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大唐国际发电股份有限公司2025年面向专业投资者公开发行科技创新可续期公司债券(第二期)
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大唐发电(00991)完成发行16亿元科技创新可续期公司债券
智通财经网· 2025-08-04 09:24
Core Viewpoint - Datang Power Generation Co., Ltd. has successfully completed the issuance of its second phase of technology innovation perpetual corporate bonds aimed at professional investors, raising a total of RMB 1.6 billion [1] Summary by Relevant Sections - **Bond Issuance Details** - The total issuance scale of the bonds is RMB 1.6 billion [1] - The basic term of the bonds is set at 3 years, with interest calculated every 3 years [1] - The company has the option to extend the term by an additional 3 years at the end of the basic term or each cycle [1] - If the company does not exercise the extension option, the bonds will be fully redeemed at maturity [1] - **Interest Rate** - The coupon rate for this bond issuance is 1.92% [1]
大唐发电完成发行16亿元科技创新可续期公司债券
Zhi Tong Cai Jing· 2025-08-04 09:21
Core Viewpoint - Datang International Power Generation Co., Ltd. has successfully completed the issuance of its second phase of technology innovation perpetual corporate bonds aimed at professional investors, with a total issuance size of RMB 1.6 billion [1] Group 1: Bond Issuance Details - The bond issuance scale is RMB 1.6 billion [1] - The basic term of the bonds is 3 years, with interest calculated every 3 years [1] - The coupon rate for this bond is set at 1.92% [1] Group 2: Renewal Options - The company has the right to exercise a renewal option at the end of the basic term and each subsequent cycle, extending the term by 3 years if exercised [1] - If the renewal option is not exercised, the bonds will be fully redeemed at maturity [1]
大唐发电(00991.HK):完成发行2025年科技创新可续期公司债券(第二期)
Ge Long Hui· 2025-08-04 09:21
Core Viewpoint - Datang Power Generation Co., Ltd. has successfully completed the issuance of its second phase of technology innovation perpetual corporate bonds aimed at professional investors, with a total issuance scale of RMB 1.6 billion [1] Group 1: Bond Issuance Details - The bond issuance was completed on July 31, 2025, with a total scale of RMB 1.6 billion [1] - The basic term of the bonds is 3 years, with interest periods set at every 3 years [1] - The coupon rate for this bond is 1.92% [1] Group 2: Renewal Options - The company has the right to exercise a renewal option at the end of the basic term and each interest period, extending the term by an additional cycle of 3 years [1] - If the company does not exercise the renewal option, the bonds will be fully redeemed at maturity [1]