长实(01113.HK) 宣布,已透过CK Property Finance Medium Term Note Programme,发行数批总值超过20亿港元的中期票据,包括7.8亿港元,票面息率3.01%之3年期定息票据及按香港银行同业拆息
(HIBOR)加36点子之3年期浮息票据(订价日:2025年7月7日);以及12.3亿港元,票面息率3.33%之5年期定息票据及按HIBOR加61点子之5年期浮息票据(订价日:2025年7月8日)。
长实执行委员会及财务委员会委员兼企业业务发展部总经理马励志表示,集团对是次发行4批票据的成本感到非常满意,有关息率可能是现今市场上最低之企业融资成本之一。于2024年12月31日,长实之负债净额与总资本净额比率约为4%。集团的雄厚现金状况,可支持寻求各种新机遇,包括在香港进行地产发展或提供企业信贷等。
是次之票据乃长实总值50亿美元之欧元中期票据发行计划的一部分。(ad/u)(港股报价延迟最少十五分钟。沽空资料截至 2025-07-10 12:25。)
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