RYTHM Inc. 设定债券年利率为5.72%

投资观察
Jun 11

RYTHM Inc. 已为其即将发行的零售债券确定了最终利率。该公司宣布,此次债券发行的年利率设定为5.72%。

根据公告,这批债券计划于2026年6月22日正式发行,并将于2032年6月22日到期。这一利率的设定为潜在投资者提供了明确的收益预期,同时也反映了当前市场环境下的融资成本。

债券的发行与到期日期相隔六年,为中期投资工具,旨在为公司筹集资金。此次利率公告是债券发行过程中的关键一步,为市场参与者提供了必要的信息以做出投资决策。

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