公告日期:2021-10-28
CHINA RAILWAY
BOND ISSUANCE PROGRAMME
TENDER ANNOUNCEMENT
27/10/2021
Bond Code 2180427
Tender Type New Issue
Tender Date 28 October 2021
Tender Time 10:00 am to 11:00 am
Offering Amount Renminbi 15 Billion
Interest Type Fixed
Coupon Rate Tender Subject
Interest Payment Frequency Annually
Interest Payment Date 29 October
Original Tenor 10 Years
Issue and Settlement Date 29 October 2021
Listing Date 2 November 2021
Value Date 29 October 2021
Maturity Date 29 October 2031
Clearing House China Central Deposit & Clearing Co. Ltd
Market China’s Inter-bank Bond Market, Shanghai
Stock Exchange& Shenzhen Stock Exchange
*Disclaimer:
The information provided here is for reference only. China Railway reserves the right to explain
the terms of the announcement. For more information, please refer to the Chinese Version of
Bond Issuance documents, available on website at http://www.chinabond.com.cn
CHINA RAILWAY
BOND ISSUANCE PROGRAMME
TENDER ANNOUNCEMENT
27/10/2……
[点击查看PDF原文]
提示:本网不保证其真实性和客观性,一切有关该股的有效信息,以交易所的公告为准,敬请投资者注意风险。