Tibet Sky Road "Sky Road Convertible Bonds" Maturity Redemption and Delisting Third Reminder

date
23/09/2025
Tibet Sky Road Co., Ltd. releases the third reminder announcement regarding the redemption and delisting of the "Sky Road Convertible Bonds". The total issuance amount of the "Sky Road Convertible Bonds" is 1,086,988,000 yuan, with a term of 6 years. The maturity and redemption registration date is October 27, 2025, with a redemption amount of 110 yuan per bond, and the fund distribution date is October 28th. The last trading day is October 22nd, the last conversion date is October 27th, trading will be suspended starting from October 23rd, and delisting will occur on October 28th. Holders can still convert their bonds from October 23rd to 27th. The principal and interest will be transferred from the China Securities Depository and Clearing Corporation Shanghai Branch to the holders' accounts.