基本信息
接口地址
https://api.qixin.com/APIService/operation/getBondList数据格式
JSON
请求方式
GET
请求示例
http://api.qixin.com/APIService/operation/getBondList?name=武汉地铁集团有限公司描述
债券信息,包括债券基础信息、发行信息、信用等级等
请求参数 (Headers)
| 参数名 | 类型 | 必填 | 描述 |
|---|---|---|---|
Auth-Version |
String | 是 | 2.0(参数值),固定传入:2.0 |
appkey |
String | 是 | 启信慧眼数据开放平台获取 ,获取方式:个人中心-安全中心-API 密钥,获取appkey的同时,请完成IP白名单的配置:个人中心-安全中心-API IP白名单设置,如未配置,接口调试会报错“104 未添加IP白名单” |
timestamp |
String | 是 | UNIX时间戳,精确到毫秒,示例:1656921036000,当前系统时间近10分钟有效 |
sign |
String | 是 | 请求认证签名,对appkey+timestamp+secret_key进行md5或者sha256摘要计算的结果,小写字符串(实际加密不带入‘+’) |
请求参数 (Query)
| 参数名 | 类型 | 必填 | 描述 |
|---|---|---|---|
name |
String | 是 | 企业全名/注册号/统一社会信用代码 |
skip |
Number | 否 | 跳过条目数(跳过的条数,默认不填返回前20条,取21到40条的数据,skip=20,以此类推进行取数) |
响应参数
| 参数名 | 类型 | 长度 | 描述 |
|---|---|---|---|
datadata.data |
Object | 0 | 返回查询结果,如果没有匹配记录则返回为空。具体字段含义见下表 |
totaldata.data.total |
Number | 0 | 返回列表中记录总数 |
itemsdata.data.items |
Array | 0 | 企业债券列表 |
trademarketcodedata.data.items.trademarketcode |
String | 400 | 交易场所 |
mrtydatedata.data.items.mrtydate |
String | 50 | 到期日期 |
tcodeqxbdata.data.items.tcodeqxb |
String | 160 | 债券代码 |
firstvaluedatedata.data.items.firstvaluedate |
String | 255 | 起息日期 |
issuevoldata.data.items.issuevol |
String | 50 | 发行规模 |
parvaluedata.data.items.parvalue |
String | 50 | 债券面值 |
coupontypedata.data.items.coupontype |
String | 160 | 计息方式 |
issuedatedata.data.items.issuedate |
String | 50 | 发行日期 |
credittypeindata.data.items.credittypein |
String | 50 | 内部信用增级方式 |
listvolshdata.data.items.listvolsh |
String | 50 | 沪市上市规模 |
paytypedata.data.items.paytype |
String | 120 | 付息方式 |
ratedesdata.data.items.ratedes |
String | 6000 | 利率说明 |
issuepricedata.data.items.issueprice |
String | 50 | 发行价格 |
listdatedata.data.items.listdate |
String | 50 | 上市日期 |
couponratedata.data.items.couponrate |
String | 50 | 票面利率(%) |
credittypeoutdata.data.items.credittypeout |
String | 50 | 外部信用增级方式 |
securitysnamedata.data.items.securitysname |
String | 400 | 债券简称 |
creditratingdata.data.items.creditrating |
String | 80 | 信用等级 |
currencydata.data.items.currency |
String | 80 | 币种 |
payperyeardata.data.items.payperyear |
String | 50 | 年付息次数 |
listvolszdata.data.items.listvolsz |
String | 50 | 深市上市规模 |
paymentdatedata.data.items.paymentdate |
String | 50 | 兑付日期(法定) |
securitynamedata.data.items.securityname |
String | 1600 | 债券全称 |
paydaydata.data.items.payday |
String | 1600 | 每年付息日 |
issuetypedata.data.items.issuetype |
String | 50 | 募集方式,1:公募债券,2:私募债券 |
securitytypedata.data.items.securitytype |
