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"康泰生物", "bond.company_websit": "http://www.biokangtai.com", "bond.company_address": "广东省深圳市南山区科技工业园科发路6号", "bond.category_x_bond_id": { "1": { "category_x_bond.id": 1, "category.id": 1, "category.ts": "2018-04-27 23:21:47", "category.category": "可转债" } }, "bond.day_transaction_id": { "1": { "day_transaction.id": 1, "day_transaction.ts": "2018-04-28 00:59:23", "day_transaction.today_open": 145.330000000000012505552149377763271331787109375, "day_transaction.last_close": 145.19999999999998863131622783839702606201171875, "day_transaction.high": 155, "day_transaction.low": 145.330000000000012505552149377763271331787109375, "day_transaction.volume": "11.01万", "day_transaction.kzz_covert_value": 158.479999999999989768184605054557323455810546875, "day_transaction.kzz_cpr": "-5.00%", "day_transaction.kzz_redempt_price": 106, "day_transaction.amount": "1660.37万", "day_transaction.volume_average": "-", "day_transaction.stock_number": "SZ300601", "day_transaction.stock_current": 74.5, 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22:58:31", "bond.bond_number": "SZ123002", "bond.description": "公司前身为合肥国祯高新热电有限责任公司,于1997年2月25日注册成立,后经安徽省经济体制改革委员会皖体改秘字[1999]13号文同意和安徽省人民政府股字[1999]第25号批准证书批准,于1999年12月10日依法整体变更设立为安徽国祯环保节能科技股份有限公司。", "bond.bond_name": "国祯转债", "bond.stock_name": "国祯环保", "bond.company_websit": "http://www.gzep.com.cn", "bond.company_address": "安徽省合肥市高新技术产业开发区科学大道91号国祯大厦", "bond.category_x_bond_id": { "2": { "category_x_bond.id": 2, "category.id": 1, "category.ts": "2018-04-27 23:21:47", "category.category": "可转债" } }, "bond.day_transaction_id": { "2": { "day_transaction.id": 2, "day_transaction.ts": "2018-04-28 01:00:50", "day_transaction.today_open": 112.7900000000000062527760746888816356658935546875, "day_transaction.last_close": 112.200999999999993406163412146270275115966796875, "day_transaction.high": 115.400000000000005684341886080801486968994140625, "day_transaction.low": 112.7900000000000062527760746888816356658935546875, "day_transaction.volume": "6.16万", "day_transaction.kzz_covert_value": 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"http://www.syst.com.cn", "bond.company_address": "广东省东莞市万江区莞穗大道411号", "bond.category_x_bond_id": { "3": { "category_x_bond.id": 3, "category.id": 1, "category.ts": "2018-04-27 23:21:47", "category.category": "可转债" } }, "bond.day_transaction_id": { "3": { "day_transaction.id": 3, "day_transaction.ts": "2018-04-28 01:01:11", "day_transaction.today_open": 102, "day_transaction.last_close": 101.75, "day_transaction.high": 104.9800000000000039790393202565610408782958984375, "day_transaction.low": 100.0499999999999971578290569595992565155029296875, "day_transaction.volume": "5.19万", "day_transaction.kzz_covert_value": 74.280000000000001136868377216160297393798828125, "day_transaction.kzz_cpr": "39.53%", "day_transaction.kzz_redempt_price": 106, "day_transaction.amount": "5277.59万", "day_transaction.volume_average": "-", "day_transaction.stock_number": "SH600183", "day_transaction.stock_current": 12.8800000000000007815970093361102044582366943359375, "day_transaction.convert_price": 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"bond_base_information.bond_style": "可转债", "bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2017-11-24", "bond_base_information.end_time": "2023-11-24", "bond_base_information.honour_day": "2023-11-24", "bond_base_information.payment_term_month": 72, "bond_base_information.payment_illustrate": "存续期内每年11月24日", "bond_base_information.sale_time": "2017-12-11", "bond_base_information.sale_end_time": "2023-11-22", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "递进利率", "bond_base_information.nominal_interest_rate": 