TTE12101: Issuance of the 1st revised securities registration certificate
Date update 01/11/2024 - 17:10:30
Viet Nam Securities Depository and Clearing Corporation (VSDC) would like to announce the issuance of the 1st revised securities registration certificate no. 812/2023/GCNTPRL-VSDC-1 dated 01/11/2024 due to change of bond terms, conditions as follows:
Issuer's name: Truong Thinh Energy Investment Joint Stock Company
Head office: No. 507 Duy Tan, Duy Tan ward, Kon Tum city, Kon Tum province
Securities name: Bonds of Truong Thinh Energy Investment Joint Stock Company (TTEH2124001)
Securities code: TTE12101
ISIN: VN0TTE121017
Securities type: Corporate bonds
Par value: 100,000,000 VND
Quantity of currently registered securities: 2,499 Bond
The value of currently registered securities: 249,900,000,000 VND
Issuance method: Privately - Placed corporate bond
Term: 60 months
(Former term: 36 months)
Issue date: 19/10/2021
Maturity date: 19/10/2026
(Former maturity date: 19/10/2024)
Interest: 11%/year
Interest payment term: Each term is 12 months starting.
Interest payment method: Interest will be paid periodically every 6 months
- Principal payment method: Principal will be paid once on the maturity date
Registration mode: Book entry
Valid date of change at VSDC: 01/11/2024
Issuer's name: Truong Thinh Energy Investment Joint Stock Company
Head office: No. 507 Duy Tan, Duy Tan ward, Kon Tum city, Kon Tum province
Securities name: Bonds of Truong Thinh Energy Investment Joint Stock Company (TTEH2124001)
Securities code: TTE12101
ISIN: VN0TTE121017
Securities type: Corporate bonds
Par value: 100,000,000 VND
Quantity of currently registered securities: 2,499 Bond
The value of currently registered securities: 249,900,000,000 VND
Issuance method: Privately - Placed corporate bond
Term: 60 months
(Former term: 36 months)
Issue date: 19/10/2021
Maturity date: 19/10/2026
(Former maturity date: 19/10/2024)
Interest: 11%/year
Interest payment term: Each term is 12 months starting.
Interest payment method: Interest will be paid periodically every 6 months
- Principal payment method: Principal will be paid once on the maturity date
Registration mode: Book entry
Valid date of change at VSDC: 01/11/2024
Issuer's news
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TTE12101: 9th Payment of Interest (from 19/10/2025 inclusive to 19/4/2026 exclusive)
Date update 26/03/2026 - 15:16:36 -
TTE12101: Issuance of the Revised Securities Registration Certificate due to a reduction in the number of registered bonds
Date update 13/01/2026 - 17:52:00 -
TTE12101: Issuance of the 3rd Revised Securities Registration Certificate
Date update 26/11/2025 - 18:07:02 -
TTE12101: Postal Ballot of bondholders
Date update 17/10/2025 - 14:21:07 -
TTE12101: 7th Payment of Interest (from 20/10/2024 inclusive to 20/4/2025 exclusive)
Date update 02/04/2025 - 15:30:49 -
TTE12101: Issuance of the 2nd Revised Securities Registration Certificate
Date update 15/11/2024 - 16:58:40 -
TTE12101: 6th Payment of Interest (from 19/04/2024 inclusive to 20/10/2024 exclusive), because 19-20/10 is Saturday and Sunday.
Date update 02/10/2024 - 16:16:20 -
TTE12101: Postal Ballot of bondholders
Date update 30/09/2024 - 16:40:53 -
TTE12101: 5th Payment of Interest (from 19/10/2023 inclusive to 19/04/2024 exclusive)
Date update 04/04/2024 - 14:04:58 -
TTE12101: Notification on transfer date of corporate bond
Date update 06/12/2023 - 14:34:04
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Date update 28/05/2026 - 17:23:10 -
HDQ12402: Issuance of the revised Bond Registration Certificate due to change of issuer's name
Date update 28/05/2026 - 16:47:19 -
DRT12404: Belated transfer of 3rd period payment of bond interest
Date update 26/05/2026 - 16:52:47 -
FUEIP100: Adjustment to the Fund's name
Date update 26/05/2026 - 16:42:54 -
H7912102: Belated transfer for interest payment
Date update 15/05/2026 - 13:59:49 -
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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
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