西部证券股份有限公司 2025年度第七期短期融资券兑付 完成的公告

Core Points - The company issued its 2025 seventh short-term financing bond on August 26, 2025, with an issuance amount of RMB 1 billion and a coupon rate of 1.65% [1] - The bond has a maturity period of 72 days, with the repayment date set for November 7, 2025 [1] - On November 7, 2025, the company repaid the principal and interest of the bond, totaling RMB 1,003,254,794.52 [2] Summary by Sections - Bond Issuance Details - The company issued a short-term financing bond amounting to RMB 1 billion with a coupon rate of 1.65% [1] - The bond has a maturity of 72 days, with a repayment date of November 7, 2025 [1] - Repayment Information - The total amount repaid on November 7, 2025, was RMB 1,003,254,794.52, which includes both principal and interest [2]