中国 建设银行 股份有限公司发布公告称,“20建设银行二级”将于2025年9月14日进行付息兑付。本期债券发行总额为人民币650亿元,期限为10年期固定利率债券,在第5年末附有条件的发行人赎回权,本计息期债券利率为4.20%。托管在中央国债登记结算有限责任公司的债券,其付息兑付资金将由该公司划付至持有人账户,如遇节假日则顺延。投资者需确保资金汇划路径及时更新以免延误收款。
Source Link中国 建设银行 股份有限公司发布公告称,“20建设银行二级”将于2025年9月14日进行付息兑付。本期债券发行总额为人民币650亿元,期限为10年期固定利率债券,在第5年末附有条件的发行人赎回权,本计息期债券利率为4.20%。托管在中央国债登记结算有限责任公司的债券,其付息兑付资金将由该公司划付至持有人账户,如遇节假日则顺延。投资者需确保资金汇划路径及时更新以免延误收款。
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