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"2022-01-07", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "固定利率附息", "bond_base_information.nominal_interest_rate": 4.69000000000000039079850466805510222911834716796875, "bond_base_information.rate_start_time": "2012-01-11", "bond_base_information.rate_end_time": "2022-01-10", "bond_base_information.issue_price": 100, "bond_base_information.issue_start_time": "2012-01-11", "bond_base_information.issue_end_time": "2012-01-12", "bond_base_information.issue_volume": 1000000, "bond_base_information.issue_type": "招标", "bond.id": 70, "bond.ts": "2018-05-03 23:20:06", "bond.bond_number": "SH122749", "bond.description": "根据<国务院关于组建中国石油天然气集团公司有关问题的批复>(国函[1998]57号),公司于1998年7月在原中国石油天然气总公司的基础上重组成立,为特大型石油石化企业集团。 2017年12月,公司名称由“中国石油天然气集团公司”变更为“中国石油天然气集团有限公司”。", "bond.bond_name": "12石油02", "bond.stock_name": "", "bond.company_websit": "http://www.cnpc.com.cn", "bond.company_address": "北京市东城区东直门北大街9号" }, "102": { "bond_base_information.id": 102, "bond_base_information.ts": "2018-05-07 05:43:42", "bond_base_information.bond_code": 122346, "bond_base_information.bond_full_name": "2014年贵人鸟股份有限公司公司债券", "bond_base_information.english_full_name": "2014 Corporate Bonds of Guirenniao Co., Ltd.", "bond_base_information.bond_issue_aim": "协议发行:持有中国证券登记公司上海分公司开立的合格基金证券账户或A股证券账户的机构投资者;网上发行:在中国证券登记结算有限责任公司开立A股证券账户的社会公众投资者。", "bond_base_information.bond_category": "公司债", "bond_base_information.bond_style": "公司债", "bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2014-12-03", "bond_base_information.end_time": "2019-12-03", "bond_base_information.honour_day": "2019-12-03", "bond_base_information.payment_term_month": 60, "bond_base_information.payment_illustrate": "存续期内每年12月03日", "bond_base_information.sale_time": "2014-12-23", "bond_base_information.sale_end_time": "2019-11-29", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "固定利率附息", "bond_base_information.nominal_interest_rate": 6.79999999999999982236431605997495353221893310546875, "bond_base_information.rate_start_time": "2014-12-03", "bond_base_information.rate_end_time": "2017-12-02", "bond_base_information.issue_price": 100, "bond_base_information.issue_start_time": "2014-12-03", "bond_base_information.issue_end_time": "2014-12-03", "bond_base_information.issue_volume": 80000, "bond_base_information.issue_type": "协议发行,上网定价发行", "bond.id": 71, "bond.ts": "2018-05-03 23:20:18", "bond.bond_number": "SH122346", "bond.description": "公司是由贵人鸟中国整体变更设立的中外合资股份有限公司。2011年3月21日,福建省对外贸易经济合作厅作出<关于贵人鸟(中国)有限公司改制为贵人鸟股份有限公司的批复>(闽外经贸外资[2011]118号),同意贵鸟中国以截至2010年12月31日经审计的净资产570,839,564.58元中的52,500万元按1:1的比例折合52,500万股,余额45,839,564.58元转为公司资本公积金,改制设立为股份有限公司。2011年3月31日,本公司在福建省工商行政管理局办理工商变更登记,领取了<企业法人营业执照>,注册号350500400022497。", "bond.bond_name": "14贵人鸟", "bond.stock_name": "", "bond.company_websit": "http://www.k-bird.com", "bond.company_address": "福建省厦门市湖里区泗水道629号五缘湾营运中心翔安商务大厦18楼" }, "103": { "bond_base_information.id": 103, "bond_base_information.ts": "2018-05-07 05:44:00", "bond_base_information.bond_code": 124187, "bond_base_information.bond_full_name": "2013年山东泰丰矿业集团有限公司公司债券", "bond_base_information.english_full_name": "2013 Corporate Bonds of Shandong Taifeng Mining Industry Group Co., Ltd.", "bond_base_information.bond_issue_aim": "网点公开发行:在中央国债登记公司开立账户的中国境内机构投资者。 网下发行:在中国证券登记结算有限责任公司开立基金证券账户或A股证券账户的机构投资者。", "bond_base_information.bond_category": "企业债", "bond_base_information.bond_style": "企业债", "bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2013-03-12", "bond_base_information.end_time": "2020-03-12", "bond_base_information.honour_day": "2020-03-12", "bond_base_information.payment_term_month": 84, "bond_base_information.payment_illustrate": "存续期内每年3月12日", "bond_base_information.sale_time": "2013-07-08", "bond_base_information.sale_end_time": "2020-03-10", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "固定利率附息", "bond_base_information.nominal_interest_rate": 5.79999999999999982236431605997495353221893310546875, "bond_base_information.rate_start_time": "2013-03-12", "bond_base_information.rate_end_time": "2020-03-11", "bond_base_information.issue_price": 100, "bond_base_information.issue_start_time": "2013-03-12", "bond_base_information.issue_end_time": "2013-03-14", "bond_base_information.issue_volume": 90000, "bond_base_information.issue_type": "网点公开发行,协议发行", "bond.id": 72, "bond.ts": "2018-05-03 23:20:34", "bond.bond_number": "SH124187", "bond.description": "公司是由国有企业新泰市王家寨煤矿改组而成,其前身王家寨煤矿于1985年4月开始筹建,依据新泰市人民政府<关于撤销王家寨煤矿筹建处建立新泰市王家寨煤矿的批复>(新政函[1992]10号),王家寨煤矿于1996年3月20日正式成立。 