String | 400 | 债券类型 |
lastvaluedatedata.data.items.lastvaluedate |
String | 50 | 止息日期 |
bondperioddata.data.items.bondperiod |
String | 50 | 债券期限(年) |
signdata.sign |
String | 32 | 数据签名 |
statusdata.status |
String | 10 | 返回结果状态 |
messagedata.message |
String | 255 | 返回结果消息 |
响应示例
JSON
{
"status": "200",
"message": "操作成功",
"sign": "50d7f2c737e279e6b14602bed50f75c7",
"data": {
"total": 80,
"items": [
{
"securityname": "武汉地铁集团有限公司2022年面向专业投资者公开发行可续期公司债券(第一期)",
"securitysname": "22武铁Y1",
"tcodeqxb": "SZ149939",
"securitytype": "公司债",
"issuedate": "2022-06-09 00:00:00",
"listdate": "2022-06-16 00:00:00",
"issuetype": "1",
"parvalue": "100",
"currency": "CNY",
"couponrate": "3.49",
"bondperiod": "5",
"paymentdate": "2027-06-10 00:00:00",
"mrtydate": "2027-06-10 00:00:00",
"coupontype": "005",
"paytype": "002",
"ratedes": "本期债券采用固定利率形式,单利按年计息,不计复利。如有递延,则每笔递延利息在递延期间按当期票面利率累计计息。",
"firstvaluedate": "2022-06-10 00:00:00",
"lastvaluedate": "2027-06-09 00:00:00",
"issueprice": "100",
"issuevol": "10",
"listvolsh": "",
"listvolsz": "10",
"payperyear": "1",
"payday": "06-10",
"trademarketcode": "069001002",
"creditrating": "",
"credittypeout": "",
"credittypein": ""
},
{
"securityname": "武汉地铁集团有限公司2021年面向专业投资者公开发行可续期公司债券(第一期)",
"securitysname": "21武铁Y1",
"tcodeqxb": "SZ149726",
"securitytype": "公司债",
"issuedate": "2021-11-30 00:00:00",
"listdate": "2021-12-07 00:00:00",
"issuetype": "1",
"parvalue": "100",
"currency": "CNY",
"couponrate": "3.24",
"bondperiod": "3",
"paymentdate": "2024-12-01 00:00:00",
"mrtydate": "2024-12-01 00:00:00",
"coupontype": "005",
"paytype": "002",
"ratedes": "本期债券采用固定利率形式,单利按年计息,不计复利。如有递延,则每笔递延利息在递延期间按当期票面利率累计计息。首个周期的票面利率将由发行人与主承销商根据网下向专业投资者的簿记建档结果在预设区间范围内协商确定,在首个周期内固定不变,其后每个周期重置一次。",
"firstvaluedate": "2021-12-01 00:00:00",
"lastvaluedate": "2024-11-30 00:00:00",
"issueprice": "100",
"issuevol": "20",
"listvolsh": "",
"listvolsz": "20",
"payperyear": "1",
"payday": "12-01",
"trademarketcode": "069001002",
"creditrating": "AAA",
"credittypeout": "",
"credittypein": ""
},
{
"securityname": "2021年第二期武汉地铁集团有限公司绿色可续期公司债券",
"securitysname": "21武铁绿色可续期债02",
"tcodeqxb": "IB2180355",
"securitytype": "企业债",
"issuedate": "2021-08-30 00:00:00",
"listdate": "2021-09-03 00:00:00",
"issuetype": "1",
"parvalue": "100",
"currency": "CNY",
"couponrate": "3.48",
"bondperiod": "3",
"paymentdate": "2024-09-01 00:00:00",
"mrtydate": "2024-09-01 00:00:00",
"coupontype": "005",
"paytype": "002",
"ratedes": "本期债券采用浮动利率形式,单利按年计息,不计复利。票面年利率由基准利率加上基本利差确定。基准利率每个重定价周期确定一次。",
