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辽宁成大股份有限公司关于2024年度第三期短期融资券到期兑付公告

Core Viewpoint - Liaoning Chengda Co., Ltd. has successfully completed the repayment of its third short-term financing bond for the year 2024, which was issued at a total amount of 700 million RMB with a maturity of one year and an interest rate of 2.9% [1][1][1] Summary by Sections Financing Details - The company registered a short-term financing bond issuance limit of up to 2 billion RMB as approved in the 2021 annual shareholders' meeting [1] - The third short-term financing bond for 2024 was issued on September 26, 2024, amounting to 700 million RMB [1][1] - The bond had a face value price of 100 RMB per 100 RMB face value [1] Repayment Information - The third short-term financing bond matured on September 27, 2025, and the company has completed the repayment of both principal and interest [1][1][1]