2003年11月,王家寨煤矿改制为山东泰丰矿业有限公司。 2016年6月3日,公司名称由“山东泰丰矿业有限公司”变更为“山东泰丰控股集团有限公司”。", "bond.bond_name": "PR泰矿债", "bond.stock_name": "", "bond.company_websit": "", "bond.company_address": "新泰市经济开发区" }, "104": { "bond_base_information.id": 104, "bond_base_information.ts": "2018-05-07 05:44:24", "bond_base_information.bond_code": 120603, "bond_base_information.bond_full_name": "2006年中国航天科技集团公司企业债券", "bond_base_information.english_full_name": "2006 Corporate Bonds of China Aerospace Science and Technology Corporation", "bond_base_information.bond_issue_aim": "在中央国债登记公司开立账户的中国境内机构投资者。", "bond_base_information.bond_category": "企业债", "bond_base_information.bond_style": "企业债", "bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2006-04-18", "bond_base_information.end_time": "2021-04-18", "bond_base_information.honour_day": "2021-04-18", "bond_base_information.payment_term_month": 180, "bond_base_information.payment_illustrate": "存续期内每年4月18日", "bond_base_information.sale_time": "2006-08-30", "bond_base_information.sale_end_time": "", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "固定利率附息", "bond_base_information.nominal_interest_rate": 4, "bond_base_information.rate_start_time": "2006-04-18", "bond_base_information.rate_end_time": "2021-04-17", "bond_base_information.issue_price": 100, "bond_base_information.issue_start_time": "2006-04-18", "bond_base_information.issue_end_time": "2006-04-24", "bond_base_information.issue_volume": 200000, "bond_base_information.issue_type": "网点公开发行", "bond.id": 74, "bond.ts": "2018-05-03 23:21:01", "bond.bond_number": "SH120603", "bond.description": "公司是经国务院批准,在原中国航天工业总公司所属的部分企事业单位的基础上组建成立的国有特大型独资企业,是国家授权的投资机构,由国务院直接管理。 中国航天事业创建于1956年,航天管理体制先后经历了国防部第五研究院、第七机械工业部、航天工业部、航空航天工业部和中国航天工业总公司的历史沿革。 1999年6月,中国航天工业总公司改组为中国航天科技集团公司和中国航天机电集团公司。 1999年7月1日,根据九届全国人大一次会议精神,经国务院批准,中国航天科技集团公司正式成立。 2017年12月8日,公司名称由“中国航天科技集团公司”变更为“中国航天科技集团有限公司”。", "bond.bond_name": "06航天债", "bond.stock_name": "", "bond.company_websit": "http://www.spacechina.com", "bond.company_address": "北京市海淀区阜成路16号" }, "105": { "bond_base_information.id": 105, "bond_base_information.ts": "2018-05-07 05:44:48", "bond_base_information.bond_code": 124430, "bond_base_information.bond_full_name": "2014年青岛城阳开发投资有限公司公司债券", "bond_base_information.english_full_name": "2014 Corporate Bonds of Qingdao Chengyang Development Investment Co., Ltd.", "bond_base_information.bond_issue_aim": "网点公开发行:在中央国债登记公司开户的中国境内机构投资者;协议发行:持有中国证券登记公司上海分公司开立的合格基金证券账户或A股证券账户的机构投资者", "bond_base_information.bond_category": "企业债", "bond_base_information.bond_style": "企业债", "bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2014-03-10", "bond_base_information.end_time": "2021-03-10", "bond_base_information.honour_day": "2021-03-10", "bond_base_information.payment_term_month": 84, "bond_base_information.payment_illustrate": "存续期内每年的3月10日", "bond_base_information.sale_time": "2014-05-09", "bond_base_information.sale_end_time": "2021-03-08", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "固定利率附息", "bond_base_information.nominal_interest_rate": 7.089999999999999857891452847979962825775146484375, "bond_base_information.rate_start_time": "2014-03-10", "bond_base_information.rate_end_time": "2021-03-09", "bond_base_information.issue_price": 100, "bond_base_information.issue_start_time": "2014-03-10", "bond_base_information.issue_end_time": "2014-03-15", "bond_base_information.issue_volume": 140000, "bond_base_information.issue_type": "协议发行,网点公开发行", "bond.id": 76, "bond.ts": "2018-05-03 23:21:29", "bond.bond_number": "SH124430", "bond.description": "青岛市城阳区人民政府以货币出资设立青岛城阳开发投资有限公司,并于2002年5月24日在青岛城阳区工商行政管理局登记注册并领取营业执照。 