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中國建材:海外監管公告2024年科技創新公司債券(第二期)發行結果公告

CNBM: Announcement of the results of the second issuance of the 2024 overseas regulatory science and technology innovation bonds.

HKEX ·  Jul 8 20:50

Summary by Futu AI

中國建材股份有限公司於2024年7月8日完成了面向專業投資者公開發行的科技創新公司債券(第二期)的發行工作。根據中國證監會的批准,該公司公開發行的公司債券總面值不超過人民幣200億元。本期債券的發行規模為不超過20億元,分為三個品種,期限分別為2年、3年和5年。品種一的實際發行金額為5億元,認購倍數為3.12倍,票面利率為2.11%;品種三的實際發行金額為15億元,認購倍數為2.42倍,票面利率為2.30%;品種二則未實際發行。發行人的董事、高級管理人員、持股比例超過5%的股東及其他關聯方均未參與認購。承銷機構包括中信證券、國泰君安證券、信達證券和華泰聯合證券及其關聯方共認購了11.2億元。中國建材保證公告內容的真實、準確和完整。
中國建材股份有限公司於2024年7月8日完成了面向專業投資者公開發行的科技創新公司債券(第二期)的發行工作。根據中國證監會的批准,該公司公開發行的公司債券總面值不超過人民幣200億元。本期債券的發行規模為不超過20億元,分為三個品種,期限分別為2年、3年和5年。品種一的實際發行金額為5億元,認購倍數為3.12倍,票面利率為2.11%;品種三的實際發行金額為15億元,認購倍數為2.42倍,票面利率為2.30%;品種二則未實際發行。發行人的董事、高級管理人員、持股比例超過5%的股東及其他關聯方均未參與認購。承銷機構包括中信證券、國泰君安證券、信達證券和華泰聯合證券及其關聯方共認購了11.2億元。中國建材保證公告內容的真實、準確和完整。
China National Building Materials Co., Ltd. completed the issuance of the second phase of technology innovation bonds (for professional investors) on July 8th, 2024. According to the approval of the China Securities Regulatory Commission, the total face value of the company's public bonds issued does not exceed RMB 20 billion. The scale of this bond issuance is not more than RMB 2 billion, divided into three varieties with maturities of 2 years, 3 years, and 5 years. The actual issuance amount of variety 1 is RMB 0.5 billion, with a subscription multiple of 3.12 times and a coupon rate of 2.11%; The actual issuance amount of variety 3 is RMB 1.5 billion, with a subscription multiple of 2.42 times and a coupon rate of 2.30%; Variety 2 was not actually issued. The issuer's directors...Show More
China National Building Materials Co., Ltd. completed the issuance of the second phase of technology innovation bonds (for professional investors) on July 8th, 2024. According to the approval of the China Securities Regulatory Commission, the total face value of the company's public bonds issued does not exceed RMB 20 billion. The scale of this bond issuance is not more than RMB 2 billion, divided into three varieties with maturities of 2 years, 3 years, and 5 years. The actual issuance amount of variety 1 is RMB 0.5 billion, with a subscription multiple of 3.12 times and a coupon rate of 2.11%; The actual issuance amount of variety 3 is RMB 1.5 billion, with a subscription multiple of 2.42 times and a coupon rate of 2.30%; Variety 2 was not actually issued. The issuer's directors, senior management personnel, shareholders with a shareholding ratio of more than 5%, and other related parties did not participate in the subscription. Underwriting institutions include CITIC Securities, Guotai Junan Securities, Xinda Securities, Huatai United Securities, and their affiliated parties, which collectively subscribe to RMB 1.12 billion. China National Building Materials guarantees the truthfulness, accuracy, and completeness of the announcement content.

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