China Jinmao Holdings Group Limited dated 1 April 2021 in relation to the notices issued by the National Association of Financial Market Institutional Investors to Shanghai Jinmao Investment Management Group Co. Ltd. regarding the approval for registration and issuance of the medium-term notes. The board of directors of the Company hereby announces that Shanghai Jinmao has completed the issuance of the second tranche of the medium-term notes in a principal amount of RMB 2,000,000,000 (the "Second-tranche Notes") to qualified investors on 14 October 2021. The Second-tranche Notes have a term of three years and a final coupon rate of 3.65%. The proceeds from the issuance of the Second-tranche Notes will eventually be used to repay other medium-term notes issued by Shanghai Jinmao at interbank bond market.