山东高速股份有限公司2025年度第五期中期票据发行情况公告

Group 1 - The company has completed the issuance of the fifth phase of medium-term notes for the year 2025, amounting to 1 billion yuan [1] - The issuance was approved by the company's annual general meeting held on May 9, 2024, and is in accordance with the regulations of the China Interbank Market Dealers Association [1] - The raised funds have been deposited into the company's designated account [1] Group 2 - The company is authorized to issue various debt financing instruments, including short-term financing bonds, medium-term notes, and asset-backed notes, under a unified registration with the Dealers Association [1] - The registration for these instruments is valid for a specified period, allowing for issuance in one or multiple phases [1]