1.8000000000000000444089209850062616169452667236328125, "bond_base_information.rate_start_time": "2022-11-24", "bond_base_information.rate_end_time": "2023-11-23", "bond_base_information.issue_price": 100, "bond_base_information.issue_start_time": "2017-11-24", "bond_base_information.issue_end_time": "2017-11-24", "bond_base_information.issue_volume": 180000, "bond_base_information.issue_type": "上网定价发行,向原股东配售" } } }, 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07:32:21", "bond_base_information.bond_code": 128035, "bond_base_information.bond_full_name": "大族激光科技产业集团股份有限公司公开发行可转换公司债券", "bond_base_information.english_full_name": "Convertible Bonds of Han's Laser Technology Industry Group Co., Ltd.", "bond_base_information.bond_issue_aim": "向原股东配售:本发行公告公布的股权登记日收市后中国结算上海分公司登记在册的发行人所有股东;网上发行:在上交所开立证券账户的境内自然人、法人、证券投资基金以及符合法律法规规定的其他投资者。", "bond_base_information.bond_category": "可转债", "bond_base_information.bond_style": "可转债", "bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2018-02-06", "bond_base_information.end_time": "2024-02-06", "bond_base_information.honour_day": "2024-02-06", "bond_base_information.payment_term_month": 72, "bond_base_information.payment_illustrate": "存续期内每年2月6日", "bond_base_information.sale_time": "2018-03-05", "bond_base_information.sale_end_time": "2024-02-02", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "递进利率", "bond_base_information.nominal_interest_rate": 2, "bond_base_information.rate_start_time": "2023-02-06", "bond_base_information.rate_end_time": "2024-02-05", "bond_base_information.issue_price": 100, "bond_base_information.issue_start_time": "2018-02-06", "bond_base_information.issue_end_time": "2018-02-06", "bond_base_information.issue_volume": 230000, "bond_base_information.issue_type": "向原股东配售,上网定价发行" } } }, "5": { "bond.id": 5, "bond.ts": "2018-05-03 22:59:16", "bond.bond_number": "SZ128029", "bond.description": "山东太阳纸业股份有限公司系于2000年3月28日,经山东省体改委鲁体改函字(2000)第13号文批准,由山东太阳纸业集团有限公司整体变更成立。发起人股东为兖州市金太阳商贸有限公司、兖州市新兖镇集体资产经营管理有限公司、兖州市旭东浆纸销售有限公司、兖州市天阳再生资源回收有限公司、兖州市阳光纸制品有限公司。 2006年11月6日经中国证券监督管理委员会证监发行字[2006]96号文<关于核准山东太阳纸业股份有限公司首次公开发行股票的通知>核准,公司向社会首次公开公司民币普通股股票7500万股,并于2006年11月16日在深圳证券交易所中小企业板挂牌上市交易。", "bond.bond_name": "太阳转债", "bond.stock_name": "太阳纸业", "bond.company_websit": "http://www.sunpapergroup.com", "bond.company_address": "山东省济宁市兖州区友谊路1号", "bond.category_x_bond_id": { "5": { "category_x_bond.id": 5, "category.id": 1, 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"bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2017-12-22", "bond_base_information.end_time": "2022-12-22", "bond_base_information.honour_day": "2022-12-22", "bond_base_information.payment_term_month": 60, "bond_base_information.payment_illustrate": "存续期内每年12月22日", "bond_base_information.sale_time": "2018-01-16", "bond_base_information.sale_end_time": "2022-12-20", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "递进利率", "bond_base_information.nominal_interest_rate": 1.5, "bond_base_information.rate_start_time": "2021-12-22", "bond_base_information.rate_end_time": "2022-12-21", "bond_base_information.issue_price": 100, "bond_base_information.issue_start_time": "2017-12-22", "bond_base_information.issue_end_time": "2017-12-22", "bond_base_information.issue_volume": 120000, "bond_base_information.issue_type": "上网定价发行,向原股东配售" } } }, "6": { "bond.id": 6, "bond.ts": "2018-05-03 22:59:31", "bond.bond_number": "SH110034", 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"day_transaction.kzz_redempt_price": 108, "day_transaction.amount": "4143.27万", "day_transaction.volume_average": "-", "day_transaction.stock_number": "SH600998", "day_transaction.stock_current": 18.769999999999999573674358543939888477325439453125, "day_transaction.convert_price": 18.519999999999999573674358543939888477325439453125, "day_transaction.straight_price": 