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中国东方航空股份有限公司 关于东航海外(香港)有限公司发行的新加坡元债券付息的公告

Key Points - The company issued a guaranteed Singapore dollar bond with a total issuance size of SGD 500 million [1] - The bond has a maturity period of 5 years, with an annual interest rate of 2.00% [1] - The interest payment for the bond will be made on July 15, 2025, covering the period from January 15, 2025, to July 15, 2025 [2] - Each bond with a face value of SGD 250,000 will receive an interest payment of SGD 2,479.45 (excluding tax) [3] - The interest payment will be distributed to bondholders registered with Euroclear and Clearstream as of July 13, 2025 [4] - The payment will be processed through Deutsche Bank Hong Kong Branch, which acts as the payment agent [5] - The issuer of the bond is Eastern Airlines Overseas (Hong Kong) Co., Ltd., a wholly-owned subsidiary of China Eastern Airlines [6]