利民股份:关于提前赎回“利民转债”实施暨即将停止交易的重要提示性公告
Core Viewpoint - Limin Co., Ltd. announced the early redemption of its convertible bonds at a price of 101.22 yuan per bond, including interest and tax, with specific redemption dates outlined [1] Group 1 - The redemption condition satisfaction date is set for December 4, 2025 [1] - The redemption registration date is December 25, 2025, and the actual redemption date is December 26, 2025 [1] - December 22, 2025, is designated as the last trading day, while December 25, 2025, is the last conversion day, after which any unconverted portion will be forcibly redeemed [1]