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Update of New Listed Bonds In Inter-Bank Market

List of new listed bonds in China’s National Inter-Bank Bond Market on 26/01/2022:

Ping An International Financial Leasing Co.,Ltd. issued medium term note on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2024-01-26. Listing date is 2022-01-27. Local code is 102280210. Issue amount is CNY 1 bn.
C&D Real Estate Corporation Limited issued medium term note on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2028-01-26. Listing date is 2022-01-27. Local code is 102280205. Issue amount is CNY 600 mn.
C&D Real Estate Corporation Limited issued medium term note on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2029-01-26. Listing date is 2022-01-27. Local code is 102280206. Issue amount is CNY 400 mn.
China Merchants Shekou Industrial Zone Holdings Co.,Ltd. issued medium term note on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2025-01-26. Listing date is 2022-01-27. Local code is 102280211. Issue amount is CNY 645 mn.
China Merchants Shekou Industrial Zone Holdings Co.,Ltd. issued medium term note on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2027-01-26. Listing date is 2022-01-27. Local code is 102280212. Issue amount is CNY 645 mn.
Chuzhou City Tongchuang Construction & Investment Co.,Ltd. issued medium term note on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2025-01-26. Listing date is 2022-01-27. Local code is 102280203. Issue amount is CNY 1 bn.
Lu’an Mining Industry Group Co.,Ltd. issued medium term note on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2025-01-26. Listing date is 2022-01-27. Local code is 102280213. Issue amount is CNY 1 bn.
Yancheng Oriental Investment & Development Group Co.,Ltd. issued medium term note on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2025-01-26. Listing date is 2022-01-27. Local code is 102280215. Issue amount is CNY 500 mn.
Shudao Investment Group Co.,Ltd. issued medium term note on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2099-12-31. Listing date is 2022-01-27. Local code is 102280207. Issue amount is CNY 2 bn.
Anshan Iron and Steel Group Corporation issued medium term note on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2025-01-26. Listing date is 2022-01-27. Local code is 102280209. Issue amount is CNY 2 bn.
Gaoyou City Construction Investment & Development Group Co.,Ltd. issued medium term note on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2025-01-26. Listing date is 2022-01-27. Local code is 102280214. Issue amount is CNY 500 mn.
Shandong Gold Group Co.,Ltd. issued medium term note on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2099-12-31. Listing date is 2022-01-27. Local code is 102280208. Issue amount is CNY 1 bn.
Longyan Investment Development Group Co.,Ltd. issued medium term note on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2025-01-26. Listing date is 2022-01-27. Local code is 102280204. Issue amount is CNY 200 mn.
Kunming Economic Technological Development Zone Investment Development (Group) Co.,Ltd. issued medium term note on 2022-01-25 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2025-01-26. Listing date is 2022-01-27. Local code is 102280225. Issue amount is CNY 500 mn.
Wuhan Central Business District Investment Holding Group Co.,Ltd. issued medium term note on 2022-01-25 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2025-01-26. Listing date is 2022-01-27. Local code is 102280226. Issue amount is CNY 980 mn.
Jiangsu Guoxin Group Limited issued green note on 2022-01-25 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2025-01-26. Listing date is 2022-01-27. Local code is 132280006. Issue amount is CNY 1 bn.
Dongyang State-Owned Asset Investment Co.,Ltd. issued bond on 2022-01-21 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-24. Maturity date is 2029-01-24. Listing date is 2022-01-26. Local code is 2280026. Issue amount is CNY 800 mn.
Jiaozuo Investment Group Co.,Ltd. issued bond on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-25. Maturity date is 2027-01-25. Listing date is 2022-01-26. Local code is 2280030. Issue amount is CNY 500 mn.
Sichuan Tianying Industrial Co.,Ltd. issued bond on 2022-01-25 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-25. Maturity date is 2029-01-25. Listing date is 2022-01-26. Local code is 2280039. Issue amount is CNY 450 mn.
Qiandongnan Development Investment (Group) Co.,Ltd. issued bond on 2022-01-25 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-25. Maturity date is 2029-01-25. Listing date is 2022-01-26. Local code is 2280023. Issue amount is CNY 300 mn.
Jiangsu Huajing Asset Management Company Ltd. issued privately-placed note on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2025-01-26. Listing date is 2022-01-27. Local code is 032280150. Issue amount is CNY 800 mn.
