公司债券发行
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运达股份: 关于拟公开发行可续期公司债券的公告
Zheng Quan Zhi Xing· 2025-08-08 11:14
Core Viewpoint - The company plans to issue a renewable corporate bond with a total face value of up to 2.5 billion RMB to broaden financing channels, optimize debt structure, and reduce financing costs [1][2][3] Group 1: Bond Issuance Details - The renewable corporate bond will be publicly issued to professional investors on the exchange, with a total registered scale not exceeding 2.5 billion RMB [1][2] - The bond will have a basic term of no more than 5 years and can be a single-term or a mixed-term product [2] - The bond will have a fixed interest rate during the initial term, with the specific rate determined based on market conditions [2] Group 2: Fund Utilization - The funds raised from the bond issuance are intended for debt repayment, working capital, project construction and operation, project capital, and equity contributions [2][3] Group 3: Authorization and Decision Validity - The board of directors seeks authorization from the shareholders' meeting to handle all matters related to the bond issuance, including adjustments to the issuance terms based on market conditions [2][3] - The resolution for the bond issuance is valid for 36 months from the date of the shareholders' meeting decision [3] Group 4: Impact on the Company - The issuance of renewable corporate bonds will help broaden financing channels, optimize the debt structure, and lower financing costs without significantly impacting the company's normal operations or harming shareholder interests [3]
中金公司:2025年面向专业机构投资者公开发行公司债券(第一期)品种一票面利率为1.73%
Zhi Tong Cai Jing· 2025-08-07 14:22
中金公司(601995)(03908)发布公告,公司2025年面向专业机构投资者公开发行公司债券(第一期)发行 规模为不超过人民币40亿元(含40亿元)。本期债券分为两个品种。根据网下投资者询价结果,最终确定 本期债券品种一的票面利率为1.73%,品种二的票面利率为1.77%。 ...
中金公司拟发行不超40亿元公司债券
Zhi Tong Cai Jing· 2025-08-06 14:47
Group 1 - The company, CICC, announced the issuance of corporate bonds aimed at professional institutional investors, with a total scale not exceeding RMB 4 billion [1] - The first bond type, referred to as 25 CICC G1, has a ticket interest rate inquiry range of 1.20%-2.20%, while the second bond type, 25 CICC G2, has a ticket interest rate inquiry range of 1.30%-2.30% [1] - The issuance does not include an over-allotment option [1]
华泰证券2025年面向专业投资者公开发行短期公司债券(第七期)品种一票面利率确定为1.56%
Zhi Tong Cai Jing· 2025-08-05 13:50
2025年8月5日,发行人和主承销商在网下向专业机构投资者进行了票面利率询价。根据网下专业机构投 资者询价结果,经发行人和主承销商协商一致,最终确定本期债券品种一的票面利率为1.56%,品种二 的票面利率为1.65%。 华泰证券(06886)发布公告,根据《华泰证券股份有限公司2025年面向专业投资者公开发行短期公司债 券(第七期)发行公告》,华泰证券股份有限公司2025年面向专业投资者公开发行短期公司债券(第七期) (以下简称"本期债券")分为两个品种,其中品种一期限为3个月(92天),票面利率询价区间为 1.10%-2.10%;品种二期限为11个月(334天),票面利率询价区间为1.20%-2.20%。本期债券票面利率由发 行人和主承销商根据网下利率询价结果在利率询价区间内协商确定。 ...
环球医疗(02666)附属拟发行不超8.5亿元公司债券
智通财经网· 2025-08-05 09:25
Core Viewpoint - The company, Global Medical (02666), has received approval from the China Securities Regulatory Commission to publicly issue a maximum of RMB 2 billion in domestic renewable corporate bonds aimed at qualified investors, with a remaining quota of RMB 1.2 billion as of the announcement date [1] Group 1: Bond Issuance Details - The bond will be issued in tranches, with the total principal amount not exceeding RMB 850 million [1] - The basic term of the corporate bond is set at 3 years, with the issuer having the option to extend the term by one repricing cycle or fully redeem the bond at the end of the basic term and each repricing cycle [1] - The bond includes options for the issuer to extend the term, defer interest payments, and redeem the bond [1] Group 2: Interest Rate Structure - The interest rate for the first cycle will remain fixed and will be determined through a book-building process at the time of subscription [1] - The coupon rate is set as the initial benchmark rate plus an initial spread, with subsequent cycles resetting the coupon rate to the current benchmark rate plus the initial spread plus an additional 300 basis points [1] Group 3: Use of Proceeds - The net proceeds from the bond issuance will be used by the issuer to supplement operational funds [1]
鑫科材料:非公开发行公司债券申请获上交所受理
Xin Lang Cai Jing· 2025-08-05 08:23
鑫科材料8月5日公告,公司当天收到上海证券交易所出具的《关于受理安徽鑫科新材料股份有限公司非 公开发行公司债券挂牌转让申请的通知》。上交所对公司报送的非公开发行公司债券并挂牌转让的申请 文件进行了核对,并予以受理。但公司本次非公开发行公司债券尚需获得上交所无异议函后方可实施, 最终能否取得该函件及取得时间尚存在不确定性。 ...
