亿田智能(300911.SZ):“亿田转债”将于12月22日付息
Core Viewpoint - Yitian Intelligent (300911.SZ) announced that the "Yitian Convertible Bond" (bond code: 123235) will pay the second-year interest at face value on December 22, 2025, with an interest distribution of RMB 5.00 per 10 bonds (face value of 1000 yuan) [1] Group 1 - The interest payment period is from December 21, 2024, to December 20, 2025 [1] - The current coupon rate for this period is 0.50% [1]