上港集团(600018.SH):完成2026年度第三期中期票据发行
Core Viewpoint - The company has successfully issued its third tranche of medium-term notes for the year 2026, indicating a strategic move to raise capital through debt instruments [1] Group 1: Bond Issuance Details - The bond is named "Shanghai International Port Group Co., Ltd. 2026 Annual Third Tranche Medium-Term Notes" [1] - The bond code is 102680513, with a maturity period of 5 years and a redemption date set for February 12, 2031 [1] - The total amount issued is 2 billion yuan, with an interest rate of 1.81% [1]