Langfang City Investment Holdings Group Co.,Ltd. issued privately-placed note on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2025-01-26. Listing date is 2022-01-27. Local code is 032280152. Issue amount is CNY 550 mn.
Wuxi Huixinhui Asset Operation Management Co.,Ltd. issued privately-placed note on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2025-01-26. Listing date is 2022-01-27. Local code is 032280156. Issue amount is CNY 500 mn.
Changzhou Binhu Construction Development Group Co.,Ltd. issued privately-placed note on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2025-01-26. Listing date is 2022-01-27. Local code is 032280153. Issue amount is CNY 320 mn.
Yancheng City Urban Assets Investment Group Co.,Ltd. issued privately-placed note on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2025-01-26. Listing date is 2022-01-27. Local code is 032200112. Issue amount is CNY 2 bn.
Jingjiang City Municipal Investment Infrastructure Development Co.,Ltd. issued privately-placed note on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2024-01-26. Listing date is 2022-01-27. Local code is 032280155. Issue amount is CNY 430 mn.
Taizhou Huaxin Pharmaceutical Investment Co.,Ltd. issued privately-placed note on 2022-01-25 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2025-01-26. Listing date is 2022-01-27. Local code is 032280164. Issue amount is CNY 700 mn.
Chongqing Changshou Ecological Tourism Development Group Co.,Ltd. issued privately-placed note on 2022-01-25 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2027-01-26. Listing date is 2022-01-27. Local code is 032280165. Issue amount is CNY 500 mn.
China Development Bank reopened an issue of policy financial bond on 2022-01-20 in National Inter-Bank Bond Market. Interest commencement date is 2021-08-09. Maturity date is 2028-08-09. Listing date is 2022-01-26. Local code is 210209. Issue amount is CNY 3 bn.
China Development Bank reopened an issue of policy financial bond on 2022-01-20 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-17. Maturity date is 2032-01-17. Listing date is 2022-01-26. Local code is 220205. Issue amount is CNY 20 bn.
The Export-Import Bank of China reopened an issue of policy financial bond on 2022-01-21 in National Inter-Bank Bond Market. Interest commencement date is 2021-12-06. Maturity date is 2022-12-06. Listing date is 2022-01-26. Local code is 210308. Issue amount is CNY 4.5 bn.
The Export-Import Bank of China reopened an issue of policy financial bond on 2022-01-21 in National Inter-Bank Bond Market. Interest commencement date is 2021-10-11. Maturity date is 2023-10-11. Listing date is 2022-01-26. Local code is 210322. Issue amount is CNY 4.4 bn.
Anhui Provincial Government issued bond on 2022-01-21 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-24. Maturity date is 2027-01-24. Listing date is 2022-01-26. Local code is 2205011. Issue amount is CNY 130 mn.
Anhui Provincial Government issued bond on 2022-01-21 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-24. Maturity date is 2029-01-24. Listing date is 2022-01-26. Local code is 2205012. Issue amount is CNY 280 mn.
Anhui Provincial Government issued bond on 2022-01-21 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-24. Maturity date is 2032-01-24. Listing date is 2022-01-26. Local code is 2205013. Issue amount is CNY 4.575 bn.
Anhui Provincial Government issued bond on 2022-01-21 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-24. Maturity date is 2037-01-24. Listing date is 2022-01-26. Local code is 2205014. Issue amount is CNY 6.987 bn.
Anhui Provincial Government issued bond on 2022-01-21 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-24. Maturity date is 2042-01-24. Listing date is 2022-01-26. Local code is 2205015. Issue amount is CNY 6.807 bn.
Anhui Provincial Government issued bond on 2022-01-21 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-24. Maturity date is 2052-01-24. Listing date is 2022-01-26. Local code is 2205016. Issue amount is CNY 5.837 bn.
SPD Bank issued bond on 2022-01-21 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-25. Maturity date is 2025-01-25. Listing date is 2022-01-26. Local code is 2228007. Issue amount is CNY 25 bn.
SPD Bank issued bond on 2022-01-21 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-25. Maturity date is 2025-01-25. Listing date is 2022-01-26. Local code is 2228008. Issue amount is CNY 5 bn.
China issued treasury bill on 2022-01-21 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-24. Maturity date is 2022-07-25. Listing date is 2022-01-26. Local code is 229902. Issue amount is CNY 20 bn.
