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通裕重工: 关于可转换公司债券2025年付息公告

Group 1 - The company announced the interest payment for its convertible bonds, with a coupon rate of 1% for the third year, amounting to 10.00 yuan for every 10 bonds held [1][3] - The interest payment period is from June 20, 2024, to June 19, 2025, and the actual interest received by investors will be 8.00 yuan after tax deductions [3][4] - The company issued a total of 14,847,200 convertible bonds on June 20, 2022, under the bond code 123149 [1][2] Group 2 - The company has a credit rating of "AA" with a stable outlook for both the issuer and the bonds [3] - The interest payment will be processed by China Securities Depository and Clearing Corporation Limited, Shenzhen Branch, which will distribute the funds to the designated accounts of bondholders [4][5] - Non-resident enterprises holding the bonds are exempt from corporate income tax on the interest income until December 31, 2025 [5]