93.3700000000000045474735088646411895751953125, "day_transaction.pe_lyr": "-", "day_transaction.due_time": "-", "day_transaction.value_date": "-", "day_transaction.disnext_pay_date": "-", "day_transaction.convert_rate": 0.4899999999999999911182158029987476766109466552734375, "day_transaction.bond_type": "-", "day_transaction.warrant": "-", "day_transaction.rate": "-", "day_transaction.bond_rate": "" } }, "bond.bond_base_information_id": { "6": { "bond_base_information.id": 6, "bond_base_information.ts": "2018-05-03 07:32:43", "bond_base_information.bond_code": 110034, "bond_base_information.bond_full_name": 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"2022-01-13", "bond_base_information.issue_price": 100, "bond_base_information.issue_start_time": "2016-01-15", "bond_base_information.issue_end_time": "2016-01-15", "bond_base_information.issue_volume": 150000, "bond_base_information.issue_type": "协议发行,上网定价发行,向原股东配售" } } }, "7": { "bond.id": 7, "bond.ts": "2018-05-03 22:59:43", "bond.bond_number": "SZ123006", "bond.description": "东方财富信息股份有限公司前身系上海东财信息技术有限公司,由沈军、鲍一青、史佳、陶涛和左宏明5个自然人共同出资组建,于2005年1月20日批准成立。 2007年12月20日,上海东财信息技术有限公司改制为股份有限公司,并更名上海东财信息技术股份有限公司。 2008年1月7日,公司名称由\"上海东财信息技术股份有限公司\"变更为\"东方财富信息股份有限公司\"。 2010年3月19日,东方财富信息股份有限公司在深圳证券交易所挂牌交易,并于2010年4月12日在上海市工商行政管理局取得相同注册号的<企业法人营业执照>。", "bond.bond_name": "东财转债", "bond.stock_name": "东方财富", "bond.company_websit": "http://www.eastmoney.com", "bond.company_address": "上海市徐汇区宛平南路88号金座", "bond.category_x_bond_id": { "7": { "category_x_bond.id": 7, "category.id": 1, "category.ts": "2018-04-27 23:21:47", "category.category": "可转债" } }, "bond.day_transaction_id": { "7": { "day_transaction.id": 7, "day_transaction.ts": "2018-04-28 01:02:19", "day_transaction.today_open": 123.599999999999994315658113919198513031005859375, "day_transaction.last_close": 123.400000000000005684341886080801486968994140625, "day_transaction.high": 125.2999999999999971578290569595992565155029296875, "day_transaction.low": 123.599999999999994315658113919198513031005859375, "day_transaction.volume": "192.99万", "day_transaction.kzz_covert_value": 125.81000000000000227373675443232059478759765625, "day_transaction.kzz_cpr": "-0.95%", "day_transaction.kzz_redempt_price": 107, "day_transaction.amount": "2.41亿", "day_transaction.volume_average": "-", "day_transaction.stock_number": "SZ300059", "day_transaction.stock_current": 14.3300000000000000710542735760100185871124267578125, "day_transaction.convert_price": 11.3900000000000005684341886080801486968994140625, "day_transaction.straight_price": 82.06000000000000227373675443232059478759765625, "day_transaction.pe_lyr": "-", "day_transaction.due_time": "-", 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"bond_base_information.bond_code": 113011, "bond_base_information.bond_full_name": "中国光大银行股份有限公司公开发行A股可转换公司债券", "bond_base_information.english_full_name": "Convertible Bonds of China Everbright Bank Company Limited", "bond_base_information.bond_issue_aim": "网上发行:持有登记公司开立的首位为A、B、D、F证券账户的社会公众投资者(法律、法规禁止购买者除外);网下发行:持有登记公司开立合格证券账户的机构投资者(法律、法规禁止购买者除外)。", "bond_base_information.bond_category": "可转债", "bond_base_information.bond_style": "可转债", "bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2017-03-17", "bond_base_information.end_time": "2023-03-17", "bond_base_information.honour_day": "2023-03-17", "bond_base_information.payment_term_month": 72, "bond_base_information.payment_illustrate": "存续期内每年3月17日", "bond_base_information.sale_time": "2017-04-05", "bond_base_information.sale_end_time": "2023-03-15", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "递进利率", "bond_base_information.nominal_interest_rate": 2, 