2017年11月15日,公司名称由青岛城阳开发投资有限公司变更为青岛城阳开发投资集团有限公司。", "bond.bond_name": "PR城阳债", "bond.stock_name": "", "bond.company_websit": "", "bond.company_address": "青岛市城阳区山城路195号" }, "106": { "bond_base_information.id": 106, "bond_base_information.ts": "2018-05-07 05:44:55", "bond_base_information.bond_code": 127490, "bond_base_information.bond_full_name": "2017年延安市新区投资开发建设有限公司公司债券", "bond_base_information.english_full_name": "2017 Corporate Bonds of Yan'an New District Investment Development and Construction Co., Ltd.", "bond_base_information.bond_issue_aim": "协议发行:持有中国证券登记公司上海分公司开立的合格基金证券账户或A股证券账户的机构投资者; 网点公开发行:在中央国债登记公司开立账户的中国境内机构投资者", "bond_base_information.bond_category": "企业债", "bond_base_information.bond_style": "企业债", "bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2017-04-21", "bond_base_information.end_time": "2024-04-21", "bond_base_information.honour_day": "2024-04-21", "bond_base_information.payment_term_month": 84, "bond_base_information.payment_illustrate": "存续期内每年4月21日", "bond_base_information.sale_time": "2017-06-23", "bond_base_information.sale_end_time": "2024-04-18", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "固定利率附息", "bond_base_information.nominal_interest_rate": 5.5999999999999996447286321199499070644378662109375, "bond_base_information.rate_start_time": "2017-04-21", "bond_base_information.rate_end_time": "2024-04-20", "bond_base_information.issue_price": 100, "bond_base_information.issue_start_time": "2017-04-21", "bond_base_information.issue_end_time": "2017-04-25", "bond_base_information.issue_volume": 100000, "bond_base_information.issue_type": "协议发行,网点公开发行", "bond.id": 77, "bond.ts": "2018-05-03 23:21:42", "bond.bond_number": "SH127490", "bond.description": "2012年3月2日,延安市人民政府国有资产监督管理委员会《关于同意成立延安市新区投资开发建设有限公司的批复》(延市国资发[2011]26号)决定成立延安市新区投资开发建设有限公司。", "bond.bond_name": "17延新投", "bond.stock_name": "", "bond.company_websit": "", "bond.company_address": "陕西省延安市新区管委会办公楼2-305室" }, "107": { "bond_base_information.id": 107, "bond_base_information.ts": "2018-05-07 05:45:05", "bond_base_information.bond_code": 124641, "bond_base_information.bond_full_name": "2014年南京江宁经济技术开发总公司企业债券", "bond_base_information.english_full_name": "2014 Corporate Bonds of Nanjing Jiangning Economic and Technology Development Corporation", "bond_base_information.bond_issue_aim": "网点公开发行:在中央国债登记公司开户的中国境内机构投资者;协议发行:持有中国证券登记公司上海分公司开立的合格基金证券账户或A股证券账户的机构投资者", "bond_base_information.bond_category": "企业债", "bond_base_information.bond_style": "企业债", "bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2014-04-14", "bond_base_information.end_time": "2024-04-14", "bond_base_information.honour_day": "2024-04-14", "bond_base_information.payment_term_month": 120, "bond_base_information.payment_illustrate": "存续期内每年4月14日", "bond_base_information.sale_time": "2014-07-07", "bond_base_information.sale_end_time": "2024-04-11", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "固定利率附息", "bond_base_information.nominal_interest_rate": 7.94000000000000039079850466805510222911834716796875, "bond_base_information.rate_start_time": "2014-04-14", "bond_base_information.rate_end_time": "2024-04-13", "bond_base_information.issue_price": 100, "bond_base_information.issue_start_time": "2014-04-14", "bond_base_information.issue_end_time": "2014-04-16", "bond_base_information.issue_volume": 100000, "bond_base_information.issue_type": "协议发行,网点公开发行", "bond.id": 78, "bond.ts": "2018-05-03 23:21:59", "bond.bond_number": "SH124641", "bond.description": "经江宁县(现为南京市江宁区)人民政府(1992)57号文批准,公司成立于1992年6月30日。成立时的名称为\"江宁县经济技术开发总公司\"。 1992年12月4日,公司的名称变更为\"南京江宁经济技术开发总公司\"。", "bond.bond_name": "PR江宁开", "bond.stock_name": "", "bond.company_websit": "", "bond.company_address": "南京市江宁经济技术开发区将军大道166号" }, "108": { "bond_base_information.id": 108, "bond_base_information.ts": "2018-05-07 05:45:41", "bond_base_information.bond_code": 122783, "bond_base_information.bond_full_name": "2011年江苏中能硅业科技发展有限公司公司债券", "bond_base_information.english_full_name": "2011 Corporate Bonds of Jiangsu Zhongneng Polysilicon Technology Development Co., Ltd.", "bond_base_information.bond_issue_aim": "网下发行:在中国证券登记结算有限责任公司开立A股证券账户的机构投资者。 