恒邦股份:“恒邦转债”赎回实施的第十六次提示性公告
Core Viewpoint - Hengbang Co., Ltd. announced the redemption price for "Hengbang Convertible Bonds" at 100.28 CNY per share, with the redemption conditions met on October 17, 2025 [2] Summary by Sections - Redemption Details - The redemption date is set for November 28, 2025, with the registration date on November 27, 2025 [2] - The entire amount of the bonds will be redeemed [2] - Conversion Period - The conversion period for the bonds is from December 18, 2023, to June 11, 2029 [2]