Core Points - The company announced the last trading day for the "Lingyi Convertible Bond" will be October 10, 2025, and the last conversion day will be October 14, 2025 [2][4] - The redemption price for the "Lingyi Convertible Bond" is set at 100.181 CNY per bond, including accrued interest [3][9] - The company has triggered the early redemption of the "Lingyi Convertible Bond" due to the stock price meeting the required conditions [5][6] Redemption Details - The redemption conditions were met as the company's stock price was at least 130% of the conversion price for 15 out of 30 consecutive trading days [5][6] - The redemption date is scheduled for October 15, 2025, with funds to be credited to investors' accounts by October 22, 2025 [4][14] - All holders of the "Lingyi Convertible Bond" as of the redemption registration date will be eligible for the redemption [11] Performance Forecast - The company expects a year-on-year increase in performance for the first three quarters of 2025, driven by new product launches and increased production efficiency [19][21] - Significant revenue growth is anticipated from overseas factories, contributing to improved profitability [21]
广东领益智造股份有限公司 关于“领益转债”即将停止转股暨赎回前最后一个交易日的重要提示性公告