鑫科材料:公司债券申请获上交所受理
Xin Lang Cai Jing· 2025-08-05 08:23
Core Viewpoint - The company has received notification from the Shanghai Stock Exchange regarding the acceptance of its application for the non-public issuance of corporate bonds for transfer listing, but the final approval is still uncertain [1] Group 1 - The company received a notification from the Shanghai Stock Exchange on August 5, 2025, regarding the acceptance of its application for non-public issuance of corporate bonds [1] - The application documents submitted by the company for the non-public issuance of corporate bonds have been verified and accepted by the Shanghai Stock Exchange [1] - The company must obtain a no-objection letter from the Shanghai Stock Exchange before proceeding with the issuance of the corporate bonds, and the timing of obtaining this letter remains uncertain [1]
中州证券:向专业投资者公开发行公司债券获中国证监会注册批复
Zhi Tong Cai Jing· 2025-08-04 09:50
中州证券(01375)发布公告,公司于近日收到中国证券监督管理委员会《关于同意中原证券(601375) 股份有限公司向专业投资者公开发行公司债券注册的批复》(证监许可〔2025〕1556号),批复内容如 下:一、同意你公司向专业投资者公开发行面值总额不超过25亿元公司债券的注册申请。二、本次发行 公司债券应严格按照报送上海证券交易所的募集说明书进行。三、本批复自同意注册之日起24个月内有 效,你公司在注册有效期内可以分期发行公司债券。 ...
天能电池集团股份有限公司关于拟申请注册发行公司债券的公告
Shang Hai Zheng Quan Bao· 2025-08-01 19:20
Group 1 - The company plans to apply for the registration and issuance of corporate bonds not exceeding RMB 2 billion, with the final amount subject to regulatory approval [1][10][29] - The bond term will not exceed 5 years and may consist of a single term or a mix of different terms, determined based on market conditions and funding needs [1][10][30] - The funds raised will be used for repaying bank loans, supplementing working capital, and other purposes compliant with national laws and regulations [1][10][30] Group 2 - The resolution for the bond issuance is valid for 36 months from the date of approval by the shareholders' meeting [2][12][31] - The board of directors is authorized to handle all matters related to the bond issuance, including determining the issuance timing, terms, and other relevant details [3][13][32] - The bond issuance proposal has been approved by both the board of directors and the supervisory board, pending final approval from the shareholders' meeting [6][18][29] Group 3 - The company will hold the second extraordinary shareholders' meeting on August 28, 2025, to discuss the bond issuance and other related matters [41][42][24] - The meeting will utilize both on-site and online voting methods, ensuring participation from shareholders [42][43][45] - The company has established a bond information disclosure management system to ensure compliance and transparency in the bond issuance process [37][39]
天能股份: 天能电池集团股份有限公司关于拟申请注册发行公司债券的公告
Zheng Quan Zhi Xing· 2025-08-01 16:23
Group 1 - The company intends to apply for the registration and issuance of corporate bonds to expand financing channels and optimize its financing structure [1][2] - The final registration scale will be determined based on the approval from regulatory authorities, and the issuance scale will be adjusted according to the company's actual funding needs and market conditions [1][2] - The bond issuance may include various types and maturities, and the company will decide on the specific terms and amounts based on market conditions [1][2] Group 2 - The board of directors seeks authorization from the shareholders' meeting to handle all matters related to the bond issuance, including the issuance timing, terms, rates, and other relevant details [2] - The authorization is valid from the date of approval by the shareholders' meeting until the completion of the authorized matters [2] - The proposal for the bond registration and issuance must be approved at the company's second extraordinary shareholders' meeting in 2025 [2][3]