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福蓉科技: 关于实施2024年年度权益分派调整“福蓉转债”转股价格的公告
Zheng Quan Zhi Xing· 2025-06-12 12:53
Core Viewpoint - The company is adjusting the conversion price of its convertible bonds "Furong Convertible Bonds" due to the implementation of the 2024 annual equity distribution, with the new conversion price set to be effective from June 20, 2025 [4][7]. Group 1: Conversion Price Adjustment - The conversion price before adjustment is 10.86 CNY per share, and after adjustment, it will be 8.17 CNY per share [4][7]. - The adjustment is based on the company's profit distribution plan, which includes a cash dividend of 2.50 CNY per 10 shares and a capital reserve transfer of 3 shares for every 10 shares held [2][3]. - The adjustment formula for the conversion price considers factors such as stock dividends, capital increases, and cash dividends [3][5]. Group 2: Suspension and Resumption of Conversion - The conversion of "Furong Convertible Bonds" will be suspended from June 12, 2025, to June 19, 2025, and will resume on June 20, 2025 [6][7]. - The total share capital of the company is 768,078,473 shares, with 764,711,259 shares participating in the distribution after accounting for repurchased shares [6]. Group 3: Distribution Details - The virtual cash dividend per share is approximately 0.2489 CNY, calculated based on the total shares participating in the distribution [6]. - The change in circulating shares due to the distribution is approximately 29.87% [6].
恒逸石化: 关于“恒逸转债”转股价格调整的公告
Zheng Quan Zhi Xing· 2025-06-12 12:42
证券代码:000703 证券简称:恒逸石化 公告编号:2025-059 债券代码:127022 债券简称:恒逸转债 恒逸石化股份有限公司 本公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有虚假 记载、误导性陈述或重大遗漏。 特别提示: 一、基本情况 恒逸石化股份有限公司(以下简称"公司")于2020年10月16日公开发行了 转债于2020年11月16日在深圳证券交易所上市交易,债券简称"恒逸转债",债 券代码"127022"。 由于公司实施2020年年度权益分派,可转债转股价格由11.50元/股调整为 券日报》《上海证券报》和巨潮资讯网(www.cninfo.com.cn)上的《关于可转债 转股价格调整的公告》(公告编号:2021-075)。 由于公司实施2021年年度权益分派,可转债转股价格由11.20元/股调整为 券日报》《上海证券报》和巨潮资讯网(www.cninfo.com.cn)上的《关于可转债 转股价格调整的公告》(公告编号:2022-057)。 由于公司实施2023年年度权益分派,可转债转股价格由11.00元/股调整为 券日报》《上海证券报》和巨潮资讯网(www.cninfo.com ...
鲁 泰A: 2024年度分红派息实施公告
Zheng Quan Zhi Xing· 2025-06-12 12:18
Group 1 - The company approved a profit distribution plan for the year 2024, proposing a cash dividend of 1.00 RMB per 10 shares, totaling 81,730,601 RMB [1][2] - The distribution will be based on the total share capital of 817,306,010 shares, with A shares receiving 59,118,004.50 RMB and B shares receiving 22,612,596.50 RMB [1][2] - The dividend will be distributed on June 20, 2025, with the ex-dividend date set for the same day [2] Group 2 - The cash dividends for B shares will be converted to Hong Kong dollars based on the exchange rate published by the People's Bank of China on May 8, 2025 [2] - The adjustment of the conversion price for the company's convertible bonds will occur due to the dividend distribution [3]
恒逸石化: 2024年年度权益分派实施公告
Zheng Quan Zhi Xing· 2025-06-12 12:18
在保证本次权益分派方案不变的前提下,2024年年度权益分派实施后的除权 除息价格按照上述原则及计算方式执行,即本次权益分派实施后的除权除息价格 =股权登记日收盘价-0.0450090元/股(保留小数点后两位,最后一位四舍五入为 一、股东大会审议通过权益分派方案情况 证券代码:000703 证券简称:恒逸石化 公告编号:2025-058 债券代码:127022 债券简称:恒逸转债 债券代码:127067 债券简称:恒逸转 2 恒逸石化股份有限公司 本公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有虚假 记载、误导性陈述或重大遗漏。 特别提示: 恒逸石化股份有限公司(以下简称"恒逸石化"或"公司")2024年年度权 益分派方案已获2025年5月15日召开的2024年年度股东大会审议通过,本次权益 分派方案的具体内容为:以公司现有总股本剔除已回购股份365,971,089股后的 进行公积金转增股本。在本分配预案实施前,公司总股本由于可转债转股、股份 回购、股权激励行权、再融资新增股份上市等原因而发生变化的,公司将维持每 股分配金额不变,相应调整总股本。 公司本次实际现金分红的总金额=实际参与分配的总股本 ...
