601012: Longi Green Energy Technology Co.Ltd(601012) announcement on issuance results of convertible corporate bonds

Securities code: 601012 securities abbreviation: Longi Green Energy Technology Co.Ltd(601012) Announcement No.: Lin 2022-005 Longi Green Energy Technology Co.Ltd(601012)

Public issuance of convertible corporate bonds

Announcement of issuance results

Sponsor (co lead underwriter): Guosen Securities Co.Ltd(002736)

Co lead underwriter: Citic Securities Company Limited(600030)

The board of directors and all directors of the company guarantee that there are no false records, misleading statements or major omissions in the contents of this announcement, and bear individual and joint liabilities for the authenticity, accuracy and completeness of its contents.

Longi Green Energy Technology Co.Ltd(601012) (hereinafter referred to as ” Longi Green Energy Technology Co.Ltd(601012) ” or “the issuer”) has obtained the approval of China Securities Regulatory Commission (CSRC) zjxk [2021] No. 3561 for the public issuance of convertible corporate bonds (hereinafter referred to as “long22 convertible bonds” or “convertible bonds”). The convertible corporate bonds issued this time are referred to as “long 22 convertible bonds” for short, and the bond code is “113053”.

The scale of the convertible bonds issued this time is 700000000 yuan, which will be preferentially placed to the original shareholders registered by China Securities Depository and Clearing Co., Ltd. Shanghai Branch (hereinafter referred to as “China Securities Depository and clearing Shanghai Branch”) after the closing of the market on the equity registration date (January 4, 2022, t-1), The balance after the preferential placement of the original shareholders (including the part abandoned by the original shareholders) is issued to the public investors online through the trading system of Shanghai Stock Exchange (hereinafter referred to as “Shanghai Stock Exchange”). If the subscription is less than 700 million yuan, the balance of the joint lead underwriter shall underwrite.

1、 Priority placement results of the original shareholders of convertible bonds

The payment for the preferential placement of the original shareholders of this offering has been completed on January 5, 2022 (t day). The placement results are as follows:

Category subscription quantity (hand) placement quantity (hand) placement amount (yuan)

Original shareholder 4347198 4347198 4347198000

2、 Online subscription results of convertible bonds

According to the data provided by Online China Clearing Shanghai Branch of the balance after the preferential placement of the original shareholders (including the preferential placement abandoned by the original shareholders), the final subscription of the online issuance of convertible bonds is counted, and the results are as follows:

Category subscription quantity subscription amount abandonment subscription quantity abandonment subscription amount (hand) (yuan) (hand) (yuan)

Online social public investors 2602550 2602550000 50252 50252000

3、 Underwriting by the joint lead underwriter

According to the joint lead underwriting agreement, the number of subscriptions abandoned by online investors this time shall be underwritten by the joint lead underwriter. The number of underwritten by the joint lead underwriter is 50252, the underwriting amount is 50252000 yuan, and the underwriting proportion is 0.72%.

On January 11, 2022 (T + 4), the co lead underwriter will transfer the underwriting funds together with the funds paid and subscribed by investors after deducting the sponsor underwriting expenses to the issuer. The issuer will submit a bond registration application to China Clearing Shanghai branch and register the underwritten convertible bonds to the securities account designated by the co lead underwriter.

4、 Summary of convertible bond issuance results

Category subscription quantity subscription amount abandonment subscription quantity abandonment subscription amount (hand) (yuan) (hand) (yuan)

Original shareholder 4347198 4347198000 —

Online social public investors 2602550 2602550000 50252 50252000

Joint lead underwriter underwriting 50252 50252000 —

Total 70000000 700000000 —

5、 Contact information of the issuer and the co lead underwriter

1. Issuer: Longi Green Energy Technology Co.Ltd(601012)

Office address: No. 8369, Shangyuan Road, Xi’an Economic and Technological Development Zone

Tel: 029-81566863, 029-86519912

Contact: Liu Xiaodong

2. Sponsor (co lead underwriter): Guosen Securities Co.Ltd(002736)

Office address: 16th to 26th floors of Guosen Securities Co.Ltd(002736) building, No. 1012, Hongling Middle Road, Shenzhen

Contact address: 20th floor, Guosen Securities Co.Ltd(002736) building, No. 1012, Hongling Middle Road, Shenzhen

Tel: 010-88005309, 021-60933180

Contact: capital market department 3. Co lead underwriter: Citic Securities Company Limited(600030)

Office address: 23rd floor, Citic Securities Company Limited(600030) building, 48 Liangmaqiao Road, Chaoyang District, Beijing

Contact address: 23rd floor, Citic Securities Company Limited(600030) building, 48 Liangmaqiao Road, Chaoyang District, Beijing

Tel: 010-60836030

Contact: capital market department

Issuer: Longi Green Energy Technology Co.Ltd(601012) sponsor (co lead underwriter): Guosen Securities Co.Ltd(002736) co lead underwriter: Citic Securities Company Limited(600030) January 11, 2022 (this page has no text and is the seal page of the announcement on the issuance results of Longi Green Energy Technology Co.Ltd(601012) public issuance of convertible corporate bonds)

Longi Green Energy Technology Co.Ltd(601012) mm / DD / yyyy (there is no text on this page, which is the seal page of the announcement on the issuance results of Longi Green Energy Technology Co.Ltd(601012) public issuance of convertible corporate bonds)

Guosen Securities Co.Ltd(002736) mm / DD / yyyy (there is no text on this page, which is the seal page of the announcement on the issuance results of Longi Green Energy Technology Co.Ltd(601012) public issuance of convertible corporate bonds)

Citic Securities Company Limited(600030) mm / DD / yy

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