Summary of Key Points Core Viewpoint - The company announced an adjustment to the conversion price of its convertible bonds due to the distribution of cash dividends, resulting in a decrease from 12.23 CNY to 11.78 CNY per share, effective from June 27, 2025 [1][2][4]. Group 1: Conversion Price Adjustment - The conversion price before adjustment was 12.23 CNY per share [1][3]. - The adjusted conversion price after the cash dividend distribution will be 11.78 CNY per share [1][3]. - The adjustment will take effect on June 27, 2025, which is the ex-dividend date [4]. Group 2: Dividend Distribution Details - The company will distribute cash dividends at a rate of 4.50 CNY per 10 shares (including tax) [1][2]. - The record date for the dividend distribution is set for June 26, 2025, with the ex-dividend date and cash dividend payment date on June 27, 2025 [2][4]. - The adjustment to the conversion price is in accordance with the terms outlined in the bond issuance prospectus [2][3].
金诚信: 金诚信关于“金诚转债”因权益分派引起的转股价格调整公告