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广州发展集团股份有限公司 关于2025年度第三期超短期融资券 发行情况公告

Group 1 - The company announced the issuance of the third phase of ultra-short-term financing bonds for the year 2025, with a total issuance limit of up to 5 billion RMB [1][2] - The company received the registration notice from the China Interbank Market Dealers Association on May 17, 2023, allowing the issuance of ultra-short-term financing bonds [1] - The company’s board of directors confirmed the accuracy and completeness of the announcement regarding the bond issuance [1][3] Group 2 - The company announced the interest payment for the second phase of medium-term notes for the year 2024, with a total issuance amount of 5 billion RMB and a coupon rate of 2.75% [4][5] - The interest payment date is set for May 29, 2025, with a total interest payment amount of 13,750,000 RMB [5] - The company has established a process for the interest payment to be made through the designated accounts at the China Interbank Market Clearing House [5][6] Group 3 - The company also announced the issuance of the second phase of medium-term notes for the year 2025, with a total issuance limit of up to 6 billion RMB [7] - The issuance took place from May 6 to May 7, 2025, and the relevant documents have been published on the Shanghai Clearing House and China Money websites [7][8] - The company’s board of directors confirmed the accuracy and completeness of the announcement regarding the medium-term notes issuance [7][8]