Summary | Both value date and payment due date is set on Jun 4,
and the to-be-issued bills tradable on Jun 5.The proceeds from
the issue will be used to repay bank loans and replenish its
working capital.China Citic Bank<601998><0998> will be the
joint lead underwriter.This will be the issuer's first short
term bills this year. ...
chinaknowledge.com | 26 May 2015