国城矿业:关于提前赎回“国城转债”的第八次提示性公告

Core Viewpoint - Guocheng Mining announced the redemption details for its "Guocheng Convertible Bonds," including the redemption price and dates [1] Summary by Categories Redemption Details - The redemption price is set at 100.82 CNY per bond, which includes the accrued interest for the current period [1] - The annual interest rate for the current period is 2.00%, with the interest being tax-inclusive [1] - The conditions for redemption are met on November 19, 2025, with the redemption registration date on December 11, 2025, and the actual redemption date on December 12, 2025 [1] - This redemption will be a full redemption of all bonds [1]