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"bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "递进利率", "bond_base_information.nominal_interest_rate": 1.5, "bond_base_information.rate_start_time": "2022-12-06", "bond_base_information.rate_end_time": "2023-12-05", "bond_base_information.issue_price": 100, "bond_base_information.issue_start_time": "2017-12-06", "bond_base_information.issue_end_time": "2017-12-06", "bond_base_information.issue_volume": 35400, "bond_base_information.issue_type": "向原股东配售,上网定价发行" } } }, "12": { "bond.id": 12, "bond.ts": "2018-05-03 23:01:46", "bond.bond_number": "SH132015", "bond.description": "根据<国务院关于组建中国石油天然气集团公司有关问题的批复>(国函[1998]57号),公司于1998年7月在原中国石油天然气总公司的基础上重组成立,为特大型石油石化企业集团。 2017年12月,公司名称由“中国石油天然气集团公司”变更为“中国石油天然气集团有限公司”。", "bond.bond_name": "18中油EB", "bond.stock_name": "中国石油", "bond.company_websit": "http://www.cnpc.com.cn", "bond.company_address": "北京市东城区东直门北大街9号", "bond.category_x_bond_id": { "12": { "category_x_bond.id": 12, "category.id": 1, "category.ts": 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"day_transaction.convert_rate": "-", "day_transaction.bond_type": "-", "day_transaction.warrant": "-", "day_transaction.rate": "-", "day_transaction.bond_rate": "" } }, "bond.bond_base_information_id": { "14": { "bond_base_information.id": 14, "bond_base_information.ts": "2018-05-03 07:33:57", "bond_base_information.bond_code": 128034, "bond_base_information.bond_full_name": "江苏江阴农村商业银行股份有限公司公开发行可转换公司债券", "bond_base_information.english_full_name": "Convertible Bonds of Jiangsu Jiangyin Rural Commercial Bank Co., Ltd.", "bond_base_information.bond_issue_aim": "原股东:本发行公告公布的股权登记日收市后中国结算深圳分公司登记在册的发行人原股东;网上发行:中华人民共和国境内持有中国结算深圳分公司证券账户的社会公众投资者,(国家法律、法规禁止者除外)。", "bond_base_information.bond_category": "可转债", "bond_base_information.bond_style": "可转债", "bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2018-01-26", "bond_base_information.end_time": "2024-01-26", "bond_base_information.honour_day": "2024-01-26", "bond_base_information.payment_term_month": 72, "bond_base_information.payment_illustrate": "存续期内每年1月26日", "bond_base_information.sale_time": "2018-02-14", "bond_base_information.sale_end_time": "2024-01-24", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "递进利率", "bond_base_information.nominal_interest_rate": 1.8000000000000000444089209850062616169452667236328125, "bond_base_information.rate_start_time": "2023-01-26", "bond_base_information.rate_end_time": "2024-01-25", "bond_base_information.issue_price": 100, "bond_base_information.issue_start_time": "2018-01-26", "bond_base_information.issue_end_time": "2018-01-26", "bond_base_information.issue_volume": "", "bond_base_information.issue_type": "向原股东配售,上网定价发行" } } }, "16": { "bond.id": 16, "bond.ts": "2018-05-03 23:03:07", "bond.bond_number": "SH113018", "bond.description": "江苏常熟农村商业银行股份有限公司前身为成立于1996年的原常熟市农村信用合作社联合社。 常熟市农村商业银行股份有限公司成立于2001年12月3日,是经<中国人民银行关于常熟市农村商业银行开业的批复>(银复[2001]197号)批准,在原常熟市农村信用合作社联合社基础上改制设立而成的股份有限公司,是全国首批试点成立的农村商业银行。 2004年12月31日,本行名称由“常熟市农村商业银行股份有限公司”变更为“江苏常熟农村商业银行股份有限公司”。", "bond.bond_name": "常熟转债", "bond.stock_name": "常熟银行", "bond.company_websit": "http://www.csrcbank.com", "bond.company_address": "江苏省常熟市新世纪大道58号", "bond.category_x_bond_id": { "16": { "category_x_bond.id": 16, "category.id": 1, "category.ts": "2018-04-27 23:21:47", "category.category": "可转债" } }, "bond.day_transaction_id": { "16": { "day_transaction.id": 16, "day_transaction.ts": "2018-04-28 01:05:09", "day_transaction.today_open": 101.2000000000000028421709430404007434844970703125, "day_transaction.last_close": 101.0100000000000051159076974727213382720947265625, "day_transaction.high": 101.93999999999999772626324556767940521240234375, "day_transaction.low": 100.7999999999999971578290569595992565155029296875, "day_transaction.volume": "1.41万", "day_transaction.kzz_covert_value": 