新化股份:“新化转债”赎回实施的第五次提示性公告
Core Viewpoint - Xinhua Co., Ltd. announced the early redemption of its convertible bonds, "Xinhua Convertible Bonds," with a redemption registration date set for December 25, 2025, and a redemption price of 100.1151 CNY per bond [1] Summary by Relevant Sections - Redemption Details - The redemption registration date is December 25, 2025 [1] - The redemption price is set at 100.1151 CNY per bond [1] - The payment date for the redemption amount is December 26, 2025 [1] - Trading and Conversion Information - Trading of the bonds will cease starting December 23, 2025 [1] - December 25, 2025, is the last day for bond conversion [1] - Any unconverted portion will be forcibly redeemed at the price of 100.1151 CNY per bond [1]