华电国际(600027):完成20亿元中期票据发行
Core Viewpoint - Huadian International has successfully completed the issuance of its 2025 11th tranche medium-term notes, raising a total of 2 billion RMB with a maturity of 3 years and a coupon rate of 1.95% [1] Group 1 - The bond issuance amount is 2 billion RMB [1] - The bonds have a maturity period of 3 years [1] - The face value of each bond is 100 RMB [1] Group 2 - The bonds were underwritten by Industrial Bank Co., Ltd. and China Construction Bank [1] - The issuance was conducted through book-building and centralized placement in the national interbank bond market [1] - The raised funds are intended for repaying maturing debts, supplementing working capital, and investing in the company's subsidiaries [1]