Workflow
转股
icon
Search documents
华阳国际: 2024年年度权益分派实施公告
Zheng Quan Zhi Xing· 2025-05-20 10:13
Group 1 - The company's profit distribution plan for the fiscal year 2024 was approved at the shareholders' meeting held on May 16, 2025, with the announcement published on May 17, 2025 [1] - The profit distribution plan involves a cash dividend of 3.5 RMB per 10 shares (before tax) to all shareholders, with specific tax treatments for different types of shareholders [1][2] - The total share capital of the company as of the dividend application date (May 20, 2025) is 196,042,743 shares, and adjustments will be made if there are changes in share capital before the distribution [1] Group 2 - The record date for the profit distribution is set for May 28, 2025, and the ex-dividend date is May 29, 2025 [2] - The distribution will be directly credited to the shareholders' accounts through their custodial securities companies on the ex-dividend date [2] - The conversion price of the company's convertible bonds will be adjusted from 18.39 RMB per share to 18.04 RMB per share, effective May 29, 2025 [2]
福立旺:福立转债转股价格调整至14.9元/股
news flash· 2025-05-20 08:46
Core Points - The company will suspend the conversion of Fuli Convertible Bonds from May 26, 2025, until the record date for the distribution of rights [1] - Following the annual distribution of rights for 2024, a cash dividend of 1 yuan (including tax) will be distributed for every 10 shares [1] - The conversion price of Fuli Convertible Bonds will be adjusted from 15 yuan per share to 14.9 yuan per share, effective on the first trading day after the record date for the distribution of rights [1] - Holders of Fuli Convertible Bonds must convert their bonds before May 23, 2025, to enjoy the distribution of rights [1]
新股发行及今日交易提示-20250520
HWABAO SECURITIES· 2025-05-20 07:26
| 新股发行及今日交易提示 | 2025/5/20 | 星期二 | | | | | | | --- | --- | --- | --- | --- | --- | --- | --- | | 2025/5/20 | 内地市场权益提示 | 类别 | 证券代码 | 证券简称 | 权益日期 | 最新公告链接 | | | https://www.cninfo.com.cn/new/disclosure/detail?stockCode=600777&announcementId=122356 | 要约收购 | 600777 | ST新潮 | 要约申报期:2025年4月23日至2025年5月22日 | 9349&orgId=gssh0600777&announcementTime=2025 | -05-17 | | | http://www.cninfo.com.cn/new/disclosure/detail?stockCode=300630&announcementId=122358 | 300630 | 普利退 | 距最后交易日剩余 | 1个交易日 | 7712&orgId=9900031463&announce ...
安徽省天然气开发股份有限公司关于权益分派引起的可转换公司债券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 due to the implementation of the 2024 annual profit distribution plan, which includes a cash dividend of 3.5 yuan per 10 shares [2][3][5]. Group 1: Convertible Bond Details - The company issued 9.30 billion yuan worth of convertible bonds on November 8, 2021, with an initial conversion price of 11.12 yuan per share, which was later adjusted to 7.21 yuan per share before the current adjustment [2][3]. - The adjusted conversion price is set to be 6.86 yuan per share, effective from May 28, 2025, following the annual profit distribution [5][6]. Group 2: Profit Distribution Plan - The company will distribute a cash dividend of 0.35 yuan per share, totaling approximately 171.57 million yuan based on a total share capital of 490,193,073 shares [9][11]. - The profit distribution plan was approved at the annual shareholders' meeting on May 7, 2025, and will be executed for all shareholders registered by the end of the trading day on the equity registration date [9][10]. Group 3: Adjustment Formula - The adjustment of the conversion price follows specific formulas outlined in the bond issuance prospectus, taking into account factors such as cash dividends and stock distributions [4][6]. - The formula for adjusting the conversion price incorporates the cash dividend amount and the number of shares distributed, ensuring compliance with the bond's terms [4][6].
隆华科技: 关于隆华转债转股价格调整的公告
Zheng Quan Zhi Xing· 2025-05-19 11:49
Group 1 - The company issued 7,989,283 convertible bonds with a total value of 799.9283 million yuan, which began trading on August 23, 2021 [1] - The adjustment of the conversion price for the convertible bonds is based on specific formulas outlined in the prospectus, which account for changes in share capital and dividend distributions [2][3] - The company announced a cash dividend of 0.499999 yuan per share, leading to an adjustment of the conversion price from 6.15 yuan to approximately 6.10 yuan per share, effective from May 27, 2025 [3][4] Group 2 - The adjusted conversion price will be applied to bondholders' conversion requests made on or after the adjustment date [2] - The company will ensure that any changes affecting shareholder equity will be handled fairly and in accordance with relevant laws and regulations [2] - The total share capital for the dividend distribution is calculated after excluding repurchased shares, resulting in a base of 891,135,571 shares [2]
金陵体育: 关于可转换公司债券转股价格调整的公告
Zheng Quan Zhi Xing· 2025-05-19 11:32
证券代码:300651 证券简称:金陵体育 公告编号:2025-038 债券代码:123093 债券简称:金陵转债 江苏金陵体育器材股份有限公司 本公司及董事会全体成员保证信息披露的内容真实、准确和完整,没有虚假记 载、误导性陈述或重大遗漏。 重要内容提示: 一、关于可转换公司债券转股价格调整的相关规定 经中国证券监督管理委员会"证监许可20203555 号"文同意注册的批复, 公司于 2021 年 1 月 19 日向不特定对象发行了 250 万张可转换公司债券,每张面值 经深交所同意,公司 2.50 亿元可转换公司债券于 2021 年 2 月 18 日起在深交 所挂牌交易,债券简称"金陵转债",债券代码"123093"。根据《 江苏金陵体育 器材股份有限公司向不特定对象发行可转换公司债券募集说明书》"以下简称募集 说明书"),在本次发行之后,当公司发生派送股票股利、转增股本、增发新股(不 包括因本次发行的可转债转股而增加的股本)、配股以及派发现金股利等情况时, 公司将按上述条件出现的先后顺序,依次对转股价格进行累积调整(保留小数点后 两位,最后一位四舍五入),具体调整办法如下: 派送股票股利或转增股本:P1 ...
