精达股份: 精达股份关于“精达转债”2025年付息的公告

Core Points - The company announced the interest payment schedule for its convertible bonds, which will begin on August 19, 2025 [1][3] - The interest rate for the fifth year is set at 1.8%, with the sixth year at 2.0% [1][3] - The interest payment will be made to all registered bondholders as of August 18, 2025 [3][4] Summary by Sections Bond Details - The convertible bonds were issued on August 19, 2020, and will pay interest annually [1][2] - The annual interest calculation is based on the formula I = B × i, where I is the interest amount, B is the total face value held, and i is the annual coupon rate [2] Payment Schedule - The interest payment date is August 19 each year, with the record date being the trading day before the payment date [2][3] - If the payment date falls on a holiday, it will be postponed to the next working day [2] Tax Implications - Individual investors are subject to a 20% tax on interest income, resulting in a net payment of 1.44 RMB per bond after tax [4][5] - Non-resident enterprises are exempt from corporate income tax on the interest income from these bonds [5] Contact Information - The company has provided multiple contact points for inquiries regarding the bond payments [5]