CIFI Holdings (Group) Co. Ltd. (Company) dated 19 December 2016 and 27 September 2018 in relation to the 5.5% senior notes due 2022 (the "Notes"). Unless otherwise defined, capitalized terms used herein shall have the same meanings as defined in the Announcements.

The Notes matured on 23 January 2022 (the "Maturity Date"). The Company has repaid the Notes in full at their outstanding principal amount of USD 239,983,000 together with interest accrued to the Maturity Date, with a total redemption amount of the Notes of USD 246,582,532.5 paid by the Company at maturity. The Company considers that there will be no material impact on its financial position as a result of the redemption of the Notes at maturity.