兴发集团:关于实施“兴发转债”赎回暨摘牌的第十二次提示性公告
Group 1 - The core announcement from Xingfa Group states that the redemption registration date for its "Xingfa Convertible Bonds" is set for March 3, 2026, with a redemption price of 100.6699 yuan per bond [2] - The redemption payment will be issued on March 4, 2026, following the last trading day which concluded on February 26, 2026 [2] - The final conversion date is March 3, 2026, after which any unconverted portion will be forcibly redeemed at the price of 100.6699 yuan per bond, and the bonds will be delisted starting March 4, 2026 [2]