Key Points - The company will redeem all outstanding "Jin Tong Convertible Bonds" on August 25, 2025, at a price of 100.0477 CNY per bond [1][4] - The last trading day for the "Jin Tong Convertible Bonds" is August 20, 2025, and trading will cease on August 21, 2025 [1][5] - The last conversion date for the bonds is August 25, 2025, with only one trading day remaining before this date [1][5] - The redemption was triggered as the company's stock price exceeded 130% of the conversion price for 15 out of 30 trading days from July 14 to August 1, 2025 [2][3] - The company will issue a final announcement regarding the redemption results and its impact after the redemption process is completed [5] - The redemption price includes accrued interest of 0.0477 CNY per bond, calculated based on the bond's face value and interest rate [4][5] - From August 26, 2025, the "Jin Tong Convertible Bonds" will be delisted from the Shanghai Stock Exchange [7]
金田股份: 金田股份关于实施“金铜转债”赎回暨摘牌的最后一次提示性公告