Workflow
牧原股份: 关于2025年度第三期中期票据发行结果的公告

Core Viewpoint - The company successfully issued its third phase of medium-term notes for the year 2025, raising a total of 500 million RMB to optimize its financing structure and reduce costs [1]. Group 1: Issuance Details - The issuance was approved by the company's board and shareholders on December 5 and December 21, 2023, respectively [1]. - The total issuance scale was 500 million RMB, with all funds received by July 23, 2025 [1]. - The medium-term note is named "25牧原食品 MTN003" with a code of 102583015, having a term of 2 years [1]. Group 2: Financial Terms - The interest rate for the issued notes is set at 2.15% [1]. - The issuance price was 100 RMB per 100 RMB face value [1]. Group 3: Underwriters - The lead underwriter for this issuance was Industrial Bank Co., Ltd., with joint lead underwriters being China Merchants Bank Co., Ltd. and Huaxia Bank Co., Ltd. [1].