"firstvaluedate": "2021-09-01 00:00:00",
"lastvaluedate": "2024-08-31 00:00:00",
"issueprice": "100",
"issuevol": "20",
"listvolsh": "0.6",
"listvolsz": "",
"payperyear": "1",
"payday": "09-01",
"trademarketcode": "069001010",
"creditrating": "AAA",
"credittypeout": "",
"credittypein": ""
},
{
"securityname": "2021年第二期武汉地铁集团有限公司绿色可续期公司债券",
"securitysname": "G21武Y2",
"tcodeqxb": "SH139474",
"securitytype": "企业债",
"issuedate": "2021-08-30 00:00:00",
"listdate": "2021-09-07 00:00:00",
"issuetype": "1",
"parvalue": "100",
"currency": "CNY",
"couponrate": "3.48",
"bondperiod": "3",
"paymentdate": "2024-09-01 00:00:00",
"mrtydate": "2024-09-01 00:00:00",
"coupontype": "005",
"paytype": "002",
"ratedes": "本期债券采用浮动利率形式,单利按年计息,不计复利。票面年利率由基准利率加上基本利差确定。基准利率每个重定价周期确定一次。",
"firstvaluedate": "2021-09-01 00:00:00",
"lastvaluedate": "2024-08-31 00:00:00",
"issueprice": "100",
"issuevol": "20",
"listvolsh": "0.6",
"listvolsz": "",
"payperyear": "1",
"payday": "09-01",
"trademarketcode": "069001001",
"creditrating": "AAA",
"credittypeout": "",
"credittypein": ""
},
{
"securityname": "2021年第二期武汉地铁集团有限公司绿色债券",
"securitysname": "21武汉地铁绿色债02",
"tcodeqxb": "IB2180195",
"securitytype": "企业债",
"issuedate": "2021-04-30 00:00:00",
"listdate": "2021-05-07 00:00:00",
"issuetype": "1",
"parvalue": "100",
"currency": "CNY",
"couponrate": "4.1",
"bondperiod": "10",
"paymentdate": "2031-05-06 00:00:00",
"mrtydate": "2031-05-06 00:00:00",
"coupontype": "003",
"paytype": "002",
"ratedes": "本期债券采用固定利率形式,单利按年计息,不计复利。本期债券通过中央国债登记结算有限责任公司簿记建档发行系统,按照公开、公平、公正原则,以市场化方式确定发行利率。簿记建档区间应根据有关法律法规,由发行人和主承销商根据市场情况充分协商后确定。簿记建档结果确定后,将报国家有关主管部门备案,在债券存续期内固定不变。",
"firstvaluedate": "2021-05-06 00:00:00",
"lastvaluedate": "2031-05-05 00:00:00",
"issueprice": "100",
"issuevol": "10",
"listvolsh": "3.5",
"listvolsz": "",
"payperyear": "1",
"payday": "05-06",
"trademarketcode": "069001010",
"creditrating": "AAA",
"credittypeout": "",
"credittypein": ""
},
{
"securityname": "2021年第二期武汉地铁集团有限公司绿色债券",
"securitysname": "21武汉地铁绿色债02",
"tcodeqxb": "IBn21041930",
"securitytype": "企业债",
"issuedate": "2021-04-30 00:00:00",
"listdate": "0000-00-00 00:00:00",
"issuetype": "1",
"parvalue": "100",
"currency": "CNY",
"couponrate": "",
"bondperiod": "10",
"paymentdate": "2031-05-06 00:00:00",
"mrtydate": "2031-05-06 00:00:00",
"coupontype": "003",
"paytype": "002",
"ratedes": "本期债券采用固定利率形式,单利按年计息,不计复利。本期债券通过中央国债登记结算有限责任公司簿记建档发行系统,按照公开、公平、公正原则,以市场化方式确定发行利率。簿记建档区间应根据有关法律法规,由发行人和主承销商根据市场情况充分协商后确定。簿记建档结果确定后,将报国家有关主管部门备案,在债券存续期内固定不变。",
"firstvaluedate": "2021-05-06 00:00:00",
