22华润Y2
Search documents
华润电力:“22华润Y2”将于9月26日付息
Zhi Tong Cai Jing· 2025-09-24 08:41
Group 1 - The company, China Resources Power Holdings Company Limited, announced the issuance of a new tranche of corporate bonds aimed at professional investors [1] - The total issuance amount for this tranche of bonds, referred to as "22 China Resources Y2," is set at 3 billion yuan [1] - The coupon rate for the bonds is established at 2.72%, with interest payments scheduled from September 26, 2024, to September 25, 2025 [1]
华润电力(00836):“22华润Y2”将于9月26日付息
智通财经网· 2025-09-24 08:38
Core Viewpoint - China Resources Power (00836) announced the issuance of a new tranche of perpetual corporate bonds aimed at professional investors, indicating a strategic move to raise capital for future investments [1] Group 1: Bond Issuance Details - The company’s wholly-owned subsidiary, China Resources Power Investment Co., Ltd., will issue the bonds, which are set to pay interest and principal on September 26, 2025, for the period from September 26, 2024, to September 25, 2025 [1] - The total issuance amount for this tranche of bonds is 3 billion yuan, with a coupon rate of 2.72% [1]
华润电力(00836.HK):“22华润Y2”将于9月26日本息兑付及摘牌
Ge Long Hui· 2025-09-24 08:36
Core Viewpoint - China Resources Power Holdings Company Limited announced the issuance of a new tranche of corporate bonds aimed at professional investors, with a fixed interest rate and specific payment terms [1] Group 1: Bond Issuance Details - The company is issuing a new tranche of corporate bonds, referred to as "22 China Resources Y2" with bond code 148076.SZ [1] - The bonds will pay interest and principal on September 26, 2025, covering the period from September 26, 2024, to September 25, 2025 [1] - The coupon rate for this bond issuance is set at 2.72%, and the total amount payable per bond (including tax) is 1,027.20 CNY for each 1,000 CNY face value [1]