Core Points - The company announced the second notice regarding the optional redemption of "Rong 23 Convertible Bonds" [1] - The redemption price is set at 100.35 CNY per bond, including the current interest [1][4] - The redemption period is from July 2, 2025, to July 8, 2025, with funds to be disbursed on July 11, 2025 [1][4] - Holders of "Rong 23 Convertible Bonds" can choose to redeem part or all of their unconverted bonds, and this redemption is not mandatory [1][2] Redemption Terms - The additional redemption clause allows bondholders to redeem their bonds if there are significant changes in the implementation of the investment projects compared to the commitments in the prospectus [2] - The calculation for the current interest is based on a formula involving the bond's face value, interest rate, and the number of days [2][3] - The interest rate for the second year (August 18, 2024, to August 17, 2025) is 0.4%, with the interest calculated for 318 days [3] Redemption Process - Bondholders must submit their redemption requests through the Shanghai Stock Exchange trading system during the specified period [4] - The redemption period is from July 2, 2025, to July 8, 2025, and the redemption price is 100.35 CNY per bond [4] - If the total face value of the convertible bonds falls below 30 million CNY after the redemption, the bonds will continue to trade until the end of the redemption period [4]
荣晟环保: 浙江荣晟环保纸业股份有限公司关于“荣23转债”可选择回售的第二次提示性公告