杭州银行股份有限公司 关于2025年金融债券(第二期)发行完毕的公告
Group 1 - The company successfully issued "Hangzhou Bank Co., Ltd. 2025 Financial Bonds (Second Phase)" in the national interbank bond market [1] - The bond issuance was completed on September 8, 2025, with a total scale of RMB 15 billion and a maturity period of 3 years [1] - The coupon rate for the bonds is set at 1.87% [1] Group 2 - The raised funds will be used for loans and other purposes determined by national policies, market conditions, and the company's asset-liability management needs [1]