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中國外運:海外監管公告

SINOTRANS: Overseas Regulatory Notice

Hong Kong Stock Exchange ·  Jul 1 19:34
Summary by Futu AI
中國外運股份有限公司(「本公司」)於2024年7月1日至5日開放2021年面向專業投資者公開發行公司債券(第一期)的回售登記期。該債券代碼為188446.SH,簡稱「21外運01」。投資者在此期間內有權選擇將持有的債券按面值全部或部分回售給本公司,或選擇繼續持有。未在登記期內進行登記的投資者將視為選擇繼續持有債券。本公司不會對回售的債券進行轉售,並且投資者在回售登記期內可以撤銷回售申報。回售資金的兑付日定於2024年7月26日,由中國證券登記結算有限責任公司上海分公司負責兑付工作。
中國外運股份有限公司(「本公司」)於2024年7月1日至5日開放2021年面向專業投資者公開發行公司債券(第一期)的回售登記期。該債券代碼為188446.SH,簡稱「21外運01」。投資者在此期間內有權選擇將持有的債券按面值全部或部分回售給本公司,或選擇繼續持有。未在登記期內進行登記的投資者將視為選擇繼續持有債券。本公司不會對回售的債券進行轉售,並且投資者在回售登記期內可以撤銷回售申報。回售資金的兑付日定於2024年7月26日,由中國證券登記結算有限責任公司上海分公司負責兑付工作。
Sinotrans Limited ("the Company") opened the repurchase registration period for the public issuance of CSI Enterprise Bond Index (first tranche) for professional investors in 2021 from July 1st to 5th, 2024. The bond code is 188446.SH and the abbreviation is "21sinotrans01". Investors have the right to choose to sell all or part of the bonds they hold at face value to the Company or choose to continue to hold them during the period. Investors who do not register during the registration period will be deemed to have chosen to continue to hold the bonds. The Company will not resell the repurchased bonds, and investors can withdraw their repurchase declaration during the registration period. The repurchase funds will be paid on July 26th, 2024, and the Shanghai branch of China Securities Registration and Settlement Corporation Limited will be responsible for the payment.
Sinotrans Limited ("the Company") opened the repurchase registration period for the public issuance of CSI Enterprise Bond Index (first tranche) for professional investors in 2021 from July 1st to 5th, 2024. The bond code is 188446.SH and the abbreviation is "21sinotrans01". Investors have the right to choose to sell all or part of the bonds they hold at face value to the Company or choose to continue to hold them during the period. Investors who do not register during the registration period will be deemed to have chosen to continue to hold the bonds. The Company will not resell the repurchased bonds, and investors can withdraw their repurchase declaration during the registration period. The repurchase funds will be paid on July 26th, 2024, and the Shanghai branch of China Securities Registration and Settlement Corporation Limited will be responsible for the payment.

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