Group 1 - The company Shenzhen Lihua Science and Technology Co., Ltd. has received approval for the registration of its 2025 first phase medium-term notes with a total amount of 2 billion RMB, valid for 2 years from the date of the notice [1][2] - The company completed the issuance of its 2024 first phase medium-term notes on April 24, 2024, with a total issuance amount of 600 million RMB and an interest rate of 2.64% [2] - The company successfully issued its 2025 first phase medium-term notes on April 7, 2025, with a total issuance amount of 700 million RMB and an interest rate of 2.18% [2] Group 2 - The company held its second extraordinary general meeting of 2023 on July 7, 2023, to approve the proposal for the public issuance of corporate bonds, medium-term notes, and short-term financing bills [1] - The company is not listed as a subject of dishonesty according to the "Credit China" website [2]
深圳市力合科创股份有限公司关于公司2025年度第一期中期票据(科创票据)发行情况的公告