89.4899999999999948840923025272786617279052734375, "day_transaction.kzz_cpr": "13.41%", "day_transaction.kzz_redempt_price": 106, 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of Jiangsu Changshu Rural Commercial Bank Co., Ltd.", "bond_base_information.bond_issue_aim": "本次可转债的发行对象为持有中国证券登记结算有限责任公司上海分公司证券账户的自然人、法人、证券投资基金、符合法律规定的其他投资者等(国家法律、法规禁止者除外)。", "bond_base_information.bond_category": "可转债", "bond_base_information.bond_style": "可转债", "bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2018-01-19", "bond_base_information.end_time": "2024-01-19", "bond_base_information.honour_day": "2024-01-19", "bond_base_information.payment_term_month": 72, "bond_base_information.payment_illustrate": "存续期内每年1月19日", "bond_base_information.sale_time": "2018-02-06", "bond_base_information.sale_end_time": "2024-01-17", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "递进利率", "bond_base_information.nominal_interest_rate": 1.8000000000000000444089209850062616169452667236328125, "bond_base_information.rate_start_time": "2023-01-19", "bond_base_information.rate_end_time": "2024-01-18", "bond_base_information.issue_price": 100, "bond_base_information.issue_start_time": "2018-01-19", "bond_base_information.issue_end_time": "2018-01-19", "bond_base_information.issue_volume": 300000, "bond_base_information.issue_type": "向原股东配售,上网定价发行" } } }, "17": { "bond.id": 17, "bond.ts": "2018-05-03 23:03:19", "bond.bond_number": "SZ128028", "bond.description": "江西赣锋锂业股份有限公司前身系由李良彬和李华彪于2000年3月2日共同出资设立的有限责任公司。2007年6月30日江西赣锋锂业有限公司整体设立为股份有限公司。", "bond.bond_name": "赣锋转债", "bond.stock_name": "赣锋锂业", "bond.company_websit": "http://www.ganfenglithium.com", "bond.company_address": "江西省新余市经济开发区龙腾路", "bond.category_x_bond_id": { "17": { "category_x_bond.id": 17, "category.id": 1, "category.ts": "2018-04-27 23:21:47", "category.category": "可转债" } }, "bond.day_transaction_id": { "17": { "day_transaction.id": 17, "day_transaction.ts": "2018-04-28 01:05:45", "day_transaction.today_open": 110.7900000000000062527760746888816356658935546875, "day_transaction.last_close": 109.3010000000000019326762412674725055694580078125, 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"day_transaction.bond_rate": "" } }, "bond.bond_base_information_id": { "16": { "bond_base_information.id": 16, "bond_base_information.ts": "2018-05-03 07:34:06", "bond_base_information.bond_code": 128028, "bond_base_information.bond_full_name": "江西赣锋锂业股份有限公司公开发行可转换公司债券", "bond_base_information.english_full_name": "Convertible Bonds of Jiangxi Ganfeng Ganfeng Lithium Co., Ltd.", "bond_base_information.bond_issue_aim": "原股东:本发行公告公布的股权登记日收市后中国结算深圳分公司登记在册的发行人原股东;网上发行:中华人民共和国境内持有中国结算深圳分公司证券账户的社会公众投资者,(国家法律、法规禁止者除外)。", "bond_base_information.bond_category": "可转债", "bond_base_information.bond_style": "可转债", "bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2017-12-21", "bond_base_information.end_time": "2023-12-21", "bond_base_information.honour_day": "2023-12-21", "bond_base_information.payment_term_month": 72, "bond_base_information.payment_illustrate": "存续期内每年12月21日", "bond_base_information.sale_time": "2018-01-19", "bond_base_information.sale_end_time": 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1996年11月20日,公司根据<国务院关于原有有限责任公司和股份有限公司依照<中华人民共和国公司法>进行规范的通知>(国发[1995]17号)的要求,在湖北省工商行政管理局重新进行了工商注册登记,公司营业执照的登记注册号变更为:27175217-5-2。