Group 1 - The company plans to distribute a cash dividend of RMB 1.10 per 10 shares (including tax) to all shareholders based on the total share capital after deducting shares held in the repurchase account [1][2] - The profit distribution plan was approved at the annual general meeting held on May 13, 2025, and further details were published on May 14, 2025 [2] - The company will adjust the conversion prices of the two convertible bonds, "Jintian Convertible Bond" and "Jincopper Convertible Bond," according to the relevant regulations after the implementation of the profit distribution plan [2][3] Group 2 - The convertible bonds will be suspended from conversion from June 4, 2025, until the record date for the profit distribution, with resumption of conversion on the first trading day after the record date [3] - Holders of convertible bonds wishing to enjoy the profit distribution must convert their bonds by June 3, 2025 [3]
金田股份: 金田股份关于实施2024年年度权益分派时可转换债券停止转股的提示性公告