YTW12101: Adjustment of payment for bond redemption before maturity
Date update 16/10/2024 - 16:20:00
Following documents no. 3170/VSDC-ĐKTP.NV dated 21/03/2024 of Viet Nam Securities Depository and Clearing Corporation (VSDC), VSDC announces the change in the time of payment transfer for early bond repurchase of YTW12101 bond (record date 13/03/2024) as requested in Official No. 82/2024/CV-YTW dated 09/10/2024 of Yang Trung Wind Power Joint Stock Company (bond code YTW12101) as follows:
Time for VSDC to transfer payment for early bond repurchase to Depository Members: 16/10/2024
Reason for adjustment: Currently, Yang Trung Wind Power Joint Stock Company has arranged capital to redeem 50% of the number of bonds YTWCH2124003 (stock code YTW12101) according to Notice No. 12/2024/TB-YTW and Notice No. 13/2024/TB-YTW dated 28/02/2024 and has received approval from bondholders to allow the Company to pay for bond redemption before maturity on payment date 17/10/2024.
DMs are requested to fully inform this notice to each investor who has deposited the above bonds at DMs.
Time for VSDC to transfer payment for early bond repurchase to Depository Members: 16/10/2024
Reason for adjustment: Currently, Yang Trung Wind Power Joint Stock Company has arranged capital to redeem 50% of the number of bonds YTWCH2124003 (stock code YTW12101) according to Notice No. 12/2024/TB-YTW and Notice No. 13/2024/TB-YTW dated 28/02/2024 and has received approval from bondholders to allow the Company to pay for bond redemption before maturity on payment date 17/10/2024.
DMs are requested to fully inform this notice to each investor who has deposited the above bonds at DMs.
Issuer's news
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YTW12101: Issuance of the 2nd Revised Securities Registration Certificate
Date update 01/11/2024 - 16:59:42 -
YTW12101: Payment of Corporate Bond Interest from 22/06/2024 to 22/09/2024 (interest period from 22/06/2024 inclusive to 22/09/2024 exclusive)
Date update 04/09/2024 - 15:08:58 -
YTW12101: Payment of Corporate Bond Interest from 22/03/2024 to 22/06/2024 (interest period from 22/03/2024 inclusive to 22/06/2024 exclusive)
Date update 07/06/2024 - 15:10:53 -
YTW12101: Issuance of the 1st Revised Securities Registration Certificate
Date update 09/05/2024 - 15:37:54 -
YTW12101: Postponement of payment for bond redemption before maturity
Date update 25/03/2024 - 15:26:34 -
YTW12101: Bond redemption before maturity
Date update 04/03/2024 - 16:29:15 -
YTW12101: Payment of Corporate Bond Interest (from 22/12/2023 to 22/03/2024)
Date update 04/03/2024 - 14:26:08 -
YTW12101: Postal Ballot for Bondholders
Date update 29/02/2024 - 11:24:19 -
YTW12101: Notification on transfer date of corporate bond
Date update 20/12/2023 - 15:45:21 -
YTW12101: Payment of Corporate Bond Interest (from 22/09/2023 inclusive to 22/12/2023 exclusive)
Date update 06/12/2023 - 16:52:06
Others news
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HTT: Cancellation of the List of Shareholders for Attending General Meeting
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FCN: Cancellation of the notice of the record date for corporate action processing
Date update 23/03/2026 - 16:46:08 -
FCS: Cancellation of the record date
Date update 19/03/2026 - 13:56:48 -
RHG12101: Changing time for the 17th period payment of bond interest
Date update 18/03/2026 - 16:28:18 -
RHG12102: Changing the time for the 15th payment of bond interest
Date update 18/03/2026 - 16:27:46 -
RHG12102: Changing the time for the 16th payment of bond interest
Date update 18/03/2026 - 16:19:53 -
RHG12101: Changing time for the 16th period payment of bond interest
Date update 18/03/2026 - 15:56:20 -
RHG12101: Changing time for the 15th period payment of bond interest
Date update 18/03/2026 - 15:54:34
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