| Issuer (full name) | |
| Guarantee | unsecured |
| Registered amount | RMB 2.8bln |
| Issued amount | RMB 1.5bln |
| Term | 365-day |
| Par Value | RMB 100 |
| Issue Price | To be decided by bookkeeping |
| Issuing Rate | To be decided by bookkeeping |
| Underwriter | China Construction Bank |
| Underwriting Mode | Underwriting Syndicate Distribution |
| Issuing Mode | Bookkeeping |
| Issuing Date | Aug 31, 2009 |
| Settlement Date | Sep 1, 2009 |
| Interest count day | Sep 1, 2009 |
| Circulation Date | Sep 2, 2009 |
| Maturity Date | Sep 1, 2012 |
| Issuer Rating | AA- |
| Interest accrue mode | Single interest |
| Rating | A-1 |
| Rating Agency | China Chengxin International Credit Rating Co ltd |
Theo mô tả của công ty, số tiền này sẽ được huy động để tăng nguồn vốn lưu động cho các chi nhánh.



















