数字证券商业票据
Search documents
达丰设备:第八次发行数字证券商业票据
Zhi Tong Cai Jing· 2026-01-08 08:46
Core Viewpoint - The company, 达丰设备 (02153), has announced the initiation of a S$50 million multi-currency, multi-series unsecured non-recourse commercial paper financing plan [1] Group 1: Financing Plan - The company launched the SDAX multi-currency CP financing plan on April 3, 2024, allowing the issuance and listing of multiple series of commercial papers on the SDAX platform [1] - The eighth issuance under the SDAX multi-currency CP financing plan will occur on January 8, 2026, with digital securities commercial papers denominated in Singapore dollars at an annual interest rate of 4.30%, maturing approximately three months from the issuance date [1] Group 2: Fundraising and Utilization - The company expects to raise between S$25 million and S$30 million from the three-month SGD series 008 issuance, aimed at funding the group's operational capital [1]
达丰设备(02153.HK):第八次发行数字证券商业票据
Ge Long Hui· 2026-01-08 08:45
Group 1 - The core announcement is that the company, 达丰设备 (02153.HK), has initiated a S$50 million multi-currency, multi-series unsecured non-redeemable commercial paper financing program [1] - The company plans to issue a digital securities commercial paper in Singapore dollars under the SDAX multi-currency CP financing program, with an annual interest rate of 4.30% and a maturity of approximately 3 months from the issuance date [1] - The expected fundraising amount from the 3-month SGD Series 008 issuance is between S$25 million and S$30 million, which will be used for the company's operating capital [1]
达丰设备(02153):第八次发行数字证券商业票据
智通财经网· 2026-01-08 08:42
Core Viewpoint - The company, 达丰设备, has initiated a multi-currency, multi-series unsecured non-recourse commercial paper financing program amounting to SGD 50 million [1] Group 1: Financing Plan - The company launched the SDAX multi-currency CP financing plan on April 3, 2024, allowing the issuance and listing of multiple series of commercial papers on the SDAX platform [1] - The eighth issuance under this financing plan will be a digital securities commercial paper denominated in Singapore dollars, with an annual interest rate of 4.30%, maturing approximately three months from the issuance date [1] Group 2: Fundraising Expectations - The company expects to raise between SGD 25 million and SGD 30 million from the issuance of the 3-month SGD series 008, aimed at funding the group's operational capital [1]
达丰设备(02153) - 自愿公告第八次发行数字证券商业票据
2026-01-08 08:38
Tat Hong Equipment Service Co., Ltd. 香港交易及結算所有限公司及香港聯合交易所有限公司對本公告之內容概不負責,對其 準確性或完整性亦不發表任何聲明,並明確表示,概不對因本公告全部或任何部分內容 而產生或因倚賴該等內容而引致之任何損失承擔任何責任。 本公司預計自3個月SGD系列008發行下的認可投資者及機構投資者籌集25百萬新加坡元 至30百萬新加坡元。3個月SGD系列008發行所得款項擬用作本集團主營業務的營運資 金。 承董事會命 達豐設備服務有限公司 主席兼非執行董事 黃山忠 2153 自願公告 第八次發行數字證券商業票據 本公告由達豐設備服務有限公司(「本公司」,連同其附屬公司統稱「本集團」)自願作出, 以向本公司股東及潛在投資者提供有關本集團最新業務發展的更新資料。 茲提述本公司日期為2024年4月3日的公告,內容有關啟動50百萬新加坡元多幣種多系列 無抵押非後償商業票據融資計劃(「該公告」)。除另有界定者外,本公告所用詞彙與該公 告所界定者具有相同涵義。 誠如該公告所載,本公司已於2024年4月3日啟動SDAX多幣種CP融資計劃,據此,本公 司可以證券型代幣於SDA ...
达丰设备(02153.HK):第七次发行数字证券商业票据
Ge Long Hui· 2025-10-09 08:45
Core Viewpoint - The company, 达丰设备 (02153.HK), announced the issuance of a new digital securities commercial paper under its SDAX multi-currency CP financing program, with a focus on raising funds for operational capital [1] Group 1: Financing Details - The company plans to issue a three-month SGD series 007 commercial paper with an interest rate of 4.50% [1] - The expected fundraising amount from this issuance is between 20 million Singapore dollars and 25 million Singapore dollars [1] - The funds raised will be utilized for the company's main business operational capital [1]
达丰设备(02153):第七次发行数字证券商业票据
智通财经网· 2025-10-09 08:42
Core Viewpoint - The company, 达丰设备, is set to issue a new multi-currency commercial paper financing plan, indicating a strategic move to raise funds for operational needs [1] Group 1: Financing Details - The company will issue digital securities commercial paper notes denominated in Singapore dollars with an annual interest rate of 4.50% [1] - The maturity period for the issued notes is approximately 3 months from the date of issuance [1] - The expected fundraising amount from this issuance is between 20 million Singapore dollars and 25 million Singapore dollars [1] Group 2: Purpose of Funds - The proceeds from the issuance will be utilized for the company's working capital in its main business operations [1]