Group 1 - The company announced that the "Guoli Convertible Bonds" will stop conversion from June 24, 2025, until the equity distribution registration date due to the implementation of the 2024 annual equity distribution plan [1][4] - The company plans to distribute a cash dividend of 2.10 yuan (including tax) for every 10 shares, totaling 20,016,262.56 yuan (including tax) [2][4] - The cash dividend per share will be adjusted from 0.21 yuan (including tax) to 0.21047 yuan (including tax) due to share repurchase, resulting in a slight change in the total profit distribution amount [2][4] Group 2 - The company will disclose the adjustment of the conversion price for the "Guoli Convertible Bonds" on June 25, 2025, on the Shanghai Stock Exchange website and designated media [1][4] - Holders of the convertible bonds must convert their bonds before June 23, 2025, to enjoy the equity distribution [4] - For further details regarding the "Guoli Convertible Bonds," investors can refer to the company's previously disclosed documents on the Shanghai Stock Exchange website [4][5]
国力股份: 昆山国力电子科技股份有限公司关于实施2024年年度权益分派时“国力转债”停止转股的提示性公告