1996年12月28日,湖北省体改委出具<省体改委关于湖北骆驼蓄电池股份有限公司。", "bond.bond_name": "骆驼转债", "bond.stock_name": "骆驼股份", "bond.company_websit": "http://www.chinacamel.com", "bond.company_address": "湖北省襄阳市樊城区汉江北路65号", "bond.category_x_bond_id": { "18": { "category_x_bond.id": 18, "category.id": 1, "category.ts": "2018-04-27 23:21:47", "category.category": "可转债" } }, "bond.day_transaction_id": { "18": { "day_transaction.id": 18, "day_transaction.ts": "2018-04-28 01:06:04", "day_transaction.today_open": 100.849999999999994315658113919198513031005859375, "day_transaction.last_close": 100.9800000000000039790393202565610408782958984375, "day_transaction.high": 101.8900000000000005684341886080801486968994140625, "day_transaction.low": 100.6200000000000045474735088646411895751953125, "day_transaction.volume": 2854, "day_transaction.kzz_covert_value": 90, "day_transaction.kzz_cpr": "12.67%", "day_transaction.kzz_redempt_price": 105, "day_transaction.amount": "288.30万", "day_transaction.volume_average": "-", "day_transaction.stock_number": "SH601311", "day_transaction.stock_current": 12.1500000000000003552713678800500929355621337890625, "day_transaction.convert_price": 13.5, "day_transaction.straight_price": 84.969999999999998863131622783839702606201171875, "day_transaction.pe_lyr": "-", "day_transaction.due_time": "-", "day_transaction.value_date": "-", "day_transaction.disnext_pay_date": "-", "day_transaction.convert_rate": 0.309999999999999997779553950749686919152736663818359375, "day_transaction.bond_type": "-", "day_transaction.warrant": "-", "day_transaction.rate": "-", "day_transaction.bond_rate": "" } }, "bond.bond_base_information_id": { "17": { "bond_base_information.id": 17, "bond_base_information.ts": "2018-05-03 07:34:15", "bond_base_information.bond_code": 113012, "bond_base_information.bond_full_name": "骆驼集团股份有限公司公开发行可转换公司债券", "bond_base_information.english_full_name": "Convertible Bond of Camel Group Co., Ltd.", "bond_base_information.bond_issue_aim": "网上发行:持有登记公司开立的首位为A、B、D、F证券账户的社会公众投资者(法律、法规禁止购买者除外);网下发行:持有登记公司开立合格证券账户的机构投资者(法律、法规禁止购买者除外)。", "bond_base_information.bond_category": "可转债", "bond_base_information.bond_style": "可转债", "bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2017-03-24", "bond_base_information.end_time": "2023-03-24", "bond_base_information.honour_day": "2023-03-24", "bond_base_information.payment_term_month": 72, "bond_base_information.payment_illustrate": "存续期内每年3月24日", "bond_base_information.sale_time": "2017-04-13", "bond_base_information.sale_end_time": "2023-03-22", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "递进利率", "bond_base_information.nominal_interest_rate": 1.8000000000000000444089209850062616169452667236328125, "bond_base_information.rate_start_time": "2022-03-24", "bond_base_information.rate_end_time": 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"day_transaction.warrant": "-", "day_transaction.rate": "-", "day_transaction.bond_rate": "" } }, "bond.bond_base_information_id": { "18": { "bond_base_information.id": 18, "bond_base_information.ts": "2018-05-03 07:34:25", "bond_base_information.bond_code": 128032, "bond_base_information.bond_full_name": "浙江双环传动机械股份有限公司公开发行可转换公司债券", "bond_base_information.english_full_name": "Convertible Bonds of Zhejiang Shuanghuan Machinery Co., Ltd.", "bond_base_information.bond_issue_aim": "原股东:本发行公告公布的股权登记日收市后中国结算深圳分公司登记在册的发行人原股东;网上发行:中华人民共和国境内持有中国结算深圳分公司证券账户的社会公众投资者,(国家法律、法规禁止者除外)。", "bond_base_information.bond_category": "可转债", "bond_base_information.bond_style": "可转债", "bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2017-12-25", "bond_base_information.end_time": "2023-12-25", "bond_base_information.honour_day": "2023-12-25", "bond_base_information.payment_term_month": 72, "bond_base_information.payment_illustrate": "存续期内每年12月25日", "bond_base_information.sale_time": "2018-01-25", "bond_base_information.sale_end_time": "2023-12-21", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "递进利率", "bond_base_information.nominal_interest_rate": 2, "bond_base_information.rate_start_time": "2022-12-25", "bond_base_information.rate_end_time": "2023-12-24", "bond_base_information.issue_price": 100, "bond_base_information.issue_start_time": "2017-12-25", "bond_base_information.issue_end_time": "2017-12-25", "bond_base_information.issue_volume": 100000, "bond_base_information.issue_type": "向原股东配售,上网定价发行" } } }, "20": { "bond.id": 20, "bond.ts": "2018-05-03 23:05:07", "bond.bond_number": "SZ128024", "bond.description": "宁波银行股份有限公司系根据国务院《关于组建城市合作银行的通知》(国发[1995]25号)精神,经中国人民银行《关于宁波市开展城市合作银行组建工作的复函》(银函[1996]167号)批准设立的股份制商业银行,1997年4月10日取得宁波市工商行政管理局注册号为25410602-4的企业法人营业执照。