华润电力:“22华润Y1”将于9月1日本息兑付及摘牌
Group 1 - China Resources Power (00836) announced the issuance of a public offering of renewable corporate bonds aimed at professional investors, referred to as "22 China Resources Y1" [1] - The bonds will pay interest and principal from September 1, 2024, to August 31, 2025, with a maturity date of September 1, 2025 [1] - The coupon rate for this bond issue is set at 2.78%, with a total redemption amount of 1,027.80 yuan (including tax) for each bond with a face value of 1,000 yuan [1]