旗滨集团:关于实施“旗滨转债”赎回暨摘牌的最后一次提示性公告
Core Points - Qibin Group announced the redemption date for "Qibin Convertible Bonds" as December 2, 2025, with a redemption price of 101.1737 CNY per bond [2] - The payment date for the redemption will be December 3, 2025, and the bonds will be delisted from the Shanghai Stock Exchange on the same day [2]