CTG12101: Second Payment of Bond Interest (from 29/07/2022 inclusive to 29/07/2023 exclusive)
Vietnam Securities Depository (VSD) would like to announce the record date as follows:
- Payment rate: 6.58%/year (65,800,000 VND/bond).
+ Bond interest is calculated according to the formula: Interest earned for a full term of interest payment period = Face value of bonds x 6.58%. The actual receipt amount of bondholders will be rounded to the whole number (if the first decimal place is equal to or greater than 5 then the number is rounded up, if the first decimal place is less than 5 then the decimal part is removed).
- Payment date: 31st July 2023 (Because 29/7/2023 and 30/7/2023 are not working days).
- Payment place:
+ The holders whose bonds have been deposited will receive bond interest at the depository member where they opened depository account.
+ The holders whose securities have not been deposited will have the bond interest transferred to their account which have been registered at Vietnam Joint Stock Commercial Bank for Industry and Trade on 31st July 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, 24th July 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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Date update 03/07/2025 - 16:27:47 -
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Date update 04/07/2024 - 14:34:47 -
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Date update 19/10/2023 - 11:16:01 -
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Date update 14/07/2023 - 16:07:12 -
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Date update 12/07/2022 - 14:00:24 -
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Date update 04/01/2022 - 14:21:28
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FCN12402: Payment of Bond principal and Interest (from 21/01/2026 inclusive to 21/4/2026 exclusive)
Date update 03/04/2026 - 16:58:40 -
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Date update 03/04/2026 - 16:57:55 -
SSC: 1st Payment of Bond Interest (from 16/5/2025 inclusive to 16/5/2026 exclusive)
Date update 03/04/2026 - 16:57:17 -
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Date update 03/04/2026 - 16:48:00 -
VHM12502: 3rd Payment of Bond Interest (from 15/02/2026 inclusive to 15/5/2026 exclusive)
Date update 03/04/2026 - 16:47:31 -
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Date update 03/04/2026 - 16:46:49 -
VIC12506: 4th Payment of Interest (from 15/02/2026 inclusive to 15/5/2026 exclusive)
Date update 03/04/2026 - 16:45:47 -
VIC12505: 4th Payment of Interest (from 09/02/2026 inclusive to 09/5/2026) exclusive)
Date update 03/04/2026 - 16:45:14 -
BID12404: Bond redemption before maturity
Date update 03/04/2026 - 16:44:39 -
VHM12405: 8th Payment of Bond Interest (from 15/02/2026 inclusive to 15/5/2026 exclusive) and principal
Date update 03/04/2026 - 16:37:06
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45,984|6,369
-
0
-
4,151
-
851
-
37
-
12,315,011