网点公开发行:在中央国债登记公司开立账户的中国境内机构投资者。", "bond_base_information.bond_category": "企业债", "bond_base_information.bond_style": "企业债", "bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2011-11-15", "bond_base_information.end_time": "2018-11-15", "bond_base_information.honour_day": "2018-11-15", "bond_base_information.payment_term_month": 84, "bond_base_information.payment_illustrate": "存续期内每年11月15日", "bond_base_information.sale_time": "2012-01-09", "bond_base_information.sale_end_time": "2018-11-13", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "固定利率附息", "bond_base_information.nominal_interest_rate": 7.04999999999999982236431605997495353221893310546875, "bond_base_information.rate_start_time": "2016-11-15", "bond_base_information.rate_end_time": "2018-11-14", "bond_base_information.issue_price": 100, "bond_base_information.issue_start_time": "2011-11-15", "bond_base_information.issue_end_time": "2011-11-16", "bond_base_information.issue_volume": 150000, "bond_base_information.issue_type": "网点公开发行,协议发行", "bond.id": 81, "bond.ts": "2018-05-03 23:22:46", "bond.bond_number": "SH122783", "bond.description": "公司的前身江苏中能光伏科技发展有限公司于2006年3月7日在江苏省徐州工商行政管理局注册成立。 2007年8月,经江苏省外经贸厅以苏外经贸字[2007]759号文批准,中能光伏科技发展有限公司名称变更为“江苏中能硅业科技发展有限公司”。", "bond.bond_name": "11苏中能", "bond.stock_name": "", "bond.company_websit": "", "bond.company_address": "徐州经济技术开发区杨山路66号" }, "109": { "bond_base_information.id": 109, "bond_base_information.ts": "2018-05-07 05:46:01", "bond_base_information.bond_code": 122150, "bond_base_information.bond_full_name": "2012年中国石油化工股份有限公司公司债券(10年期)", "bond_base_information.english_full_name": "2012 Corporate Bonds of China Petroleum and Chemical Corporation(10-Year Term)", "bond_base_information.bond_issue_aim": "网下发行:在中国证券登记结算有限责任公司开立A股证券账户的机构投资者。", "bond_base_information.bond_category": "公司债", "bond_base_information.bond_style": "公司债", "bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2012-06-01", "bond_base_information.end_time": "2022-06-01", "bond_base_information.honour_day": "2022-06-01", "bond_base_information.payment_term_month": 120, "bond_base_information.payment_illustrate": "存续期内每年6月1日", "bond_base_information.sale_time": "2012-06-13", "bond_base_information.sale_end_time": "2022-05-30", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "固定利率附息", "bond_base_information.nominal_interest_rate": 4.9000000000000003552713678800500929355621337890625, "bond_base_information.rate_start_time": "2012-06-01", "bond_base_information.rate_end_time": "2022-05-31", "bond_base_information.issue_price": 100, "bond_base_information.issue_start_time": "2012-06-01", "bond_base_information.issue_end_time": "2012-06-05", "bond_base_information.issue_volume": 700000, "bond_base_information.issue_type": "协议发行", "bond.id": 82, "bond.ts": "2018-05-03 23:23:00", "bond.bond_number": "SH122150", "bond.description": "公司是由中国石油化工集团公司于2000年2月25日独家发起成立了中国石油化工股份有限公司。集团公司将其附属公司的石油石化的主营业务连同有关资产及负债于1999年12月31日投入公司,并由公司分开独立经营管理。 公司于2000年10月以H股或美国存托股份的形式向全球发售了15,102,439,000股外资股,公司H股发行价最终定为每股H股1.61港元(其中香港公开发售的H股含联交所每股征费0.02港元),每单位ADS的发行价为20.645美元。其分别于10月18日和19日在香港、纽约和伦敦三地证券交易所成功上市;而集团公司也同时将其所持有公司的1,678,049,000股内资股进行全球发售,转成在上述三地证券交易所上市的外资股。", "bond.bond_name": "12石化02", "bond.stock_name": "", "bond.company_websit": "http://www.sinopec.com", "bond.company_address": "北京市朝阳区朝阳门北大街22号,香港湾仔港湾道1号会展广场办公大楼20楼" }, "110": { "bond_base_information.id": 110, "bond_base_information.ts": "2018-05-07 05:46:14", "bond_base_information.bond_code": 120702, "bond_base_information.bond_full_name": "2007年上海世博土地控股有限公司世博建设债券(十五年期)", "bond_base_information.english_full_name": "2007 World Expo Construction Bonds of Shanghai World Expo Land Holding Co.,Ltd(15-Year Term)", "bond_base_information.bond_issue_aim": "在中央国债登记公司开立账户的中国境内机构投资者。", "bond_base_information.bond_category": "企业债", "bond_base_information.bond_style": "企业债", "bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2007-02-15", "bond_base_information.end_time": "2022-02-15", "bond_base_information.honour_day": "2022-02-15", "bond_base_information.payment_term_month": 180, "bond_base_information.payment_illustrate": "存续期内每年2月15日", "bond_base_information.sale_time": "2007-03-29", "bond_base_information.sale_end_time": "", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "固定利率附息", "bond_base_information.nominal_interest_rate": 4.1500000000000003552713678800500929355621337890625, "bond_base_information.rate_start_time": "2007-02-15", "bond_base_information.rate_end_time": "2022-02-14", "bond_base_information.issue_price": 100, "bond_base_information.issue_start_time": "2007-02-15", "bond_base_information.issue_end_time": "2007-03-01", "bond_base_information.issue_volume": 