宏发股份:关于实施“宏发转债”赎回暨摘牌的第四次提示性公告

Core Viewpoint - Hongfa Co., Ltd. announced the redemption details for its convertible bonds, indicating a structured timeline for investors [1] Group 1: Redemption Details - The redemption registration date for "Hongfa Convertible Bonds" is set for December 11, 2025 [1] - The redemption price is established at 100.2219 yuan per bond [1] - The payment date for the redemption amount is scheduled for December 12, 2025 [1] Group 2: Trading and Conversion Dates - The last trading day for the bonds will be December 8, 2025 [1] - The final conversion date for the bonds is December 11, 2025 [1]