本行原名宁波城市合作银行,1998年6月2日经中国人民银行浙江省分行批准,中国人民银行宁波市分行下发文件《关于同意宁波城市合作银行更名为宁波市商业银行的批复》(甬银复字(1998)第99号),更名为宁波市商业银行股份有限公司,1998年6月5日取得宁波市工商行政管理局颁发的变更后的企业法人营业执照。2007年4月13日,经银监会批准,本行更名为\"宁波银行股份有限公司\"。", "bond.bond_name": "宁行转债", "bond.stock_name": "宁波银行", "bond.company_websit": "http://www.nbcb.com.cn", "bond.company_address": "浙江省宁波市鄞州区宁东路345号", "bond.category_x_bond_id": { "20": { "category_x_bond.id": 20, "category.id": 1, "category.ts": "2018-04-27 23:21:47", "category.category": "可转债" } }, "bond.day_transaction_id": { "20": { "day_transaction.id": 20, "day_transaction.ts": "2018-04-28 01:06:39", "day_transaction.today_open": 114.41100000000000136424205265939235687255859375, "day_transaction.last_close": 114.2900000000000062527760746888816356658935546875, "day_transaction.high": 115.299000000000006593836587853729724884033203125, "day_transaction.low": 114.41100000000000136424205265939235687255859375, "day_transaction.volume": "26.75万", "day_transaction.kzz_covert_value": 98.159999999999996589394868351519107818603515625, "day_transaction.kzz_cpr": "16.86%", "day_transaction.kzz_redempt_price": 105, "day_transaction.amount": "3073.73万", "day_transaction.volume_average": "-", "day_transaction.stock_number": "SZ002142", "day_transaction.stock_current": 18.1099999999999994315658113919198513031005859375, "day_transaction.convert_price": 18.449999999999999289457264239899814128875732421875, "day_transaction.straight_price": 84.4800000000000039790393202565610408782958984375, "day_transaction.pe_lyr": "-", "day_transaction.due_time": "-", "day_transaction.value_date": "-", "day_transaction.disnext_pay_date": "-", "day_transaction.convert_rate": 0.7600000000000000088817841970012523233890533447265625, "day_transaction.bond_type": "-", "day_transaction.warrant": "-", "day_transaction.rate": "-", "day_transaction.bond_rate": "" } }, "bond.bond_base_information_id": { "19": { "bond_base_information.id": 19, "bond_base_information.ts": "2018-05-03 07:34:27", "bond_base_information.bond_code": 128024, "bond_base_information.bond_full_name": "宁波银行股份有限公司公开发行A股可转换公司债券", "bond_base_information.english_full_name": "A-share Convertible Bonds of Bank of Ningbo Co., Ltd.", "bond_base_information.bond_issue_aim": "向发行人的原A股股东优先配售:发行公告公布的股权登记日收市后登记在册的发行人A股股东;网上发行:中华人民共和国境内持有深交所证券账户的社会公众投资者(法律法规禁止购买者除外)", "bond_base_information.bond_category": "可转债", "bond_base_information.bond_style": "可转债", "bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2017-12-05", "bond_base_information.end_time": "2023-12-05", "bond_base_information.honour_day": "2023-12-05", "bond_base_information.payment_term_month": 72, "bond_base_information.payment_illustrate": "存续期内每年12月5日", "bond_base_information.sale_time": "2018-01-12", "bond_base_information.sale_end_time": "2023-12-01", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "递进利率", "bond_base_information.nominal_interest_rate": 2, "bond_base_information.rate_start_time": "2022-12-05", "bond_base_information.rate_end_time": "2023-12-04", "bond_base_information.issue_price": 100, "bond_base_information.issue_start_time": "2017-12-05", "bond_base_information.issue_end_time": "2017-12-05", "bond_base_information.issue_volume": 1000000, "bond_base_information.issue_type": "向原股东配售,上网定价发行" } } } } } }