"lastvaluedate": "2031-05-05 00:00:00",
"issueprice": "100",
"issuevol": "10",
"listvolsh": "",
"listvolsz": "",
"payperyear": "1",
"payday": "05-06",
"trademarketcode": "069001010",
"creditrating": "",
"credittypeout": "",
"credittypein": ""
},
{
"securityname": "2021年第二期武汉地铁集团有限公司绿色债券",
"securitysname": "21武汉地铁绿色债02",
"tcodeqxb": "SHn21041930",
"securitytype": "企业债",
"issuedate": "2021-04-30 00:00:00",
"listdate": "0000-00-00 00:00:00",
"issuetype": "1",
"parvalue": "100",
"currency": "CNY",
"couponrate": "",
"bondperiod": "10",
"paymentdate": "2031-05-06 00:00:00",
"mrtydate": "2031-05-06 00:00:00",
"coupontype": "003",
"paytype": "002",
"ratedes": "本期债券采用固定利率形式,单利按年计息,不计复利。本期债券通过中央国债登记结算有限责任公司簿记建档发行系统,按照公开、公平、公正原则,以市场化方式确定发行利率。簿记建档区间应根据有关法律法规,由发行人和主承销商根据市场情况充分协商后确定。簿记建档结果确定后,将报国家有关主管部门备案,在债券存续期内固定不变。",
"firstvaluedate": "2021-05-06 00:00:00",
"lastvaluedate": "2031-05-05 00:00:00",
"issueprice": "100",
"issuevol": "10",
"listvolsh": "",
"listvolsz": "",
"payperyear": "1",
"payday": "05-06",
"trademarketcode": "069001001",
"creditrating": "",
"credittypeout": "",
"credittypein": ""
},
{
"securityname": "2021年第二期武汉地铁集团有限公司绿色债券",
"securitysname": "G21武铁2",
"tcodeqxb": "SH152877",
"securitytype": "企业债",
"issuedate": "2021-04-30 00:00:00",
"listdate": "2021-05-13 00:00:00",
"issuetype": "1",
"parvalue": "100",
"currency": "CNY",
"couponrate": "4.1",
"bondperiod": "10",
"paymentdate": "2031-05-06 00:00:00",
"mrtydate": "2031-05-06 00:00:00",
"coupontype": "003",
"paytype": "002",
"ratedes": "本期债券采用固定利率形式,单利按年计息,不计复利。本期债券通过中央国债登记结算有限责任公司簿记建档发行系统,按照公开、公平、公正原则,以市场化方式确定发行利率。簿记建档区间应根据有关法律法规,由发行人和主承销商根据市场情况充分协商后确定。簿记建档结果确定后,将报国家有关主管部门备案,在债券存续期内固定不变。",
"firstvaluedate": "2021-05-06 00:00:00",
"lastvaluedate": "2031-05-05 00:00:00",
"issueprice": "100",
"issuevol": "10",
"listvolsh": "3.5",
"listvolsz": "",
"payperyear": "1",
"payday": "05-06",
"trademarketcode": "069001001",
"creditrating": "AAA",
"credittypeout": "",
"credittypein": ""
},
{
"securityname": "2021年第一期武汉地铁集团有限公司绿色债券",
"securitysname": "G21武铁1",
"tcodeqxb": "SH152858",
"securitytype": "企业债",
"issuedate": "2021-04-28 00:00:00",
"listdate": "2021-05-11 00:00:00",
"issuetype": "1",
"parvalue": "100",
"currency": "CNY",
"couponrate": "4",
"bondperiod": "7",
"paymentdate": "2028-04-29 00:00:00",
"mrtydate": "2028-04-29 00:00:00",
"coupontype": "003",
"paytype": "002",
"ratedes": "本期债券采用固定利率形式,单利按年计息,不计复利。本期债券通过中央国债登记结算有限责任公司簿记建档发行系统,按照公开、公平、公正原则,以市场化方式确定发行利率。簿记建档区间应根据有关法律法规,由发行人和主承销商根据市场情况充分协商后确定。簿记建档结果确定后,将报国家有关主管部门备案,在债券存续期内固定不变。",
