西蒙地产集团宣布,其子公司计划发行一批总额达5亿欧元的无担保票据。这批票据将于2031年到期,设定的票面利率为3.650%。此次发行旨在为公司的运营与战略举措提供资金支持。
西蒙地产集团宣布,其子公司计划发行一批总额达5亿欧元的无担保票据。这批票据将于2031年到期,设定的票面利率为3.650%。此次发行旨在为公司的运营与战略举措提供资金支持。
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