EVF12201: Bond Redemption Before maturity, 5th Payment of Bond Interest (from 08/07/2024 inclusive to 08/01/2025 exclusive)
Viet Nam Securities Depository and Clearing Corporation (VSDC) would like to announce the record date as follows:
1. Bond redemption before maturity
- Number of securities to be redeemed: 107 bonds
- Execution rate: The number of redeemed bonds/the number of bonds held by investors: 107/1,725
- Price of bond redemption: 1,000,000,000 VND/bond
- Payment date: 08/01/2025
- Principle of rounding: for fractional bonds (if any) upon exercising the right to sell, to ensure that the number of redeemed bonds does not exceed the maximum number of bonds for offering, the number of bonds sold will be rounded down to the whole number.
For example: In case investor owned 100 bonds, he/she is entitled to sell 6 bonds according to principle of rounding (100*107/1,725 = 6.203).
There is no deadline to register to sell bonds back to the issuer because this is a case where the issuer finalize the list of bondholders registered at VSDC, investors do not register to exercise the right to sell back bonds through VSDC. All bonds redeemed before maturity will be cancelled.
- Payment place:
+ The holders whose securities have been deposited will make bond redemption procedures at the depository member where they opened depository account.
+ The holders whose securities have not been deposited will make bond redemption procedures at EVN Finance Joint Stock Company on working days from 08/01/2025
2. Payment of Bond Interest
- Payment rate: 33,775,342 VND/bond
+ Bond interest is calculated according to formula: 1,000,000,000 (VND) * 6.7% * 184 (days)/365 (days), rounded to 3 dp
+ The total amount of bond interest actually received by the bond owner will be rounded down to the whole number (if the first decimal place is equal to or greater than 5, the number is rounded up, if the first decimal place is less than 5, the decimal part is canceled).
- Payment date: 08/01/2025
- Payment place:
+ The holders whose securities have been deposited will make bond redemption procedures at the depository member where they opened depository account.
+ The holders whose securities have not been deposited will make bond redemption procedures at EVN Finance Joint Stock Company on working days from 08/01/2025.
Depository members (DMs) are requested to compare the securities holders’ information in the List generated and sent in the form of Certificate of Authorization by VSDC with the information managed by DMs then send Confirmation (Form 03/THQ) in the form of Certificate of Authorization on the accuracy of the list of shareholders (For DMs who have not completed the connection to VSDC’s terminal-based gateway/ISO-based gateway or where the connection has been disrupted, the Confirmation with Certificate of Authorization shall be sent to thongbaoxacnhan@vsd.vn). In case of rejection due to data errors, VSDC's members are requested to send written notice on details of errors for necessary correction.
Deadline for sending confirmation: by 10.30 am, 13/12/2024.
If DMs do not send confirmation document by the above deadline, VSDC will consider the list provided to DMs and direct account holding members by VSDC accurate and confirmed. In case of arising disputes and losses to shareholders, DMs will have to bear all the related responsibilities.
DMs are requested to fully inform this notice to each investor who has deposited the above shares at DMs within 3 working days from the date on the notice.
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42,699|6,025
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6
-
3,148
-
792
-
37
-
9,021,652