"firstvaluedate": "2021-04-29 00:00:00",
"lastvaluedate": "2028-04-28 00:00:00",
"issueprice": "100",
"issuevol": "20",
"listvolsh": "15",
"listvolsz": "",
"payperyear": "1",
"payday": "04-29",
"trademarketcode": "069001001",
"creditrating": "AAA",
"credittypeout": "",
"credittypein": ""
},
{
"securityname": "2021年第一期武汉地铁集团有限公司绿色债券",
"securitysname": "21武汉地铁绿色债01",
"tcodeqxb": "SHn21041800",
"securitytype": "企业债",
"issuedate": "2021-04-28 00:00:00",
"listdate": "0000-00-00 00:00:00",
"issuetype": "1",
"parvalue": "100",
"currency": "CNY",
"couponrate": "4",
"bondperiod": "7",
"paymentdate": "2028-04-29 00:00:00",
"mrtydate": "2028-04-29 00:00:00",
"coupontype": "003",
"paytype": "002",
"ratedes": "本期债券采用固定利率形式,单利按年计息,不计复利。本期债券通过中央国债登记结算有限责任公司簿记建档发行系统,按照公开、公平、公正原则,以市场化方式确定发行利率。簿记建档区间应根据有关法律法规,由发行人和主承销商根据市场情况充分协商后确定。簿记建档结果确定后,将报国家有关主管部门备案,在债券存续期内固定不变。",
"firstvaluedate": "2021-04-29 00:00:00",
"lastvaluedate": "2028-04-28 00:00:00",
"issueprice": "100",
"issuevol": "20",
"listvolsh": "",
"listvolsz": "",
"payperyear": "1",
"payday": "04-29",
"trademarketcode": "069001001",
"creditrating": "",
"credittypeout": "",
"credittypein": ""
},
{
"securityname": "2021年第一期武汉地铁集团有限公司绿色债券",
"securitysname": "21武汉地铁绿色债01",
"tcodeqxb": "IBn21041800",
"securitytype": "企业债",
"issuedate": "2021-04-28 00:00:00",
"listdate": "0000-00-00 00:00:00",
"issuetype": "1",
"parvalue": "100",
"currency": "CNY",
"couponrate": "",
"bondperiod": "7",
"paymentdate": "2028-04-29 00:00:00",
"mrtydate": "2028-04-29 00:00:00",
"coupontype": "003",
"paytype": "002",
"ratedes": "本期债券采用固定利率形式,单利按年计息,不计复利。本期债券通过中央国债登记结算有限责任公司簿记建档发行系统,按照公开、公平、公正原则,以市场化方式确定发行利率。簿记建档区间应根据有关法律法规,由发行人和主承销商根据市场情况充分协商后确定。簿记建档结果确定后,将报国家有关主管部门备案,在债券存续期内固定不变。",
"firstvaluedate": "2021-04-29 00:00:00",
"lastvaluedate": "2028-04-28 00:00:00",
"issueprice": "100",
"issuevol": "20",
"listvolsh": "",
"listvolsz": "",
"payperyear": "1",
"payday": "04-29",
"trademarketcode": "069001010",
"creditrating": "",
"credittypeout": "",
"credittypein": ""
},
{
"securityname": "2021年第一期武汉地铁集团有限公司绿色债券",
"securitysname": "21武汉地铁绿色债01",
"tcodeqxb": "IB2180172",
"securitytype": "企业债",
"issuedate": "2021-04-28 00:00:00",
"listdate": "2021-04-30 00:00:00",
"issuetype": "1",
"parvalue": "100",
"currency": "CNY",
"couponrate": "4",
"bondperiod": "7",
"paymentdate": "2028-04-29 00:00:00",
"mrtydate": "2028-04-29 00:00:00",
"coupontype": "003",
"paytype": "002",
"ratedes": "本期债券采用固定利率形式,单利按年计息,不计复利。本期债券通过中央国债登记结算有限责任公司簿记建档发行系统,按照公开、公平、公正原则,以市场化方式确定发行利率。簿记建档区间应根据有关法律法规,由发行人和主承销商根据市场情况充分协商后确定。簿记建档结果确定后,将报国家有关主管部门备案,在债券存续期内固定不变。",
