5月8日,建设银行(601939/00939)发布公告,关于赎回境外二级资本债券的事项。公司于2020年6月24日在香港发行了初始年利率为2.45%、于2030年到期的20亿美元二级资本债券。
根据债券的条款,公司已通知持有人将于2025年6月24日行使赎回权,赎回所有未偿付的本期债券。
公司于2025年4月11日获得国家金融监督管理总局的函件,表示对赎回本期债券无异议,赎回条件已满足。赎回完成后,本期债券将不再有未偿付余额,且公司将向香港联合交易所申请撤回本期债券上市。
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