券登记结算有限责任公司深圳分公司(以下简称"中 登公司")核准的价格为准。 2、有条件赎回条款触发日:2025 年 7 月 25 日 3、赎回登记日:2025 年 8 月 15 日 | 证券代码:002921 | 证券简称:联诚精密 公告编号:2025-057 | | --- | --- | | 债券代码:128120 | 债券简称:联诚转债 | 山东联诚精密制造股份有限公司 4、赎回日:2025 年 8 月 18 日 5、停止交易日:2025 年 8 月 13 日 6、停止转股日:2025 年 8 月 18 日 7、发行人资金到账日(到达中登公司账户):2025 年 8 月 21 日 8、投资者赎回款到账日:2025 年 8 月 25 日 9、赎回类别:全部赎回 10、最后一个交易日可转债简称:Z 诚转债 11、根据安排,截至 2025 年 8 月 ...
联诚精密(002921) - 关于控股股东、实际控制人及其一致行动人持股比例被动稀释触及1%及5%整数倍的公告
2025-07-30 11:18
山东联诚精密制造股份有限公司 关于控股股东、实际控制人及其一致行动人持股比例被动稀释 触及 1%及 5%整数倍的公告 本公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有 虚假记载、误导性陈述或重大遗漏。 本次权益变动系山东联诚精密制造股份有限公司(以下简称"公司")可转债 转股,导致控股股东、实际控制人郭元强先生及一致行动人翠丽控股有限公司( JADE BEAUTY HOLDINGS LIMITED)(以下简称"翠丽控股")的持股比例被动稀 释,权益变动前后上述股东持股数量无变化,公司控股股东、实际控制人未发生变 化。具体情况如下: | 证券代码:002921 | 证券简称:联诚精密 | 公告编号:2025-056 | | --- | --- | --- | | 债券代码:128120 | 债券简称:联诚转债 | | | 股份种类(A | 股、B | 股 | 增持/减持/其他变动(请注明 | 增持/减持/其他变动(请 | | --- | --- | --- | --- | --- | | 等) | | | )股数(万股) | 注明)比例(%) | | 股 A | | | 郭元强先生及翠丽控股:持 ...
联诚精密(002921) - 关于“联诚转债”赎回实施的第三次提示性公告
2025-07-29 09:17
| 证券代码:002921 | 证券简称:联诚精密 | 公告编号:2025-054 | | --- | --- | --- | | 债券代码:128120 | 债券简称:联诚转债 | | 山东联诚精密制造股份有限公司 关于"联诚转债"赎回实施的第三次提示性公告 本公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有 虚假记载、误导性陈述或重大遗漏。 特别提示: 1、"联诚转债"赎回价格:100.22 元/张(含息税,当期年利率为 2.50%), 扣税后的赎回价格以中国证券登记结算有限责任公司深圳分公司(以下简称"中 登公司")核准的价格为准。 2、有条件赎回条款触发日:2025 年 7 月 25 日 3、赎回登记日:2025 年 8 月 15 日 4、赎回日:2025 年 8 月 18 日 5、停止交易日:2025 年 8 月 13 日 6、停止转股日:2025 年 8 月 18 日 8、投资者赎回款到账日:2025 年 8 月 25 日 9、赎回类别:全部赎回 10、最后一个交易日可转债简称:Z 诚转债 11、根据安排,截至 2025 年 8 月 15 日收市后仍未转股的"联诚转债"将被 强制赎回。 ...
联诚精密(002921) - 关于“联诚转债”转股数额累计达到转股前公司已发行股份总额10%的公告
2025-07-29 03:39
本公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有 虚假记载、误导性陈述或重大遗漏。 经中国证券监督管理委员会《关于核准山东联诚精密制造股份有限公司公开发 行可转换公司债券的批复》(证监许可[2020]802 号)核准,山东联诚精密制造股份 有限公司(以下简称"公司")于 2020 年 7 月 17 日公开发行了 260 万张可转换公司 债券,每张面值 100 元,发行总额 2.60 亿元,期限为自发行之日起 6 年。 经深圳证券交易所(以下简称"深交所")"深证上[2020]716 号"文同意,公 司 2.60 亿元可转换公司债券于 2020 年 8 月 17 日起在深交所挂牌交易,债券简称" 联诚转债",债券代码"128120"。 | 证券代码:002921 | 证券简称:联诚精密 | 公告编号:2025-053 | | --- | --- | --- | | 债券代码:128120 | 债券简称:联诚转债 | | 根据《深圳证券交易所股票上市规则》规定:"上市公司应当在可转换公司债 券转换为股票的数额累计达到可转换公司债券开始转股前公司已发行股份总额的 10%时及时披露"。"联诚转债"的转股 ...