京投发展股份有限公司2025年度第二期中期票据
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京投发展:成功发行2025年度第二期中期票据
Ge Long Hui· 2025-12-31 08:27
Group 1 - The company successfully issued the second phase of medium-term notes for the year 2025, with a total issuance amount of 440 million yuan [1] - The bond is named "Jingtou Development Co., Ltd. 2025 Second Phase Medium-Term Notes," with a code of 102585374 and a maturity period of 3 years [1] - The issuance interest rate for the bonds is set at 2.09%, with a repayment date scheduled for December 29, 2028 [1]
京投发展(600683.SH):成功发行2025年度第二期中期票据
Ge Long Hui A P P· 2025-12-31 08:26
Core Viewpoint - The company successfully issued its second tranche of medium-term notes for 2025, indicating a strategic move to raise funds through debt instruments [1] Group 1: Company Information - The bond is named "京投发展股份有限公司2025年度第二期中期票据" and is abbreviated as "25京投发展MTN002" [1] - The bond code is 102585374, with a maturity period of 3 years [1] - The total amount issued is 440 million yuan, with an interest rate of 2.09% [1] Group 2: Financial Details - The bond's maturity date is set for December 29, 2028 [1] - The issuance reflects the company's ongoing efforts to manage its financing needs effectively [1]