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宏川智慧: 关于“宏川转债”2025年付息的公告

Core Viewpoint - The announcement details the interest payment for the "Hongchuan Convertible Bonds" due on July 17, 2025, with a specified interest rate and payment conditions for bondholders [1][3]. Summary by Sections 1. Basic Information of Convertible Bonds - The company issued 6.7 million convertible bonds on July 17, 2020, with a total value of 670 million yuan, each bond having a face value of 100 yuan [1][2]. - The interest payment for the fifth year is set at 1.8%, with a total interest of 18.00 yuan (including tax) for every 10 bonds held [1][3]. 2. Interest Calculation - The annual interest is calculated using the formula: I = B × i, where I is the annual interest amount, B is the total face value of the bonds held, and i is the coupon rate for the year [2]. - The interest payment will be made within five trading days after the interest payment date [2]. 3. Payment Scheme - The interest payment period for this announcement is from July 17, 2024, to July 16, 2025, with the interest rate fixed at 1.8% [3]. - The actual interest received by individual investors after tax will be 14.40 yuan for every 10 bonds, while qualified foreign institutional investors will receive the full 18.00 yuan [3][4]. 4. Payment Method - The company has entrusted China Securities Depository and Clearing Corporation Limited Shenzhen Branch to handle the interest payment, which will be distributed to the designated securities firms or other recognized institutions [4]. 5. Taxation on Interest Income - Individual bondholders are subject to a 20% tax on interest income, which will be withheld by the payment agency [4][5]. - Foreign institutional investors are exempt from corporate income tax and value-added tax on the interest income until December 31, 2025 [5]. 6. Consultation Information - Investors seeking further information can refer to the company's prospectus published on July 15, 2020, and can contact the board office for inquiries [6].