2025年度第二期中期票据(25陆金开MTN002)

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上海陆家嘴金融贸易区开发股份有限公司关于2025年度第二期中期票据发行结果的公告
Shang Hai Zheng Quan Bao· 2025-06-13 21:09
Core Viewpoint - The company successfully issued its second tranche of medium-term notes for 2025, raising a total of 600 million RMB with a maturity of three years and an interest rate of 1.87% [1][2]. Group 1: Issuance Details - The company registered a total amount of 5 billion RMB for medium-term notes, valid for two years from the date of the registration notice [1]. - The actual issuance amount for the second tranche was 600 million RMB, with each note having a face value of 100 RMB [1]. - The funds from the issuance were fully received on June 13, 2025 [1]. Group 2: Underwriters - The lead underwriter for this issuance was the Bank of Communications, with several joint lead underwriters including Shanghai Pudong Development Bank, Industrial Bank, Shanghai Bank, Shanghai Rural Commercial Bank, and Xiamen International Bank [2].