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工商银行(601398) - 工商银行关于重置境内优先股“工行优1”票面股息率的公告


2025-11-18 10:01
中国工商银行股份有限公司董事会及全体董事保证本公告内容不存在任何虚 假记载、误导性陈述或者重大遗漏,并对其内容的真实性、准确性和完整性承担法 律责任。 根据《中国工商银行股份有限公司非公开发行优先股募集说明书》(简称《募 集说明书》)的相关条款,中国工商银行股份有限公司(简称本行)于2015年11 月非公开发行的境内优先股(简称"工行优1",代码"360011")采用分阶段调 整的票面股息率定价方式,票面股息率为基准利率加固定息差,首5年的票面股息 率从发行日起保持不变,其后基准利率每5年重置一次,每个重置周期内的票面股 息率保持不变。固定息差等于本次优先股发行时票面股息率与基准利率之间的差 值,其在存续期内保持不变。"工行优1"从前次重置日起将满5年,根据《募集 说明书》的相关条款,现对"工行优1"的票面股息率进行再次重置。 重置后的票面股息率为本次境内优先股票面股息率重置日(即2025年11月18 日,简称重置日)的基准利率加固定息差。重置日的基准利率为重置日(不含) 前20个交易日中国债券信息网(www.chinabond.com.cn)或中央国债登记结算有 限责任公司认可的其他网站公布的中债国债收益率 ...
工商银行:重置境内优先股“工行优1”票面股息率
Xin Lang Cai Jing· 2025-11-18 09:54
工商银行公告称,该行于2015年11月非公开发行的境内优先股"工行优1",从前次重置日起将满5年,现 对其票面股息率进行再次重置。重置日为2025年11月18日,重置后票面股息率为该日的基准利率加固定 息差。其中,基准利率为1.58%,固定息差为1.56%,票面股息率为3.14%。自2025年11月23日起,股息 每年支付一次。 ...
工商银行(01398) - 海外监管公告


