The Board of Xiamen International Port Co. Ltd. announce that on 4 November 2020, the Company has completed the issue of the fifteenth tranche of the Super Short-Term Notes in 2020 with a term of 120 days from the date of issue with a total principal amount of RMB 350,000,000 at a fixed interest rate of 3.40% per annum (the "Fifteenth Tranche Super Short-Term Notes in 2020"). China Construction Bank Co. Ltd. is the principal underwriter of the Fifteenth Tranche Super Short-Term Notes in 2020. The Company intends to entirely use the net proceeds from the issue of the Fifteenth Tranche Super Short-Term Notes in 2020 to repay the Company's Ninth Tranche Super Short-Term Notes in 2020 which are immediately due. As previously indicated, the net proceeds from the issue of the Company's Ninth Tranche Super Short-Term Notes in 2020 were entirely used for repaying the Company's Fifth Tranche Super Short-Term Notes in 2020.