Guojin Securities: Redemption of short-term financing bonds principal and interest amounting to 1.014 billion yuan.

date
15/05/2025
Guo Jin Securities announced on May 15th that the third tranche of short-term financing notes for the fiscal year 2024 has been fully repaid on May 15th, 2025, with a total repayment of principal and interest amounting to 1.014 billion yuan. The issuance amount of the notes was 1 billion yuan, with a coupon rate of 2.03% and a maturity of 245 days, with the repayment date being May 15th, 2025.