200000, "bond_base_information.issue_type": "网点公开发行", "bond.id": 83, "bond.ts": "2018-05-03 23:23:10", "bond.bond_number": "SH120702", "bond.description": "", "bond.bond_name": "07世博⑵", "bond.stock_name": "", 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"bond_base_information.issue_start_time": "2015-12-16", "bond_base_information.issue_end_time": "2015-12-17", "bond_base_information.issue_volume": 150000, "bond_base_information.issue_type": "协议发行", "bond.id": 158, "bond.ts": "2018-05-03 23:45:45", "bond.bond_number": "SH136095", "bond.description": "无锡市交通产业集团有限公司系由江苏省人民政府批准、无锡市人民政府直接授权经营的国有独资企业。前身为无锡市交通资产经营有限公司,成立于2001年12月7日,由无锡客运总公司、无锡公交(集团)有限公司、无锡港务有限责任公司、无锡市联运总公司、无锡市交通发展有限公司以截止2000年12月31日经国有资产管理部门确认授权后的净资产出资设立,注册资本54,639.90万元。2003年5月13日。新成立的无锡市交通产业集团有限公司注册资本为108,000万元。2006年1月13日根据修改后的公司章程,无锡市人民政府国有资产监督管理委员会以现金增资40,000万元,公司注册资本变更为148,000万元,法定代表人为薛军。2006年4月20日无锡市人民政府国有资产监督管理委员会以实物资产(道路工程)增资98,112万元,公司注册资本变更为246,112万元.2007年3月18日无锡市国资委以实物资产(道路工程)增资307,659万元,公司注册资本变更为553,771万元。", "bond.bond_name": "15锡交01", "bond.stock_name": "", "bond.company_websit": "http://www.wxcig.com", "bond.company_address": "江苏省无锡市运河东路100号" }, "120": { "bond_base_information.id": 120, "bond_base_information.ts": "2018-05-07 05:50:28", "bond_base_information.bond_code": 136318, "bond_base_information.bond_full_name": "2016年中国石油天然气股份有限公司公司债券(第三期)(品种一)", "bond_base_information.english_full_name": "2016 Corporate Bonds of Petrochina Company Limited(3rd Tranche)(I)", "bond_base_information.bond_issue_aim": "协议发行:持有中国证券登记公司上海分公司开立的合格基金证券账户或A股证券账户的机构投资者", "bond_base_information.bond_category": "公司债", "bond_base_information.bond_style": "公司债", "bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2016-03-24", "bond_base_information.end_time": "2021-03-24", "bond_base_information.honour_day": "2021-03-24", "bond_base_information.payment_term_month": 60, "bond_base_information.payment_illustrate": "存续期内每年03月24日", "bond_base_information.sale_time": "2016-04-15", "bond_base_information.sale_end_time": "2021-03-22", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "固定利率附息", "bond_base_information.nominal_interest_rate": 3.0800000000000000710542735760100185871124267578125, "bond_base_information.rate_start_time": "2016-03-24", "bond_base_information.rate_end_time": "2021-03-23", "bond_base_information.issue_price": 100, "bond_base_information.issue_start_time": "2016-03-23", "bond_base_information.issue_end_time": "2016-03-24", "bond_base_information.issue_volume": 950000, "bond_base_information.issue_type": "协议发行", "bond.id": 159, "bond.ts": "2018-05-03 23:46:05", "bond.bond_number": "SH136318", "bond.description": "根据<公司法>、<国务院关于股份有限公司境外募集股份及上市的特别规定>等有关法律、法规的规定,经原国家经贸委<关于同意设立中国石油天然气股份有限公司的复函>(国经贸企改[1999]1024号)批准,中国石油集团独家发起设立本公司。本公司1999年11月5日在国家工商总局完成注册登记。公司于2005年9月15日在香港联合证券交易所实施配售并上市。", "bond.bond_name": "16中油05", "bond.stock_name": "", "bond.company_websit": "http://www.petrochina.com.cn", "bond.company_address": "北京市东城区东直门北大街9号,香港金钟道89号力宝中心2座3705室" }, "121": { "bond_base_information.id": 121, "bond_base_information.ts": "2018-05-07 05:50:39", "bond_base_information.bond_code": "019541", "bond_base_information.bond_full_name": "2016年记账式附息(十三期)国债", 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"bond_base_information.issue_start_time": "2016-05-20", "bond_base_information.issue_end_time": "2016-05-23", "bond_base_information.issue_volume": 284.1000000000000227373675443232059478759765625, "bond_base_information.issue_type": "招标", "bond.id": 160, "bond.ts": "2018-05-03 23:46:18", "bond.bond_number": "SH019541", "bond.description": "根据财政部《财政部关于划转交通银行30 亿股股份有关问题的通知》(财金[2008]31 号文),为整合国有金融资源,优化国有金融资源配置,经国务院同意,将中央汇金投资有限责任公司持有交通银行 3,000,000,000 股H 股变更为中华人民共和国财政部持有。", "bond.bond_name": "16国债13", "bond.stock_name": "", "bond.company_websit": "http://www.mof.gov.cn", "bond.company_address": "北京市西城区三里河路南三巷3号" }, "122": { "bond_base_information.id": 122, "bond_base_information.ts": "2018-05-07 05:50:59", "bond_base_information.bond_code": 136087, "bond_base_information.bond_full_name": "2015年保利房地产(集团)股份有限公司公司债券(第一期)(品种一)", "bond_base_information.english_full_name": "2015 Corporate Bonds of Poly Real Estate Group Co., Ltd.