"firstvaluedate": "2021-04-29 00:00:00",
"lastvaluedate": "2028-04-28 00:00:00",
"issueprice": "100",
"issuevol": "20",
"listvolsh": "15",
"listvolsz": "",
"payperyear": "1",
"payday": "04-29",
"trademarketcode": "069001010",
"creditrating": "AAA",
"credittypeout": "",
"credittypein": ""
},
{
"securityname": "2021年第一期武汉地铁集团有限公司绿色可续期公司债券",
"securitysname": "21武铁绿色可续期债01",
"tcodeqxb": "IB2180066",
"securitytype": "企业债",
"issuedate": "2021-03-05 00:00:00",
"listdate": "2021-03-10 00:00:00",
"issuetype": "1",
"parvalue": "100",
"currency": "CNY",
"couponrate": "",
"bondperiod": "3",
"paymentdate": "2024-03-08 00:00:00",
"mrtydate": "2024-03-08 00:00:00",
"coupontype": "004",
"paytype": "002",
"ratedes": "本期债券采用浮动利率形式,单利按年计息,不计复利。票面年利率由基准利率加上基本利差确定。基准利率每个重定价周期确定一次。",
"firstvaluedate": "2021-03-08 00:00:00",
"lastvaluedate": "2024-03-07 00:00:00",
"issueprice": "100",
"issuevol": "20",
"listvolsh": "",
"listvolsz": "",
"payperyear": "1",
"payday": "03-08",
"trademarketcode": "069001010",
"creditrating": "",
"credittypeout": "",
"credittypein": ""
},
{
"securityname": "2021年第一期武汉地铁集团有限公司绿色可续期公司债券",
"securitysname": "21武铁绿色可续期债01",
"tcodeqxb": "SHn21030292",
"securitytype": "企业债",
"issuedate": "2021-03-05 00:00:00",
"listdate": "0000-00-00 00:00:00",
"issuetype": "1",
"parvalue": "100",
"currency": "CNY",
"couponrate": "4.23",
"bondperiod": "3",
"paymentdate": "2024-03-08 00:00:00",
"mrtydate": "2024-03-08 00:00:00",
"coupontype": "005",
"paytype": "002",
"ratedes": "本期债券采用浮动利率形式,单利按年计息,不计复利。票面年利率由基准利率加上基本利差确定。基准利率每个重定价周期确定一次。",
"firstvaluedate": "2021-03-08 00:00:00",
"lastvaluedate": "2024-03-07 00:00:00",
"issueprice": "100",
"issuevol": "20",
"listvolsh": "",
"listvolsz": "",
"payperyear": "1",
"payday": "03-08",
"trademarketcode": "069001001",
"creditrating": "",
"credittypeout": "",
"credittypein": ""
},
{
"securityname": "2021年第一期武汉地铁集团有限公司绿色可续期公司债券",
"securitysname": "21武铁绿色可续期债01",
"tcodeqxb": "IBn21030292",
"securitytype": "企业债",
"issuedate": "2021-03-05 00:00:00",
"listdate": "0000-00-00 00:00:00",
"issuetype": "1",
"parvalue": "100",
"currency": "CNY",
"couponrate": "",
"bondperiod": "3",
"paymentdate": "2024-03-08 00:00:00",
"mrtydate": "2024-03-08 00:00:00",
"coupontype": "004",
"paytype": "002",
"ratedes": "本期债券采用浮动利率形式,单利按年计息,不计复利。票面年利率由基准利率加上基本利差确定。基准利率每个重定价周期确定一次。",
"firstvaluedate": "2021-03-08 00:00:00",
"lastvaluedate": "2024-03-07 00:00:00",
"issueprice": "100",
"issuevol": "20",
"listvolsh": "",
