When will Jin Lang issue bonds to pay the bill?

When issuing bonds, it is necessary to ensure that there are enough funds in the account at 16:00 on that day.

T+2 is the payment date when the convertible bonds are purchased, T+ 1 can be used to check whether the bonds are won, and T is the subscription date of the convertible bonds. Before 15:00, sufficient funds should be reserved in the account for payment. If the account has sufficient funds, the payment amount of convertible bonds can be deducted automatically until around 16:00 after the closing.