Workflow
淄博齐翔腾达化工股份有限公司可转换公司债券2025年付息公告

Group 1 - The company will pay the fifth-year interest on the convertible bond "齐翔转2" on August 20, 2025, at a rate of 1.9%, amounting to 19.00 yuan per 10 bonds (including tax) [2][4][8] - The total issuance of "齐翔转2" was 29.9 million bonds, with a total value of 2.99 billion yuan, and it was listed on the Shenzhen Stock Exchange on September 15, 2020 [3][4] - The bond has a maturity period from August 20, 2020, to August 19, 2026, with annual interest payments [3][4] Group 2 - The interest payment will be made to bondholders registered by the debt registration date of August 19, 2025 [9][10] - The company will not withhold income tax for foreign institutional investors (QFII and RQFII) on the interest income, while individual investors will have a 20% tax withheld [8][12][13] - The bond's credit rating is AA, with a stable outlook, as assessed by a credit rating agency [7]