LPB123008: 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. 13/2024/GCNTPDN-VSDC-1 dated 06/09/2024 due to change of issuer as follows:
- Issuer's name: Fortune Vietnam Joint Stock Commercial Bank
(former name: Lien Viet Post Joint Stock Commercial Bank)
- Head office: LPB Tower, no.210 Tran Quang Khai, Trang Tien ward, Hoan Kiem district, Hanoi
- Securities name: Bonds of Lien Viet Post Joint Stock Commercial Bank in 2022 (LPB7Y202205)
- Securities code: LPB123008
- ISIN:VNLPB1230082
- Securities type: Corporate bonds
- Face value: 100,000 VND
- Quantity of currently registered securities: 21.254.851 bonds
- Value of currently registered securities: 2.125.485.100.000 VND
- Issuance method: Public Offering through agents and direct sales
- Term: 10 years
- Issue date: 15/09/2023
- Maturity date: 15/09/2030
- Interest rate: Floating interest rate according to the following formula, Interest rate = Reference interest rate + 2.8%/year In which, Reference interest rate means the average interest rate of personal saving deposits in Vietnam Dong , 12-month term, interest payment at the end of the term is announced on the official websites of reference banks, including Joint Stock Commercial Bank for Investment and Development of Vietnam, Joint Stock Commercial Bank Vietnam Foreign Trade, Vietnam Joint Stock Commercial Bank for Industry and Trade and Vietnam Bank for Agriculture and Rural Development, on the date of interest rate determination.
- Interest payment period: Interest is paid annually, periodically on the date marking every full year from the issue date to the maturity date or the redemption date or other due date.
- Method of interest payment: Post-paid, annually on the interest payment date.
- Method of principal payment: One-time payment on the maturity date or redemption date or other due date.
- Registration mode: Book entry
- Valid of change at VSDC: 06/09/2024
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LPB123008: Cancellation of bond registration
Date update 13/11/2025 - 16:11:08 -
LPB123008: 2nd Payment of Bond Interest (from 15/9/2024 inclusive to 15/9/2025 exclusive); Payment of Principal due to bond redemption before maturity
Date update 18/08/2025 - 17:47:40 -
LPB123008: 1st Payment of Bond Interest (from 15/09/2023 inclusive to 15/09/2024 exclusive)
Date update 26/08/2024 - 14:48:01 -
LPB123008: Notification on transfer date of corporate bond
Date update 31/07/2024 - 13:57:15 -
LPB123008: Issuance of the Initial Bond Registration Certificate
Date update 01/07/2024 - 14:42:46
-
NBT: Correction of agenda of 2026 Annual general meeting
Date update 11/05/2026 - 17:03:16 -
SGJ12303: Tranfer of money for interest payment
Date update 07/05/2026 - 17:34:37 -
CLW: Change of 2025 1st cash dividend payment time
Date update 04/05/2026 - 15:12:56 -
TMI12401: Change of time of the 4th payment of bond interest
Date update 20/04/2026 - 15:09:37 -
VJC12404: Change of time of the 3rd payment of bond interest
Date update 15/04/2026 - 17:18:33 -
H7912101: Belated transfer of 19th period payment of bond interest
Date update 07/04/2026 - 17:09:30 -
FUEIP100: Renaming the Management Company of the IPAAM VN100 ETF Fund
Date update 25/03/2026 - 16:19:56 -
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
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46,635|6,436
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0
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4,205
-
855
-
37
-
12,906,161
