宏发股份:“宏发转债”赎回实施的第三次提示性公告
Core Points - Hongfa Co., Ltd. announced the redemption details for its convertible bonds, with the redemption registration date set for December 11, 2025, and a redemption price of 100.2219 CNY per bond [2] - The payment date for the redemption amount is December 12, 2025, with the last trading day being December 8, 2025, and the last conversion day on December 11, 2025 [2] - Following the early redemption, the "Hongfa Convertible Bonds" will be delisted from the Shanghai Stock Exchange starting December 12, 2025 [2]