(1st Tranche)(I)", "bond_base_information.bond_issue_aim": 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163, "bond.ts": "2018-05-03 23:47:43", "bond.bond_number": "SH136045", "bond.description": "公司前身为上海复星房地产开发有限公司,成立于1998年8月13日。 2001年7月26日,根据上海市人民政府沪府体改审(2001)026号文《关于同意设立复地(集团)股份有限公司的批复》,公司整体变更为复地(集团)股份有限公司,于2001年9月27日在上海工商行政管理局注册登记。", "bond.bond_name": "15复地01", "bond.stock_name": "", "bond.company_websit": "http://www.forte.com.cn", "bond.company_address": "上海复兴东路2号复星商务大厦5-7楼" }, "124": { "bond_base_information.id": 124, "bond_base_information.ts": "2018-05-07 05:51:13", "bond_base_information.bond_code": 136469, "bond_base_information.bond_full_name": "2016年中国联合网络通信有限公司公司债券(第一期)(品种一)", "bond_base_information.english_full_name": "2016 Corporate Bonds of China United Network Communications Co., Ltd.(1st Tranche)(I)", "bond_base_information.bond_issue_aim": "协议发行:持有中国证券登记公司上海分公司开立的合格基金证券账户或A股证券账户的机构投资者", "bond_base_information.bond_category": "公司债", "bond_base_information.bond_style": "公司债", "bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2016-06-07", "bond_base_information.end_time": "2019-06-07", "bond_base_information.honour_day": "2019-06-07", "bond_base_information.payment_term_month": 36, "bond_base_information.payment_illustrate": "存续期内每年6月7日", "bond_base_information.sale_time": "2016-07-04", "bond_base_information.sale_end_time": "2019-06-05", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "固定利率附息", "bond_base_information.nominal_interest_rate": 3.069999999999999840127884453977458178997039794921875, "bond_base_information.rate_start_time": "2016-06-07", "bond_base_information.rate_end_time": "2019-06-06", "bond_base_information.issue_price": 100, "bond_base_information.issue_start_time": "2016-06-06", "bond_base_information.issue_end_time": "2016-06-07", "bond_base_information.issue_volume": 700000, "bond_base_information.issue_type": "协议发行", "bond.id": 164, "bond.ts": "2018-05-03 23:48:01", "bond.bond_number": "SH136469", "bond.description": "公司是由联通集团以其经评估的通信资产出资,于2000年4月21日在中国注册成立的有限责任公司,设立时名称为\"中国联通有限公司\"。 2004年4月16日,商务部批准公司以吸收合并的方式与联通新世纪进行合并。2004年7月30日,公司完成与联通新世纪的合并,合并后联通新世纪的全部债权债务由公司承继,联通新世纪被注销。 2005年3月1日,商务部批准公司以吸收合并的方式与联通新世界进行合并。2005年9月1日,公司完成与联通新世界的合并。 2008年10月16日,本公司名称由\"中国联通有限公司\"变更为\"中国联合网络通信有限公司\"。", "bond.bond_name": "16联通01", "bond.stock_name": "", "bond.company_websit": "", "bond.company_address": "北京市西城区金融大街21号" }, "125": { "bond_base_information.id": 125, "bond_base_information.ts": "2018-05-07 05:51:24", "bond_base_information.bond_code": 136039, "bond_base_information.bond_full_name": "2015年中国石油化工股份有限公司公司债券(第一期)(品种一)", "bond_base_information.english_full_name": "2015 Corporate Bonds of China Petroleum and Chemical Corporation(1st Tranche)(I)", "bond_base_information.bond_issue_aim": "协议发行:持有中国证券登记公司上海分公司开立的合格基金证券账户或A股证券账户的机构投资者", "bond_base_information.bond_category": "公司债", "bond_base_information.bond_style": "公司债", "bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2015-11-19", "bond_base_information.end_time": "2018-11-19", "bond_base_information.honour_day": "2018-11-19", "bond_base_information.payment_term_month": 36, "bond_base_information.payment_illustrate": "存续期内每年11月19日", "bond_base_information.sale_time": "2015-12-11", "bond_base_information.sale_end_time": "2018-11-15", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "固定利率附息", "bond_base_information.nominal_interest_rate": 3.29999999999999982236431605997495353221893310546875, "bond_base_information.rate_start_time": "2015-11-19", "bond_base_information.rate_end_time": "2018-11-18", "bond_base_information.issue_price": 100, "bond_base_information.issue_start_time": "2015-11-19", "bond_base_information.issue_end_time": "2015-11-20", "bond_base_information.issue_volume": 1600000, "bond_base_information.issue_type": "协议发行", "bond.id": 165, "bond.ts": "2018-05-03 23:48:13", "bond.bond_number": "SH136039", "bond.description": "公司是由中国石油化工集团公司于2000年2月25日独家发起成立了中国石油化工股份有限公司。集团公司将其附属公司的石油石化的主营业务连同有关资产及负债于1999年12月31日投入公司,并由公司分开独立经营管理。 公司于2000年10月以H股或美国存托股份的形式向全球发售了15,102,439,000股外资股,公司H股发行价最终定为每股H股1.61港元(其中香港公开发售的H股含联交所每股征费0.02港元),每单位ADS的发行价为20.645美元。