北控水务集团完成发行10亿元中期票据
Core Viewpoint - The company has successfully issued the third tranche of medium-term notes for 2025, raising a total of RMB 1 billion with a maturity of five years and an annual interest rate of 2.24% [1] Group 1 - The total amount raised from the issuance of the third tranche of medium-term notes is RMB 1 billion [1] - The notes have a maturity date set for December 2030 [1] - The funds raised will be used to repay borrowings from overseas financial institutions [1]