Date of the board of directors resolution: N/A.
Whether to adopt shelf registration (Yes/No): NO
Total amount issued:
Face value per bond:
Issue price: At par value
Issuance period: The issuance period of tranche A is 2 Years; the issuance period of tranche B is 3 years.
Coupon rate: The coupon rates for the issue of tranche A and tranche B are 4.334% and 4.413% fixed rate respectively.
Types, names, monetary values and stipulations of collaterals: N/A
Use of the funds raised by the offering and utilization plan: Set up stable financing structure and repay the corporate bond due in 2024.
Underwriting method: Public offering
Trustees of the corporate bonds: N/A
Underwriter or agent:
Guarantor(s) for the issuance: N/A
Agent for payment of the principal and interest:
Certifying institution: N/A
Where convertible into shares, the rules for conversion: N/A
Sell-back conditions: N/A
Buyback conditions: N/A
Reference date for any additional share exchange, stock swap, or subscription: N/A
Possible dilution of equity in case of any additional share exchange, stock swap, or subscription: N/A
Any other matters that need to be specified: N/A
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