首创证券股份有限公司 2025年度第二期短期融资券兑付完成的公告
Core Points - The company successfully issued the second phase of short-term financing bonds for the year 2025 on April 9, 2025, with a total issuance scale of RMB 1 billion and a coupon rate of 1.90% [1][1] - The bonds have a maturity period of 162 days, with the repayment date set for September 19, 2025 [1][1] - On the repayment date, the company paid a total of RMB 1,008,432,876.71, which includes both principal and interest [1][1]