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浦发银行: 上海浦东发展银行股份有限公司关于根据2024年度利润分配方案调整可转债转股价格的公告

Core Viewpoint - The announcement details the adjustment of the conversion price for the company's convertible bonds following the 2024 annual profit distribution plan, which includes a cash dividend for common shareholders [1][2][3] Group 1: Securities Information - The convertible bond "浦发转债" will have its conversion price adjusted from RMB 12.92 per share to RMB 12.51 per share [2][3] - The adjustment will take effect on July 16, 2025, after the dividend distribution [2][3] Group 2: Dividend Distribution - The company will distribute a cash dividend of RMB 0.41 per share (including tax) to all common shareholders [2][3] - The record date for the dividend distribution is set for July 15, 2025, with the ex-dividend date on July 16, 2025 [2][3] Group 3: Adjustment Formula - The conversion price adjustment is based on the formula: P1 = P0 - D, where P0 is the previous conversion price, D is the cash dividend per share, and P1 is the adjusted conversion price [3] - The adjustment follows the regulations outlined in the company's convertible bond prospectus [3]