MSN123014: Issuance of the Initial Securities Registration Certificate
Date update 07/07/2023 - 17:06:53
Vietnam Securities Depository would like to announce issuance of the Securities Registration Certificate No. 15/2023/GCNTPDN-VSD dated 5th July 2023 for bonds of Masan Group Corporation as follows:
Issuer's name:
Masan Group Corporation
Headquarter address:
Room 802, level 8, Central Plaza building, no.17 Le Duan, Ben Nghe ward, district 1, Hochiminh city
Tel no.:
(028) 6256 3862
Fax no.:
(028) 3827 4115
Registered Securities bonds and been issued bond symbol at VSD from 05/07/2023
Charter capital:
14,237,247,830,000 VND
Securities name:
Securities code:
MSN123014
ISIN:
VNMSN1230147
Par value:
100,000 VND
Securities type:
Corporate bonds
Quantity of registered securities:
20,000,000 Bond
Value of registered securities:
2,000,000,000,000 VND
Registration mode:
Book entry
From 06/07/2023, VSD will receive depository of the above registered Bond.
Note: Masan Group Corporation registered MSN123014 bonds at Vietnam Securities Depository and disclose information on corporate bond website of Hanoi Stock Exchange.
Issuer's news
-
MSN123014: 7th Payment of Interest (from 27/04/2026 inclusive to 27/10/2026 exclusive)
Date update 18/08/2026 - 17:56:30 -
MSN123014: 6th Payment of Interest (from 27/10/2025 inclusive to 27/04/2026 exclusive)
Date update 05/02/2026 - 16:56:08 -
MSN123014: 5th Payment of Interest (from 27/04/2025 inclusive to 27/10/2025 exclusive)
Date update 30/07/2025 - 16:44:05 -
MSN123014: 4th Payment of Interest (from 27/10/2024 inclusive to 27/04/2025 exclusive)
Date update 17/01/2025 - 16:27:22 -
MSN123014: 3rd Payment of Interest (from 27/04/2024 inclusive to 27/10/2024 exclusive)
Date update 12/08/2024 - 16:56:13 -
MSN123014: Adjustment of bond interest payment date
Date update 24/04/2024 - 14:19:07 -
MSN123014: 2nd Payment of Corporate Interest
Date update 06/02/2024 - 11:11:46 -
MSN123014: First Payment of Interest(from 27/04/2023 inclusive to 27/10/2023 exclusive)
Date update 21/08/2023 - 15:13:37 -
MSN123014: Notification of transfer date of additionally traded Government bonds
Date update 16/08/2023 - 17:02:52
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VIB12601: Bond Registration and Depository
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VPB12606: Bond Registration and Depository
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TPB12606: Bond Registration and Depository
Date update 14/08/2026 - 16:40:14 -
MBB12621: Bond Registration and Depository
Date update 13/08/2026 - 16:58:49 -
MBB12620: Bond Registration and Depository
Date update 13/08/2026 - 15:14:52 -
BID12612: Bond Registration and Depository
Date update 12/08/2026 - 17:18:40 -
BID12613: Bond Registration and Depository
Date update 12/08/2026 - 17:13:43
