TD2136028: Payment of 2023 Bond Interest
Vietnam Securities Depository (VSD) would like to announce the record date as follows:
- Payment rate: 2,300 VND/bond
- Payment date: 12th August 2023
- Payment date: 14th August 2023
Depository members (DMs) and direct account holders (DAHs) are requested to compare the securities holders’ information in the List generated and sent in the form of Certificate of Authorization by VSD with the information managed by DMs and DAHs then send Confirmation (Form 03/THQ) in the form of Certificate of Authorization on the accuracy of the list of securities holders (For DMs and DAHs who have not completed the connection to VSD’s terminal-based gateway/ISO-based gateway or where the connection has been disrupted, the Confirmation with Certificate of Authorization shall be sent tothongbaoxacnhan@vsd.vn). In case of rejection due to data errors, DMs and DAHs are requested to send written notice on details of errors for necessary correction.
Deadline for sending confirmation: by 10.30 am, 10th August 2023
If DMs and DAHs do not send confirmation document by the above deadline, VSD will consider the list provided to DMs and DAHs by VSD accurate and confirmed. In case of arising disputes and losses to securities holders, DMs and DAHs will have to bear all the related responsibilities.
DMs are requested to fully inform this notice to each investor who has deposited the above securities at DMs within 3 working days from the date on the notice.
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TD2136028: Payment of 2025 Bond Interest
Date update 15/07/2025 - 15:32:11 -
TD2136028: Payment of 2024 Bond Interest
Date update 04/07/2024 - 14:01:27 -
TD2136028: Payment of 2022 Bond Interest
Date update 14/07/2022 - 11:21:49 -
TD2136028: Notification on transfer date of additionally traded Government bonds
Date update 22/11/2021 - 16:12:05 -
TD2136028: Issuance of the 4th Revised Securities Registration Certificate
Date update 19/11/2021 - 16:41:59 -
TD2136028: Notification on transfer date of additionally traded Government bonds
Date update 08/09/2021 - 15:20:32 -
TD2136028: Issuance of 3rd Revised Securities Registration Certificate
Date update 07/09/2021 - 16:30:32 -
TD2136028: Issuance of 2nd Revised Securities Registration Certificate
Date update 27/08/2021 - 13:49:15 -
TD2136028: Notification on transfer date of additionally traded Government bonds
Date update 27/08/2021 - 13:44:15 -
TD2136028: Issuance of 1st Revised Securities Registration Certificate
Date update 23/08/2021 - 17:25:58
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GEG12401: 8th Payment of Bond Interest (from 26/3/2026 inclusive to 26/6/2026 exclusive); Bond redemption before maturity
Date update 21/05/2026 - 17:40:24 -
VJC12506: 1st interest payment (from 18/12/2025 inclusive to 18/6/2026 exclusive)
Date update 21/05/2026 - 17:35:41 -
CTG12506: 1st Payment of Bond Interest (from 20/6/2025 to 20/6/2026 exclusive)
Date update 21/05/2026 - 17:27:17 -
BAB124015: 2nd Payment of Bond Interest (from 17/6/2025 inclusive to 17/6/2026 exclusive); Payment of bond principal due to redemption of all bonds before maturity based on the bond conditions in accordance with the Resolution no.141/2023/NQ/HĐQT dated 30/11/2023 by the Board of Directors of Bac A Commercial Joint Stock Bank and Decision no.802/2026/QĐ-BACABANK dated 15/5/2026 by the Deputy General Director of Bac A Commercial Joint Stock Bank
Date update 21/05/2026 - 17:26:50 -
MAN12401: 6th Payment of Bond Principal and Interest (from 24/3/2026 inclusive to 24/6/2026 exclusive)
Date update 21/05/2026 - 17:20:46 -
CTG12507: 1st Payment of Bond Interest (from 24/6/2025 to 24/6/2026 exclusive)
Date update 21/05/2026 - 17:19:24 -
CTG12213: 4th Payment of Bond Interest (from 24/6/2025 to 24/6/2026 exclusive)
Date update 21/05/2026 - 17:17:31 -
CVN: 2026 Annual General Meeting
Date update 21/05/2026 - 17:17:05 -
CKD: Payment of 2025 cash dividend
Date update 21/05/2026 - 17:16:21 -
CTG12505: 1st Payment of Bond Interest (from 18/6/2025 to 18/6/2026 exclusive)
Date update 21/05/2026 - 17:15:54
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46,635|6,436
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0
-
4,219
-
857
-
37
-
12,906,161
