Huadian Fuxin Energy Corporation Limited dated on 12 September 2019 in relation to the issuance of the second tranche of 2019 medium-term notes. A total of RMB 1.6 billion of medium-term notes will be issued in this tranche. This tranche of medium-term notes will be issued to the national inter-bank bond market institutional investors only (other than those prohibited by the national laws and regulations). The issuance involves two types of debt financing instruments. The two debt financing instruments shall continue indefinitely until redeemed by the Issuer in accordance with the terms of issuance, at which point they become due. Type 1 has a term of 3+N years, while type 2 has a term of 5+N years.