25申D13
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股市必读:申万宏源(000166)11月6日主力资金净流入319.76万元
Sou Hu Cai Jing· 2025-11-06 18:36
Core Points - The stock price of Shenwan Hongyuan (000166) closed at 5.51 yuan on November 6, 2025, with an increase of 1.1% and a turnover rate of 0.46% [1] - The company reported a total issued share capital of 25,039,944,560 yuan, with no changes in the number of H-shares and A-shares as of October 31, 2025 [2] - Shenwan Hongyuan Securities Co., Ltd. completed the issuance of its second phase of short-term corporate bonds for professional investors, totaling 34 billion yuan, with different maturities and interest rates [2][4] Trading Information - On November 6, 2025, the net inflow of main funds was 319.76 million yuan, while retail investors saw a net inflow of 944.49 million yuan [2][4] - The trading volume for Shenwan Hongyuan on the same day was 1,035,800 shares, with a transaction amount of 571 million yuan [1] Company Announcements - The company’s H-share and A-share capital remained unchanged, with H-shares totaling 2,504,000,000 shares and A-shares totaling 22,535,944,560 shares [2] - The short-term corporate bonds issued include two varieties: one with a scale of 12 billion yuan and a maturity of 135 days at an interest rate of 1.67%, and another with a scale of 22 billion yuan and a maturity of 254 days at an interest rate of 1.72% [2][4]
申万宏源:申万宏源证券2025年公开发行短期公司债券(第二期)于11月4日起在深交所上市
Zhi Tong Cai Jing· 2025-11-06 10:47
Core Viewpoint - Shenwan Hongyuan (000166)(06806) announced the completion of the issuance of short-term corporate bonds aimed at professional investors, with a total issuance size of RMB 3.4 billion [1] Group 1: Bond Issuance Details - The bond issuance consists of two varieties: Variety One with an issuance size of RMB 1.2 billion, a term of 135 days, and a coupon rate of 1.67% [1] - Variety Two has an issuance size of RMB 2.2 billion, a term of 254 days, and a coupon rate of 1.72% [1] - The bonds are scheduled to be listed on the Shenzhen Stock Exchange starting November 4, 2025, and will be traded among institutional investors [1] Group 2: Bond Identification - Variety One bonds are referred to as "25申D13" with the bond code "524501" [1] - Variety Two bonds are referred to as "25申D14" with the bond code "524502" [1]