中国银河证券股份有限公司2025年度第二十一期短期融资券兑付完成的公告
Group 1 - The company successfully issued the 21st short-term financing bond with a total amount of RMB 4 billion on September 8, 2025, with a coupon rate of 1.60% and a maturity of 86 days [1] - The total principal and interest paid on the bond on the redemption date, December 3, 2025, amounted to RMB 4,015,079,452.05 [1] - The company ensures that the announcement content is truthful, accurate, and complete, with all board members taking responsibility for any misleading statements or omissions [1]