CHINA RES POWER (00836) announced that its wholly-owned subsidiary, China Resources Power Investment Co., Ltd. (the issuer), will pay interest and principal on its 2022 second tranche perpetual corporate bonds issued to professional investors on September 26, 2025. The interest payment covers the period from September 26, 2024, to September 25, 2025 (referred to as "this year").
The bonds, abbreviated as "22華潤Y2" with bond code 148076.SZ, have a total issuance amount of RMB 3 billion and carry a coupon rate of 2.72%.