通裕重工: 关于不调整可转债转股价格及回购股份价格上限的公告
Zheng Quan Zhi Xing· 2025-06-12 11:30
证券代码:300185 证券简称:通裕重工 公告编号:2025-061 债券代码:123149 债券简称:通裕转债 通裕重工股份有限公司 本公司及其董事会全体人员保证信息披露的内容真实、准确和完整,没有 虚假记载、误导性陈述或者重大遗漏。 特别提示: 《2024 年年度权益分派实施公告》,本次权益分派实施后,公司不调整通裕转债 的转股价格,同时不调整回购股份价格上限。 "通裕转债"的转股价格仍为 2.72 元/股;股份回购价格上限仍为 2.73 元/股。 一、不调整通裕转债转股价格的情况 (一)转股价格调整依据 上述两项同时进行:P1=(P0+A×k)÷(1+n+k); 派送现金股利:P1=P0-D; 上述三项同时进行:P1=(P0-D+A×k)÷(1+n+k) 其中:P0 为调整前转股价,n 为送股或转增股本率,k 为增发新股或配股率, A 为增发新股价或配股价,D 为每股派送现金股利,P1 为调整后转股价。 当公司出现上述股份和/或股东权益变化情况时,将依次进行转股价格调整, 并在中国证监会指定的上市公司信息披露媒体上刊登转股价格调整的公告,并于 公告中载明转股价格调整日、调整办法及暂停转股期间(如需)。 ...
奥锐特: 奥锐特药业股份有限公司关于因实施权益分派调整“奥锐转债”转股价格的公告
Zheng Quan Zhi Xing· 2025-06-12 10:28
证券代码:605116 证券简称:奥锐特 公告编号:2025-044 债券代码:111021 债券简称:奥锐转债 奥锐特药业股份有限公司 关于因实施权益分派调整"奥锐转债"转股价格的公告 本公司董事会及全体董事保证本公告内容不存在任何虚假记载、误导性陈述 或者重大遗漏,并对其内容的真实性、准确性和完整性承担法律责任。 重要内容提示: 因实施 2024 年年度权益分派,本公司的相关证券停复牌情况如下: "奥锐转债" 自权益分派公告前一交易日(2025 年 6 月 12 日)至权益分派股权登记日(2025 年 6 月 19 日)期间停止转股,自 2025 年 6 月 20 日起恢复转股。 停牌起 停牌 | 证券代码 | 证券简称 | 停复牌类型 | | 停牌终止日 | 复牌日 | | --- | --- | --- | --- | --- | --- | | | | 始日 | 期间 | | | 奥锐特药业股份有限公司(以下简称"公司")于2024年7月26日向不特定对 象发行可转换公司债券812,120,000.00元,并于2024年8月15日起在上海证券交易 所上市交易,债券简称"奥锐转债",债券代码"1110 ...