2025-11-18 09:51
中國工商銀行股份有限公司 INDUSTRIAL AND COMMERCIAL BANK OF CHINA LIMITED (於中華人民共和國註冊成立的股份有限公司) 股份代號:1398 海外監管公告 本公告乃根據香港聯合交易所有限公司證券上市規則第13.10B條而做出。 茲載列本行在上海證券交易所網站刊登的《中國工商銀行股份有限公司關於重置境內優 先股「工行優1」票面股息率的公告》,僅供參閱。 特此公告。 香港交易及結算所有限公司及香港聯合交易所有限公司對本公告之內容概不負責,對其準確性或完整性亦不發表 任何聲明,並明確表示,概不就因本公告全部或任何部份內容而產生或因倚賴該等內容而引致之任何損失承擔任 何責任。 证券代码:601398 证券简称:工商银行 公告编号:临 2025-046 号 中国工商银行股份有限公司 关于重置境内优先股"工行优 1"票面股息率的公告 中国工商银行股份有限公司董事会及全体董事保证本公告内容不存在任何虚 假记载、误导性陈述或者重大遗漏,并对其内容的真实性、准确性和完整性承担法 律责任。 根据《中国工商银行股份有限公司非公开发行优先股募集说明书》(简称《募 集说明书》)的相关条款,中 ...
中国工商银行土耳其人民币清算行开业
Xin Hua Cai Jing· 2025-11-18 07:29
Core Viewpoint - The establishment of the Renminbi clearing bank by the Industrial and Commercial Bank of China in Turkey marks a significant milestone in China-Turkey financial cooperation, facilitating trade and investment between the two countries [1][2]. Group 1: Financial Cooperation - The Renminbi clearing bank will enhance the use of Renminbi in local settlements, financing, and transactions, promoting higher levels of bilateral economic and financial connectivity [2]. - The People's Bank of China emphasizes that the use of Renminbi provides a reliable new option for global trade and investment activities, with a commitment to market-oriented, legal, and international practices [1]. Group 2: Economic Impact - The establishment of the clearing bank is expected to reduce trade risks and transaction costs, creating new business opportunities for Turkish enterprises [2]. - The Turkish Central Bank highlights that the Renminbi clearing operations will facilitate access to Renminbi financing and payment channels within Turkey, enhancing the cross-border use of Renminbi and the Turkish Lira [2]. Group 3: Institutional Collaboration - The Industrial and Commercial Bank of China aims to create a "highway" for Renminbi usage, enriching offshore cross-border application scenarios and providing comprehensive Renminbi services [1]. - The opening ceremony was attended by nearly 400 representatives from financial institutions and the business community, indicating strong institutional support for the initiative [2].
工商银行:已行使赎回权,全额赎回合计900亿元二级资本债券
Xin Lang Cai Jing· 2025-11-17 14:42
Core Viewpoint - Industrial and Commercial Bank of China (ICBC) has fully redeemed its 10-year fixed-rate subordinated bonds, totaling 90 billion yuan, issued in September and November 2020 [1] Group 1: Bond Issuance - ICBC issued a total of 90 billion yuan in subordinated bonds in two tranches in the national interbank bond market [1] - The bonds have a maturity of 10 years and were issued in September and November 2020 [1] Group 2: Redemption Details - The bonds included an issuer call option, allowing ICBC to redeem them at face value on the last day of the fifth interest period, specifically on September 24, 2025, and November 16, 2025 [1] - ICBC has exercised its redemption right and fully redeemed the bonds [1]
工商银行全额赎回900亿元二级资本债券
Bei Jing Shang Bao· 2025-11-17 11:48
Core Viewpoint - Industrial and Commercial Bank of China (ICBC) has fully redeemed its 10-year fixed-rate subordinated bonds, totaling RMB 90 billion, issued in September and November 2020 [1] Group 1: Bond Issuance - ICBC issued a total of RMB 90 billion in subordinated bonds in two tranches in the national interbank bond market [1] - The bonds have a fixed interest rate and a maturity of 10 years [1] Group 2: Redemption Details - The bonds included an issuer call option, allowing ICBC to redeem them at face value on the last day of the fifth interest period, specifically on September 24, 2025, and November 16, 2025 [1] - As of the announcement date, ICBC has exercised its redemption right and fully redeemed the bonds [1]
工商银行(01398)已全额赎回900亿元的二级资本债券
智通财经网· 2025-11-17 09:50
Core Viewpoint - Industrial and Commercial Bank of China (ICBC) has exercised its right to fully redeem its 10-year fixed-rate subordinated bonds, totaling RMB 90 billion, issued in September and November 2020 [1] Group 1: Bond Issuance - ICBC issued a total of RMB 90 billion in subordinated bonds in two tranches in the national interbank bond market [1] - The bonds have a maturity of 10 years and were issued in September and November 2020 [1] Group 2: Redemption Details - The bank has the right to redeem the bonds at face value on the last day of the fifth interest period, specifically on September 24, 2025, and November 16, 2025 [1] - As of the announcement date, ICBC has exercised its redemption right and fully redeemed the aforementioned bonds [1]
工商银行(01398.HK)赎回二级资本债券
Ge Long Hui· 2025-11-17 09:48
Core Viewpoint - Industrial and Commercial Bank of China (ICBC) has fully redeemed its 10-year fixed-rate subordinated bonds, totaling RMB 90 billion, issued in September and November 2020 [1] Group 1: Bond Issuance - ICBC issued a total of RMB 90 billion in 10-year fixed-rate subordinated bonds in two tranches in the interbank bond market in September and November 2020 [1] - The bonds included an issuer call option, allowing ICBC to redeem the bonds at face value on the last day of the fifth interest period, specifically on September 24, 2025, and November 16, 2025 [1] Group 2: Redemption Details - As of the announcement date, ICBC has exercised its redemption right and fully redeemed the aforementioned bonds [1]
工商银行(601398) - 工商银行关于赎回二级资本债券的公告


2025-11-17 09:45
证券代码:601398 证券简称:工商银行 公告编号:临 2025-045 号 关于赎回二级资本债券的公告 中国工商银行股份有限公司董事会及全体董事保证本公告内容不存在任何虚 假记载、误导性陈述或者重大遗漏,并对其内容的真实性、准确性和完整性承担法 律责任。 2020年9月和11月,中国工商银行股份有限公司(简称本行)在全国银行间 债券市场分两期发行了10年期固定利率品种、合计规模为人民币900亿元的二级 资本债券(简称上述债券),并发布了关于上述债券发行完毕的公告。根据上述 债券募集说明书中的相关规定,上述债券设有发行人赎回选择权,本行有权在上 述债券第5个计息年度的最后一日(即2025年9月24日及2025年11月16日),按面 值全额赎回上述债券。 截至本公告日,本行已行使赎回权,全额赎回了上述债券。 特此公告。 中国工商银行股份有限公司董事会 二〇二五年十一月十七日 中国工商银行股份有限公司 ...
工商银行(601398.SH):赎回二级资本债券
Ge Long Hui A P P· 2025-11-17 09:43
Core Viewpoint - Industrial and Commercial Bank of China (ICBC) has completed the redemption of its 10-year fixed-rate subordinated bonds, totaling RMB 90 billion, issued in September and November 2020 [1] Group 1: Bond Issuance - ICBC issued a total of RMB 90 billion in subordinated bonds in two phases in the national interbank bond market [1] - The bonds have a fixed interest rate and a maturity of 10 years [1] Group 2: Redemption Details - The bonds included an issuer call option, allowing ICBC to redeem the bonds at face value on the last day of the fifth interest period, specifically on September 24, 2025, and November 16, 2025 [1] - As of the announcement date, ICBC has exercised its redemption right and fully redeemed the bonds [1]