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伟明环保: 伟明环保关于“伟22转债”付息公告

Summary of Key Points Core Viewpoint - Zhejiang Weiming Environmental Co., Ltd. announces the interest payment details for its convertible bonds "Wei 22 Convertible Bonds" which will start on July 22, 2025, for the interest period from July 22, 2024, to July 21, 2025 [1][4]. Group 1: Convertible Bond Issuance Overview - The "Wei 22 Convertible Bonds" were issued on July 22, 2022, with a face value of 100 RMB per bond [1]. - The bonds have an annual interest payment structure, with the first interest payment due on July 22, 2025 [2][3]. Group 2: Interest Payment Details - The interest rate for the third year is set at 0.80% (including tax), resulting in an interest payment of 0.80 RMB per bond [4]. - The interest payment dates include the record date on July 21, 2025, and the payment date on July 22, 2025 [1][4]. Group 3: Taxation on Interest Income - Individual investors are responsible for paying a 20% tax on the interest income, leading to a net payment of 0.64 RMB per bond after tax [5]. - Non-resident enterprises are exempt from corporate income tax on the interest income from these bonds [5]. Group 4: Contact Information - The company provides contact details for inquiries related to the bond interest payments, including addresses and phone numbers for their legal and securities departments [6].