Securities code: 600105 securities abbreviation: Jiangsu Etern Company Limited(600105) Announcement No.: pro 2022-007 bond Code: 110058 bond abbreviation: Yongding convertible bond
Jiangsu Etern Company Limited(600105)
Announcement on the resale results of “Yongding convertible bonds”
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.
Important content tips:
Resale declaration period: January 5, 2022 to January 11, 2022
Valid declaration quantity for resale: 100 sheets
Resale amount: 10072.00 yuan
Receipt date of resale funds: January 14, 2022
1、 Announcement on the resale of convertible corporate bonds
On December 28, 2021, Jiangsu Etern Company Limited(600105) (hereinafter referred to as “the company”) disclosed the announcement on the resale of “Yongding convertible bonds” (Announcement No.: pro 2021-135), and disclosed the first suggestive announcement on the resale of “Yongding convertible bonds” (Announcement No.: pro 2021-136) on December 30, 2021, December 31, 2021 and January 7, 2022 respectively The second suggestive announcement on the resale of “Yongding convertible bonds” (Announcement No.: p.2021-137) and the third suggestive announcement on the resale of “Yongding convertible bonds” (Announcement No.: p.2022-003).
The convertible bond code of “Yongding convertible bond” is “110058”, and the resale price of the convertible bond is 100.72 yuan / piece (including the accrued interest of the current period). The resale reporting period of “Yongding convertible bonds” is from January 5, 2022 to January 11, 2022, and the resale reporting period has ended after the closing of Shanghai Stock Exchange on January 11, 2022.
2、 The results of the resale of convertible bonds and the impact of the resale on the company
(I) resale results
The resale reporting period of “Yongding convertible bonds” is from January 5, 2022 to January 11, 2022. According to the data provided by China Securities Depository and Clearing Co., Ltd. Shanghai Branch, during the resale reporting period of “Yongding convertible bonds”, the effective reporting quantity of this resale is 100, and the resale amount is 10072.00 yuan. The company has transferred the full amount of the resale funds to the designated account of China Securities Depository and Clearing Co., Ltd. Shanghai branch according to the declared quantity of effective resale, and the resale funds are in accordance with the relevant business rules of China Securities Depository and Clearing Co., Ltd. Shanghai Branch
The arrival date of is January 14, 2022.
(II) impact of resale
The resale of “Yongding convertible bonds” will not affect the company’s cash flow, asset status and equity.
3、 Follow up events of this resale of convertible bonds
According to relevant regulations, the unsold “Yongding convertible bonds” will continue to be traded on the Shanghai Stock Exchange.
It is hereby announced.
Jiangsu Etern Company Limited(600105) board of directors January 14, 2022