"listvolsz": "",
"payperyear": "1",
"payday": "03-08",
"trademarketcode": "069001010",
"creditrating": "",
"credittypeout": "",
"credittypein": ""
},
{
"securityname": "2021年第一期武汉地铁集团有限公司绿色可续期公司债券",
"securitysname": "G21武Y1",
"tcodeqxb": "SH139466",
"securitytype": "企业债",
"issuedate": "2021-03-05 00:00:00",
"listdate": "2021-03-12 00:00:00",
"issuetype": "1",
"parvalue": "100",
"currency": "CNY",
"couponrate": "4.23",
"bondperiod": "3",
"paymentdate": "2024-03-08 00:00:00",
"mrtydate": "2024-03-08 00:00:00",
"coupontype": "005",
"paytype": "002",
"ratedes": "本期债券采用浮动利率形式,单利按年计息,不计复利。票面年利率由基准利率加上基本利差确定。基准利率每个重定价周期确定一次。",
"firstvaluedate": "2021-03-08 00:00:00",
"lastvaluedate": "2024-03-07 00:00:00",
"issueprice": "100",
"issuevol": "20",
"listvolsh": "3.6",
"listvolsz": "",
"payperyear": "1",
"payday": "03-08",
"trademarketcode": "069001001",
"creditrating": "AAA",
"credittypeout": "",
"credittypein": ""
},
{
"securityname": "2021年第一期武汉地铁集团有限公司绿色可续期公司债券",
"securitysname": "21武铁绿色可续期债01",
"tcodeqxb": "IBn21030292",
"securitytype": "企业债",
"issuedate": "2021-03-05 00:00:00",
"listdate": "0000-00-00 00:00:00",
"issuetype": "1",
"parvalue": "100",
"currency": "CNY",
"couponrate": "",
"bondperiod": "3",
"paymentdate": "2024-03-08 00:00:00",
"mrtydate": "2024-03-08 00:00:00",
"coupontype": "004",
"paytype": "002",
"ratedes": "本期债券采用浮动利率形式,单利按年计息,不计复利。票面年利率由基准利率加上基本利差确定。基准利率每个重定价周期确定一次。",
"firstvaluedate": "2021-03-08 00:00:00",
"lastvaluedate": "2024-03-07 00:00:00",
"issueprice": "100",
"issuevol": "20",
"listvolsh": "",
"listvolsz": "",
"payperyear": "1",
"payday": "03-08",
"trademarketcode": "069001010",
"creditrating": "",
"credittypeout": "",
"credittypein": ""
},
{
"securityname": "2021年第一期武汉地铁集团有限公司绿色可续期公司债券",
"securitysname": "21武铁绿色可续期债01",
"tcodeqxb": "IB2180066",
"securitytype": "企业债",
"issuedate": "2021-03-05 00:00:00",
"listdate": "2021-03-10 00:00:00",
"issuetype": "1",
"parvalue": "100",
"currency": "CNY",
"couponrate": "4.23",
"bondperiod": "3",
"paymentdate": "2024-03-08 00:00:00",
"mrtydate": "2024-03-08 00:00:00",
"coupontype": "005",
"paytype": "002",
"ratedes": "本期债券采用浮动利率形式,单利按年计息,不计复利。票面年利率由基准利率加上基本利差确定。基准利率每个重定价周期确定一次。",
"firstvaluedate": "2021-03-08 00:00:00",
"lastvaluedate": "2024-03-07 00:00:00",
"issueprice": "100",
"issuevol": "20",
"listvolsh": "3.6",
"listvolsz": "",
"payperyear": "1",
"payday": "03-08",
"trademarketcode": "069001010",
"creditrating": "AAA",
"credittypeout": "",
"credittypein": ""
},
{
"securityname": "武汉地铁集团有限公司2020年度第一期绿色中期票据",
