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招金礦業:海外監管公告

ZHAOJIN MINING: Overseas Regulatory Notice

HKEX ·  Aug 20 09:38
Summary by Moomoo AI
兆金礦業有限公司計劃於2024年8月20日發行2024年第三期中期票據(科技創新票據),該發行計劃已於國家金融市場機構投資者協會註冊。發行採用動態調整機制確定發行金額,中信證券擔任主承銷商和簿記管理人,招商銀行、中國光大銀行和海通證券為聯席主承銷商。票據將通過集中簿記方式進行,屬於企業中期票據第三類別,註冊通知編號為[2022]MTN990,於2022年10月20日接受註冊。票據將具有長期期限,並將根據發行條款由發行人贖回到期。最終發行利率(價格)將在簿記過程後根據投資者出價確定。發行人承諾將籌集的資金用於符合國家法律、法規和政策的用途,不得用於房地產或土地儲備相關業務、高收益金融投資或衍生品。發行人已披露資金具體用途,並將通過證券協會綜合業務和信息服務平台至少提前五個工作日公告資金用途變更。
兆金礦業有限公司計劃於2024年8月20日發行2024年第三期中期票據(科技創新票據),該發行計劃已於國家金融市場機構投資者協會註冊。發行採用動態調整機制確定發行金額,中信證券擔任主承銷商和簿記管理人,招商銀行、中國光大銀行和海通證券為聯席主承銷商。票據將通過集中簿記方式進行,屬於企業中期票據第三類別,註冊通知編號為[2022]MTN990,於2022年10月20日接受註冊。票據將具有長期期限,並將根據發行條款由發行人贖回到期。最終發行利率(價格)將在簿記過程後根據投資者出價確定。發行人承諾將籌集的資金用於符合國家法律、法規和政策的用途,不得用於房地產或土地儲備相關業務、高收益金融投資或衍生品。發行人已披露資金具體用途,並將通過證券協會綜合業務和信息服務平台至少提前五個工作日公告資金用途變更。
Zhaojin Mining Co., Ltd. plans to issue the third medium-term note (technology innovation note) on August 20, 2024. The issuance plan has been registered with the National Financial Market Institutions Investor Association. The issuance adopts dynamic adjustment mechanism to determine the issuance amount, and Citic Securities serves as the lead underwriter and bookkeeper. Cm Bank, CEB Bank, and Haitong Securities are the joint lead underwriters. Notes will be issued through centralized bookkeeping and belong to the third category of corporate medium-term notes. The registration notice number is [2022] MTN990 and was registered on October 20, 2022. The notes will have a long term and will be redeemed by the issuer at maturity according to the issuance terms. The final issuance interest rate (price) will...Show More
Zhaojin Mining Co., Ltd. plans to issue the third medium-term note (technology innovation note) on August 20, 2024. The issuance plan has been registered with the National Financial Market Institutions Investor Association. The issuance adopts dynamic adjustment mechanism to determine the issuance amount, and Citic Securities serves as the lead underwriter and bookkeeper. Cm Bank, CEB Bank, and Haitong Securities are the joint lead underwriters. Notes will be issued through centralized bookkeeping and belong to the third category of corporate medium-term notes. The registration notice number is [2022] MTN990 and was registered on October 20, 2022. The notes will have a long term and will be redeemed by the issuer at maturity according to the issuance terms. The final issuance interest rate (price) will be determined based on investor bids after the bookkeeping process. The issuer promises to use the raised funds for purposes that comply with national laws, regulations, and policies, and not for real estate or land reserve-related businesses, high-yield financial investments, or derivatives. The issuer has disclosed specific uses for the funds and will announce any changes in the use of funds at least five working days in advance through the Securities Association Integrated Business and Information Service Platform.
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