环旭电子:关于实施“环旭转债”赎回暨摘牌的最后一次提示性公告
Core Viewpoint - The company announced the redemption details for its "Huanxu Convertible Bonds," including the redemption date and price, indicating a strategic financial move [2] Group 1: Redemption Details - The redemption registration date for "Huanxu Convertible Bonds" is set for January 28, 2026 [2] - The redemption price is established at 101.6323 yuan per bond [2] - The payment date for the redemption amount is scheduled for January 29, 2026 [2] Group 2: Conversion and Listing - January 28, 2026, is designated as the last day for bond conversion [2] - Any unconverted portion of the bonds will be forcibly redeemed at the established redemption price [2] - The bonds will be delisted starting from January 29, 2026 [2]