"securitysname": "20武汉地铁GN001",
"tcodeqxb": "IBn20101224",
"securitytype": "中期票据",
"issuedate": "2020-10-14 00:00:00",
"listdate": "2020-10-19 00:00:00",
"issuetype": "1",
"parvalue": "100",
"currency": "CNY",
"couponrate": "",
"bondperiod": "15",
"paymentdate": "2035-10-16 00:00:00",
"mrtydate": "2035-10-16 00:00:00",
"coupontype": "005",
"paytype": "002",
"ratedes": "本期绿色中期票据采用固定利率计息,单利按年计息,不计复利;本期中期票据在存续期内前5年票面利率根据集中簿记建档结果确定,存续期内前5年固定不变;在存续期的第5年末和第10年末,发行人有权选择上调或者下调本期绿色中期票据的票面利率,调整的幅度以《票面利率调整及投资者回售实施办法的公告》为准。",
"firstvaluedate": "2020-10-16 00:00:00",
"lastvaluedate": "2035-10-15 00:00:00",
"issueprice": "100",
"issuevol": "20",
"listvolsh": "",
"listvolsz": "",
"payperyear": "1",
"payday": "10-16",
"trademarketcode": "069001010",
"creditrating": "",
"credittypeout": "",
"credittypein": ""
},
{
"securityname": "武汉地铁集团有限公司2020年度第一期绿色中期票据",
"securitysname": "20武汉地铁GN001",
"tcodeqxb": "IB132000031",
"securitytype": "中期票据",
"issuedate": "2020-10-14 00:00:00",
"listdate": "2020-10-19 00:00:00",
"issuetype": "1",
"parvalue": "100",
"currency": "CNY",
"couponrate": "4.1",
"bondperiod": "15",
"paymentdate": "2035-10-16 00:00:00",
"mrtydate": "2035-10-16 00:00:00",
"coupontype": "005",
"paytype": "002",
"ratedes": "本期绿色中期票据采用固定利率计息,单利按年计息,不计复利;本期中期票据在存续期内前5年票面利率根据集中簿记建档结果确定,存续期内前5年固定不变;在存续期的第5年末和第10年末,发行人有权选择上调或者下调本期绿色中期票据的票面利率,调整的幅度以《票面利率调整及投资者回售实施办法的公告》为准。",
"firstvaluedate": "2020-10-16 00:00:00",
"lastvaluedate": "2035-10-15 00:00:00",
"issueprice": "100",
"issuevol": "20",
"listvolsh": "",
"listvolsz": "",
"payperyear": "1",
"payday": "10-16",
"trademarketcode": "069001010",
"creditrating": "AAA",
"credittypeout": "",
"credittypein": ""
}
]
}
}
代码示例
javascript
let request = require('request');
let urlEncode = require('urlencode');
let crypto = require('crypto');
let baseUrl = 'https://api.qixin.com/APIService/operation/getBondList';
let appkey = '正式appkey';
let secretKey = '正式secret_key';
let timeStamp = new Date().getTime();
const hash = crypto.createHash('md5');
let sign = hash.update(appkey + timeStamp + secretKey).digest('hex');
let urlParams = {
name: 'name的值',
skip: 'skip的值'
}
let concatParams = []
for (let key in urlParams) {
concatParams.push(key + '=' + urlParams[key]);
}
let options = {
'method': 'GET',
'url': baseUrl + '?' + concatParams.join('&'),
'headers': {
'Connection': 'keep-alive',
'Auth-version': '2.0',
'appkey': appkey,
'timestamp': timeStamp,
'sign': sign
}
};
request(options, function (error, response) {
if (error) throw new Error(error);
console.log(response.body);
});