其分别于10月18日和19日在香港、纽约和伦敦三地证券交易所成功上市;而集团公司也同时将其所持有公司的1,678,049,000股内资股进行全球发售,转成在上述三地证券交易所上市的外资股。", "bond.bond_name": "15石化01", "bond.stock_name": "", "bond.company_websit": "http://www.sinopec.com", "bond.company_address": "北京市朝阳区朝阳门北大街22号,香港湾仔港湾道1号会展广场办公大楼20楼" }, "126": { "bond_base_information.id": 126, "bond_base_information.ts": "2018-05-07 05:51:36", "bond_base_information.bond_code": 106347, "bond_base_information.bond_full_name": "2017年深圳市(本级)轨道交通专项债券(一期)-2017年深圳市政府专项债券(一期)", "bond_base_information.english_full_name": "2017 Shenzhen (Municipal Level) Track Transportation Special Bond (1st Tranche)- 2017 Special Bonds of Shenzhen Municipal Government (1st Tranche)", "bond_base_information.bond_issue_aim": "", "bond_base_information.bond_category": "地方政府债", "bond_base_information.bond_style": "地方政府债", "bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2017-12-12", "bond_base_information.end_time": "2022-12-12", "bond_base_information.honour_day": "2022-12-12", "bond_base_information.payment_term_month": 60, "bond_base_information.payment_illustrate": "存续期内每年12月12日", "bond_base_information.sale_time": "2017-12-14", "bond_base_information.sale_end_time": "2022-12-08", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "固定利率附息", "bond_base_information.nominal_interest_rate": 3.819999999999999840127884453977458178997039794921875, "bond_base_information.rate_start_time": "2017-12-12", "bond_base_information.rate_end_time": "2022-12-11", "bond_base_information.issue_price": 100, "bond_base_information.issue_start_time": "2017-12-11", "bond_base_information.issue_end_time": "2017-12-12", "bond_base_information.issue_volume": 20, "bond_base_information.issue_type": "荷兰式招标发行", "bond.id": 166, "bond.ts": "2018-05-03 23:48:30", "bond.bond_number": "SZ106347", "bond.description": "", "bond.bond_name": "深圳1701", "bond.stock_name": "", "bond.company_websit": "", "bond.company_address": "" }, "127": { "bond_base_information.id": 127, "bond_base_information.ts": "2018-05-07 05:52:32", "bond_base_information.bond_code": 107870, "bond_base_information.bond_full_name": "2017年广东省政府一般债券(九期)", "bond_base_information.english_full_name": "2017 General Bonds of Guangdong Provincial Government(9th Tranche)", "bond_base_information.bond_issue_aim": "", "bond_base_information.bond_category": "地方政府债", "bond_base_information.bond_style": "地方政府债", "bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2017-08-14", "bond_base_information.end_time": "2020-08-14", "bond_base_information.honour_day": "2020-08-14", "bond_base_information.payment_term_month": 36, "bond_base_information.payment_illustrate": "存续期内每年8月14日", "bond_base_information.sale_time": "2017-08-16", "bond_base_information.sale_end_time": "2020-08-12", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "固定利率附息", "bond_base_information.nominal_interest_rate": 3.569999999999999840127884453977458178997039794921875, "bond_base_information.rate_start_time": "2017-08-14", "bond_base_information.rate_end_time": "2020-08-13", "bond_base_information.issue_price": 100, "bond_base_information.issue_start_time": "2017-08-11", "bond_base_information.issue_end_time": "2017-08-14", "bond_base_information.issue_volume": 21.199999999999999289457264239899814128875732421875, "bond_base_information.issue_type": "荷兰式招标发行", "bond.id": 167, "bond.ts": "2018-05-03 23:48:50", "bond.bond_number": "SZ107870", "bond.description": "", "bond.bond_name": "广东1736", "bond.stock_name": "", "bond.company_websit": "", "bond.company_address": "" }, "128": { "bond_base_information.id": 128, "bond_base_information.ts": "2018-05-07 05:52:42", "bond_base_information.bond_code": 136210, "bond_base_information.bond_full_name": "2016年力帆实业(集团)股份有限公司公司债券", "bond_base_information.english_full_name": "2016 Corporate Bonds of Lifan Industry(Group) Co., Ltd.", "bond_base_information.bond_issue_aim": "协议发行:持有中国证券登记公司上海分公司开立的合格基金证券账户或A股证券账户的机构投资者", "bond_base_information.bond_category": "公司债", "bond_base_information.bond_style": "公司债", "bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2016-01-28", "bond_base_information.end_time": "2021-01-28", "bond_base_information.honour_day": "2021-01-28", "bond_base_information.payment_term_month": 