Workflow
龙源电力集团股份有限公司 关于完成2025年度第三期中期票据发行的公告
001289CHINA LONGYUAN(001289) 证券时报网·2025-02-24 18:12

Core Points - The company has received authorization to issue debt financing instruments up to RMB 80 billion [1] - The types of debt instruments include but are not limited to short-term financing bonds, medium-term notes, perpetual notes, and asset-backed notes [1] - The company issued its third medium-term note for 2025 on February 21, 2025, primarily to supplement working capital or repay interest-bearing debts [1] Summary by Categories - Authorization and Issuance - The company’s board approved a general authorization for the registration and issuance of debt financing instruments in the interbank market [1] - The total amount authorized for issuance is up to RMB 80 billion, including various types of debt instruments [1] - Specific Issuance Details - The company has already issued the third medium-term note for 2025, with the funds raised aimed at enhancing working capital or repaying existing debts [1] - Relevant issuance documents have been published on the China Money website and the Shanghai Clearing House website [1]