中国银行股份有限公司发布2025年总损失吸收能力非资本债券(第二期)偿债计划及保障措施专项报告。本期债券为4年期固定利率品种,附第3年末有条件赎回权,拟发行规模不超过500亿元,主要用于提升总损失吸收能力。偿债计划包括每年付息一次、到期还本,并通过动态资金调配确保按时兑付。
Source Link中国银行股份有限公司发布2025年总损失吸收能力非资本债券(第二期)偿债计划及保障措施专项报告。本期债券为4年期固定利率品种,附第3年末有条件赎回权,拟发行规模不超过500亿元,主要用于提升总损失吸收能力。偿债计划包括每年付息一次、到期还本,并通过动态资金调配确保按时兑付。
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