60, "bond_base_information.payment_illustrate": "存续期内每年01月28日", "bond_base_information.sale_time": "2016-03-01", "bond_base_information.sale_end_time": "2021-01-26", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "固定利率附息", "bond_base_information.nominal_interest_rate": 6.2599999999999997868371792719699442386627197265625, "bond_base_information.rate_start_time": "2016-01-28", "bond_base_information.rate_end_time": "2019-01-27", "bond_base_information.issue_price": 100, "bond_base_information.issue_start_time": "2016-01-28", "bond_base_information.issue_end_time": "2016-01-29", "bond_base_information.issue_volume": 90000, "bond_base_information.issue_type": "协议发行", "bond.id": 168, "bond.ts": "2018-05-03 23:49:12", "bond.bond_number": "SH136210", "bond.description": "重庆力帆集团创业于1992年,公司系经力帆集团有限2007年12月20日临时股东会决议,以力帆集团有限全体股东力帆控股、上海冠通、尹明善、陈巧凤、尹喜地、尹索微作为发起人,并以力帆集团有限截至2007年11月30日经天健正信审计(重天健审[2007]588号<审计报告>)的账面净资产值671,900,359.92元,按照1:0.9674的比例折为650,000,000元总股本(其余净资产21,900,359.92元计入资本公积),由力帆集团有限整体变更设立的股份公司。", "bond.bond_name": "16力帆债", "bond.stock_name": "", "bond.company_websit": "http://www.lifan.com", "bond.company_address": "重庆市北碚区蔡家岗镇凤栖路16号" }, "129": { "bond_base_information.id": 129, "bond_base_information.ts": "2018-05-07 05:53:45", "bond_base_information.bond_code": "010303", "bond_base_information.bond_full_name": "2003年记账式(三期)国债", "bond_base_information.english_full_name": "2003 Book-entry T-Bond(3rd Tranche)", "bond_base_information.bond_issue_aim": "在证券登记公司上海、深圳分公司开立证券和基金账户的各类投资者。", "bond_base_information.bond_category": "国债", "bond_base_information.bond_style": "国债", "bond_base_information.pay_type": "按半年付息", "bond_base_information.start_time": "2003-04-17", "bond_base_information.end_time": "2023-04-17", "bond_base_information.honour_day": "2023-04-17", "bond_base_information.payment_term_month": 240, "bond_base_information.payment_illustrate": "存续期内每年4月17日,10月17日", "bond_base_information.sale_time": "2003-04-25", "bond_base_information.sale_end_time": "2023-04-13", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "固定利率附息", "bond_base_information.nominal_interest_rate": 3.399999999999999911182158029987476766109466552734375, "bond_base_information.rate_start_time": "2003-04-17", "bond_base_information.rate_end_time": "2023-04-16", "bond_base_information.issue_price": 102.1400000000000005684341886080801486968994140625, "bond_base_information.issue_start_time": "2003-04-17", "bond_base_information.issue_end_time": "2003-04-22", "bond_base_information.issue_volume": 260, "bond_base_information.issue_type": "荷兰式招标发行", "bond.id": 170, "bond.ts": "2018-05-03 23:49:46", "bond.bond_number": "SH010303", "bond.description": "根据财政部《财政部关于划转交通银行30 亿股股份有关问题的通知》(财金[2008]31 号文),为整合国有金融资源,优化国有金融资源配置,经国务院同意,将中央汇金投资有限责任公司持有交通银行 3,000,000,000 股H 股变更为中华人民共和国财政部持有。", "bond.bond_name": "03国债⑶", "bond.stock_name": "", "bond.company_websit": "http://www.mof.gov.cn", "bond.company_address": "北京市西城区三里河路南三巷3号" }, "130": { "bond_base_information.id": 130, "bond_base_information.ts": "2018-05-07 05:53:54", "bond_base_information.bond_code": "019522", "bond_base_information.bond_full_name": "2015年记账式附息(二十二期)国债", "bond_base_information.english_full_name": "2015 Book-entry Interest-bearing T-bond(22nd Tranche)", "bond_base_information.bond_issue_aim": "", "bond_base_information.bond_category": "国债", "bond_base_information.bond_style": "国债", "bond_base_information.pay_type": "按年付息", "bond_base_information.start_time": "2015-09-24", "bond_base_information.end_time": "2018-09-24", "bond_base_information.honour_day": "2018-09-24", "bond_base_information.payment_term_month": 36, "bond_base_information.payment_illustrate": "存续期内每年9月24日", "bond_base_information.sale_time": "2015-09-30", "bond_base_information.sale_end_time": "2018-09-20", "bond_base_information.par_value_unit": 100, "bond_base_information.rate_type": "固定利率附息", "bond_base_information.nominal_interest_rate": 2.9199999999999999289457264239899814128875732421875, "bond_base_information.rate_start_time": "2015-09-24", "bond_base_information.rate_end_time": "2018-09-23", "bond_base_information.issue_price": 100.8599999999999994315658113919198513031005859375, "bond_base_information.issue_start_time": "2015-09-23", "bond_base_information.issue_end_time": "2015-09-28", 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