申能股份有限公司 关于完成2025年度第三期、 第四期中期票据的公告
Core Viewpoint - The company has successfully completed the issuance of the third and fourth phases of medium-term notes for the year 2025, with a total registered amount of RMB 8 billion [1] Group 1: Issuance Details - The total amount for the third phase of medium-term notes is RMB 1 billion, with a maturity of 10 years and an annual interest rate of 2.18% [1] - The total amount for the fourth phase of medium-term notes is RMB 1.5 billion, with a maturity of 5 years and an annual interest rate of 1.87% [1] Group 2: Approval and Announcement - The issuance was approved during the 43rd shareholders' meeting held on May 23, 2023 [1] - The announcement was made by Sheneng Co., Ltd. on August 15, 2025 [1]