CI312101: Issuance of the 1st Revised Securities Registration Certificate
Viet Nam Securities Depository and Clearing Corporation (VSDC) would like to announce Issuance of the 1st Revised Securities Registration Certificate No.690/2023/GCNTPRL-VSDC-1 dated 15/04/2024 for bonds of Computer - Communication - Control 3C Incorporation as follows:
Issuer's name: Computer - Communication - Control 3C Incorporation
Headquarter address: No. 149D Yen Phu Street, Yen Phu Ward, Tay Ho District, Hanoi City
Securities name: Bonds of Computer - Communication - Control 3C Incorporation (3CICH2124001)
Securities code: CI312101
ISIN: VN0CI3121012
Securities type: Corporate bonds
Par value: 100,000,000 VND
Quantity of registered securities: 2,200 Bond
Value of registered securities: 220,000,000,000 VND
Issuance method: Private placement
Term: 4 years
("Former term: 3 years from the issue date)
Issue date: 27/08/2021
Maturity date: 27/08/2025
("Former Maturity date": 27/08/2024)
Interest rate: 9%/year
- Interest payment method: once per year
- Method of payment of interest: Postpaid, periodically on the interest payment date
- Principal payment method: Unless the bond is paid before maturity, the bond principal will be paid in one time on the maturity date.
Registration mode: Book entry
Effective date of change at VSDC: 15/04/2024
-
CI312101: Change of Certificate of business registration due to securities decrease
Date update 15/10/2025 - 16:19:40 -
CI312101: Bond redemption before maturity
Date update 19/08/2025 - 16:20:35 -
CI312101: 4th Payment of Bond Interest (from 27/08/2024 inclusive to 27/08/2025 exclusive)
Date update 07/08/2025 - 16:41:08 -
CI312101: Revision of Bond Registration Certificate due to change of bond terms and conditions
Date update 25/06/2025 - 15:37:21 -
CI312101: Postal Ballot of bondholders
Date update 14/05/2025 - 16:05:55 -
CI312101: Issuance of the 2nd Revised Securities Registration Certificate
Date update 10/12/2024 - 15:24:53 -
CI312101: Bond redemption before maturity
Date update 18/10/2024 - 15:08:37 -
CI312101: Addition of payment date
Date update 12/08/2024 - 15:05:55 -
CI312101: 3rd Payment of Bond Interest (from 27/08/2023 inclusive to 27/08/2024 exclusive)
Date update 09/08/2024 - 14:47:44 -
CI312101: Postal Ballot of bondholders
Date update 20/03/2024 - 11:13:28
-
H7912102: Belated transfer for interest payment
Date update 13/02/2026 - 15:22:11 -
TSO12502: Correcting information of the record date and confirmation of the list of shareholders
Date update 27/01/2026 - 17:10:14 -
HTA12402: Belated transfer of bond interest payment
Date update 20/01/2026 - 17:01:17 -
HAA12201: Transfer of the bond interest payment
Date update 20/01/2026 - 17:00:26 -
HTA12402: Change of interest payment time
Date update 16/01/2026 - 16:49:10 -
NAB: Adjustment of information in the reason, purpose and contents
Date update 08/01/2026 - 14:25:38 -
H7912101: Delay of privately-placed bond interest payment
Date update 06/01/2026 - 17:04:10 -
BVBS17081: Adjustment of information in the notice of the record date and confirmation of bondholders
Date update 06/01/2026 - 16:08:32 -
NHC: Cancellation of the Record date for Corporate Actions Processing
Date update 31/12/2025 - 18:29:43 -
TBX: Adjustment of information on securities registration cancellation notification
Date update 31/12/2025 - 14:40:59
-
45,984|6,369
-
0
-
4,077
-
849
-
37
-
12,315,011
