CGN Power Co., Ltd. (ASX: 01816) has issued an announcement regarding the "CGN Convertible Bond" (Bond Code: 127110).
The first annual interest payment for this bond is scheduled for July 9, 2026. The payment will be made at the bond's face value with a coupon rate of 0.2%. This translates to an interest payment of 2.00 yuan (tax inclusive) for every 10 bonds, each with a face value of 1,000 yuan.
The next interest period will commence on July 9, 2026, with the applicable interest rate set at 0.4%.