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海顺新材: 关于2024年年度权益分派实施公告

Core Viewpoint - The company announced its 2024 annual profit distribution plan, which includes a cash dividend of 2.70 RMB per 10 shares for all shareholders, excluding shares held in the repurchase account [1][2][3] Summary by Sections Profit Distribution Plan - The profit distribution plan is based on a total share count of 187,979,643 shares, excluding 5,558,275 shares held in the repurchase account [1][2] - The total cash dividend to be distributed amounts to 50,754,503.61 RMB (including tax) [2] Shareholder Rights - Shares in the repurchase account will not participate in the profit distribution, ensuring that only eligible shares are considered [2][4] Key Dates - The record date for shareholders is set for June 20, 2025, and the ex-dividend date is June 23, 2025 [3][4] Dividend Payment Method - Cash dividends will be directly credited to the shareholders' accounts through their custodial securities companies on the ex-dividend date [4] Adjustments to Related Parameters - The ex-dividend reference price will be calculated by subtracting the cash dividend per share from the closing price on the day before the ex-dividend date [4] - The conversion price for the company's convertible bonds will be adjusted from 17.74 RMB to 17.48 RMB per share effective from June 23, 2025 [4][5]