China issued treasury bill on 2022-01-21 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-24. Maturity date is 2022-04-25. Listing date is 2022-01-26. Local code is 229903. Issue amount is CNY 20 bn.
Zhejiang Tailong Commercial Bank Co.,Ltd. issued bond on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-25. Maturity date is 2025-01-25. Listing date is 2022-01-26. Local code is 2220009. Issue amount is CNY 3 bn.
Danyang Investment Group Co.,Ltd. issued commercial paper on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2023-01-26. Listing date is 2022-01-27. Local code is 042280052. Issue amount is CNY 500 mn.
Sinolink Securities Co.,Ltd. issued commercial paper on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-25. Maturity date is 2022-10-14. Listing date is 2022-01-26. Local code is 072210012. Issue amount is CNY 1 bn.
HuaiAn Huaiyin District Urban Assets Management Co.,Ltd. issued commercial paper on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2022-07-25. Listing date is 2022-01-27. Local code is 042280053. Issue amount is CNY 500 mn.
Kunming Communications Industry Co.,Ltd. issued commercial paper on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2022-10-23. Listing date is 2022-01-27. Local code is 012280402. Issue amount is CNY 1.5 bn.
Kunming Industrial Development & Investment Co.,Ltd. issued commercial paper on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2022-10-23. Listing date is 2022-01-27. Local code is 012280408. Issue amount is CNY 500 mn.
Chengdu Xisheng Investment Group Co.,Ltd. issued commercial paper on 2022-01-24 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2023-01-26. Listing date is 2022-01-27. Local code is 042280054. Issue amount is CNY 800 mn.
Soochow Securities Co.,Ltd. issued commercial paper on 2022-01-25 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2022-07-22. Listing date is 2022-01-27. Local code is 072210013. Issue amount is CNY 1 bn.
CCCC Third Harbor Engineering Co.,Ltd. issued commercial paper on 2022-01-25 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2022-07-25. Listing date is 2022-01-27. Local code is 012280424. Issue amount is CNY 1.5 bn.
Shenzhen Talents Housing Group Co.,Ltd. issued commercial paper on 2022-01-25 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2022-10-23. Listing date is 2022-01-27. Local code is 012280418. Issue amount is CNY 1 bn.
Huaneng Power International Jiangsu Energy Development Co.,Ltd. issued commercial paper on 2022-01-25 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2022-07-25. Listing date is 2022-01-27. Local code is 012280422. Issue amount is CNY 300 mn.
China Huaneng Group Co.,Ltd. issued commercial paper on 2022-01-25 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2022-02-25. Listing date is 2022-01-27. Local code is 012280417. Issue amount is CNY 1.5 bn.
Xiamen ITG Group Corp.,Ltd. issued commercial paper on 2022-01-25 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2022-04-26. Listing date is 2022-01-27. Local code is 012280423. Issue amount is CNY 1 bn.
Guangdong GW Holdings Group Co.,Ltd. issued commercial paper on 2022-01-25 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2022-04-26. Listing date is 2022-01-27. Local code is 012280421. Issue amount is CNY 1 bn.
Guangdong GW Holdings Group Co.,Ltd. issued commercial paper on 2022-01-25 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2022-10-21. Listing date is 2022-01-27. Local code is 012280419. Issue amount is CNY 500 mn.
Jiangxi Copper Corporation Limited issued commercial paper on 2022-01-25 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2022-05-26. Listing date is 2022-01-27. Local code is 012280416. Issue amount is CNY 1.3 bn.
Nanjing Tangshan Construction Investment and Development Co.,Ltd. issued commercial paper on 2022-01-25 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2023-01-26. Listing date is 2022-01-27. Local code is 042280058. Issue amount is CNY 850 mn.
Shenwan Hongyuan Securities Co.,Ltd. issued commercial paper on 2022-01-25 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2022-06-30. Listing date is 2022-01-27. Local code is 072210014. Issue amount is CNY 2 bn.
Guangzhou Yuexiu Holdings Limited issued commercial paper on 2022-01-25 in National Inter-Bank Bond Market. Interest commencement date is 2022-01-26. Maturity date is 2022-06-25. Listing date is 2022-01-27. Local code is 012280420. Issue amount is CNY 1 bn.

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