新疆天业: 新疆天业股份有限公司关于因2024年度权益分派时“天业转债”停止转股和转股价格调整的公告
Zheng Quan Zhi Xing· 2025-06-12 10:28
Core Viewpoint - The announcement details the adjustment of the conversion price for the "Tianye Convertible Bonds" due to the 2024 annual profit distribution plan, with the new conversion price set at 6.78 CNY per share, effective from June 19, 2025 [1][4]. Group 1: Conversion Price Adjustment - Previous conversion price was 6.80 CNY per share [1]. - New conversion price is adjusted to 6.78 CNY per share [1][4]. - The adjustment will take effect on June 19, 2025 [1][4]. Group 2: Suspension of Conversion - The convertible bonds will be suspended from conversion from June 12, 2025, to June 18, 2025, during the rights distribution period [1]. - The suspension is in accordance with the relevant regulations of the Shanghai Stock Exchange [1]. Group 3: Background Information - The company issued 30 million convertible bonds with a total value of 300 million CNY on June 23, 2022, with an initial conversion price of 6.90 CNY per share [1]. - The bonds are set to mature on June 22, 2028, with a conversion period from December 29, 2022, to June 22, 2028 [1].
华锐精密: 关于实施2024年年度权益分派时可转债转股价格调整暨转股连续停牌的提示性公告
Zheng Quan Zhi Xing· 2025-06-12 09:16
Core Viewpoint - The company announces the adjustment of the conversion price for its convertible bonds due to the implementation of the 2024 annual profit distribution and capital reserve increase, resulting in a new conversion price of 64.79 CNY per share from the previous 91.31 CNY per share [1][2][3]. Summary of Key Points 1. Securities Suspension and Resumption - The company's convertible bonds will be suspended from conversion from June 18, 2025, until the registration date for the rights distribution, with resumption on the first trading day after the registration date [1][2]. 2. Annual Profit Distribution Plan - The company plans to distribute a cash dividend of 6 CNY (including tax) for every 10 shares and increase capital reserves by converting them into shares at a ratio of 0.4 for every 10 shares held [1][2]. 3. Adjustment of Conversion Price - The conversion price for the convertible bonds will be adjusted according to the formula: P1 = (P0 - D) / (1 + n), where P0 is the previous conversion price of 91.31 CNY, D is the cash dividend of 0.60 CNY per share, and n is the capital increase ratio of 0.4, resulting in a new conversion price of 64.79 CNY per share [2][3]. 4. Announcement and Contact Information - The company will publish the implementation announcement and the adjustment of the conversion price on June 19, 2025, and investors can refer to the company's bond issuance prospectus for more details [2][4].
会通股份:会通转债转股价格调整至9.06元/股
news flash· 2025-06-12 08:19
会通股份公告,因实施2024年年度权益分派,会通转债转股价格将从9.21元/股调整为9.06元/股,调整 实施日期为权益分派股权登记日后的第一个交易日。权益分派方案为每10股派发现金红利1.5元(含税)。 会通转债将于2025年6月18日至权益分派股权登记日期间停止转股,股权登记日后的第一个交易日起恢 复转股。 ...
广东红墙新材料股份有限公司 关于红墙转债转股价格调整的公告
Core Viewpoint - The announcement details the adjustment of the conversion price for the company's convertible bonds, "Hongqiang Convertible Bonds," due to the distribution of cash dividends to shareholders, resulting in a new conversion price of RMB 10.44 per share effective from June 19, 2025 [1][5][15]. Group 1: Convertible Bond Details - The initial conversion price was RMB 10.89 per share, which was adjusted to RMB 10.74 per share following a cash dividend distribution of RMB 0.15 per share [4][5]. - The final adjusted conversion price of RMB 10.44 per share reflects a further cash dividend distribution of RMB 0.30 per share, effective from June 19, 2025 [5][15]. - The total issuance of the convertible bonds amounted to RMB 31.6 million, with 3,160,000 bonds issued at a face value of RMB 100 each [1][2]. Group 2: Dividend Distribution - The company approved a cash dividend of RMB 3 per 10 shares, totaling RMB 63,479,169.90 (including tax) based on a total share capital of 211,597,233 shares [8][9]. - The dividend distribution will not include bonus shares or capital reserve transfers, and the record date for the dividend is June 18, 2025, with the ex-dividend date on June 19, 2025 [11][12]. - The company will ensure that any changes in total share capital due to the conversion of bonds or stock options will be accounted for in the dividend distribution [8][9].