股市必读:东南网架(002135)5月16日主力资金净流入884.18万元
Sou Hu Cai Jing· 2025-05-18 19:27
Core Viewpoint - Zhejiang Southeast Steel Structure Co., Ltd. has announced a cash dividend distribution plan, with a payout of RMB 0.70 per 10 shares, which has been approved by the shareholders' meeting [2][4][5] Trading Information Summary - On May 16, 2025, the stock closed at RMB 4.3, up 1.65%, with a turnover rate of 2.34%, trading volume of 244,400 shares, and a transaction amount of RMB 106 million [1] - The net inflow of funds from major investors was RMB 8.84 million, while retail investors saw a net outflow of RMB 17.71 million [2][5] Company Announcement Summary - The annual equity distribution plan for 2024 has been approved, with a cash dividend of RMB 0.70 per 10 shares (tax included), and no bonus shares or capital reserve transfers [2][4] - The total number of shares for the dividend distribution is 1,115,517,130, resulting in a total cash dividend of approximately RMB 78.09 million (tax included) [4] - The ex-dividend date is set for May 23, 2025, with the record date being May 22, 2025 [3] Convertible Bond Information - The company is issuing convertible bonds with a total amount of RMB 2 billion, with a face value of RMB 100 per bond, and a term of 6 years [4] - The initial conversion price for the bonds is set at RMB 5.73 per share, which will be adjusted to RMB 5.60 per share effective from May 23, 2025 [3][5]
普利退: 关于董事会提议向下修正可转换公司债券转股价格的公告
Zheng Quan Zhi Xing· 2025-05-16 13:40
Core Viewpoint - The company, Hainan Puli Pharmaceutical Co., Ltd., has announced that its convertible bonds will enter a delisting arrangement starting from April 28, 2025, with the last trading date expected to be May 21, 2025 [1] Group 1: Convertible Bond Details - The company issued 8.5 million convertible bonds with a face value of RMB 100 each, raising a total of RMB 850 million, with a net amount of RMB 837.86 million after deducting fees [2][3] - The convertible bonds were listed on the Shenzhen Stock Exchange on March 8, 2021, under the name "Puli Convertible Bonds" with the code "123099" [3] - The bond's conversion period began six months after the issuance date and will last until the maturity date of the bonds [4] Group 2: Conversion Price Adjustments - The conversion price of the bonds has been adjusted multiple times, with the latest adjustment setting it at RMB 19.76 per share effective from July 18, 2023 [8][9] - The board proposed to further lower the conversion price to RMB 11.22 per share effective from November 20, 2024, and subsequently to RMB 4.89 per share effective from January 23, 2025 [10][11] - The company has the authority to propose adjustments to the conversion price if the stock price falls below 85% of the current conversion price for a specified period [12][13]
普利退: 第四届董事会第三十九次会议决议公告
Zheng Quan Zhi Xing· 2025-05-16 13:40
证券代码:300630 证券简称:普利退 公告编号:2025-057 海南普利制药股份有限公司 第四届董事会第三十九次会议决议 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: 券(以下简称"可转债")进入退市整理期的起始日为 2025 年 4 月 28 日,退市 整理期为十五个交易日,预计最后交易日期为 2025 年 5 月 21 日。公司股票及 可转债于退市整理期届满的次一交易日摘牌并终止上市。 产重组。可转债在退市整理期的相关交易规则、投资者适当性安排请投资者查 阅《关于可转换公司债券退市整理期间交易安排的通知》(深证上〔2023〕492 号)及《关于完善可转换公司债券投资者适当性管理相关事项的通知(2025 年 修订)》(深证上〔2025〕223 号)。 约定购回、融资融券、转融通、深股通等业务。 务,建议有权机关在股票摘牌前通过原协助执行渠道提前办理续冻手续。 债券代码:123099 债券简称:普利转退 股票进入退市板块后,深股通投资者可能无法进行股票转让,提请深股通投资 者注意投资风险。 易所摘牌后至挂牌期间不得实施转股、赎回、回售等操作 ...
东南网架: 关于“东南转债”转股价格调整的公告
Zheng Quan Zhi Xing· 2025-05-16 13:31
Group 1 - The company Zhejiang Southeast Steel Structure Co., Ltd. has received approval from the China Securities Regulatory Commission to issue 20 million convertible bonds at a face value of 100 RMB each, totaling 2 billion RMB [1] - The adjustment of the conversion price for the convertible bonds will occur under specific circumstances such as stock dividends, capital increases, and cash dividends, following a defined formula [2][3] - The conversion price for the "Southeast Convertible Bonds" has been adjusted from 5.73 RMB/share to 5.63 RMB/share, effective from May 30, 2024 [2][3] Group 2 - The conversion price will be further adjusted to 5.67 RMB/share, effective from November 12, 2024, following the completion of share repurchase and cancellation [3] - The company will implement its 2024 annual equity distribution plan on May 22, 2025, with a cash dividend of 0.07 RMB per share, leading to a new conversion price of 5.60 RMB/share [4] - The adjusted conversion price will take effect from the ex-dividend date of May 23, 2025 [4]