BNT12401: Issuance of the 3rd revised Certificate of securities registration due to change of bond terms and conditions
Viet Nam Securities Depository and Clearing Corporation (VSDC) - Hochiminh Branch would like to announce issuance of the 3rd revised Certificate of securities registration no.87/2024/GCNTPRL-VSDC-3 dated 13/03/2025 due to change of bond terms and conditions as follows:
Issuer: BOT Ninh Thuan Province Company Limited
Head office address: 477-479 An Duong Vuong, ward 11, district 6, Hochiminh city
- Securities name: Bonds of BOT Ninh Thuan Province Company Limited (BNTCH2433001)
- Securities code: BNT12401
- ISIN: VN0BNT124010
- Securities type: Corporate bonds
- Face value: 100,000,000 VND
- Issuance method: Privately - placed corporate bond
- Term: 117 months
- Issue date: 29/01/2024
- Maturity date: 29/10/2033
- Payment term: every 3 months
- Quantity of currently registered securities: 11,850 Bonds
- Value of currently registered securities: 1,185,000,000,000 VND
- Interest rate:
+ For each subsequent Interest Calculation Period (after the first 4 Interest Calculation Periods), the Bond Interest Rate is a floating interest rate with an interest rate equal to the medium-term lending interest rate of the same term of 03 banks, including BIDV, ACB, EXIMBANK in Ninh Thuan province determined on the Interest Determination Date (in case Ninh Thuan does not have branches of 3 banks mentioned above, branches of the 3 banks in Khanh Hoa province are applicable). The Interest Determination Date of each interest calculation period is the first day of each quarter immediately preceding that interest calculation period. For clarification, each fiscal year will include 4 quarters, and the first day of each quarter will be 1/1, 1/4, 1/7, 1/10, respectively. If the interest determination date is not a working day, the Interest Determination Date will be the next working day.
+ The bond interest will be calculated at the Interest Rate for the period from the Issue Date inclusive to the Maturity Date or the premature redemption date exclusive (whether by agreement or by necessity under these Bond Conditions). Interest accruing on the principal amount of the Bonds shall be calculated for the actual number of days elapsed on the basis of a 365 day year.
+ If bonds are redeemed before maturity as stipulated by Bond conditions, the final interest calculation period will be from the most recent interest payment date inclusive to the premature redemption date exclusive.
(Former interest rate:
+ For the first 4 interest periods: 10.5%/year;
+ For each subsequent interest period: the floating interest rate equals to the total of 3.0%/year and the reference interest rate of that interest period. The reference interest rate is the average interest rate on personal saving deposits in Vietnam Dong, 12-month term (post-paid and mobilized over the counter), announced on the interest rate determination date (the 7th working day before the first day of each interest period) on the official websites of Vietcombank (collectively referred to as "Reference Banks" and referred to as separately as “Reference Bank”). For clarity, the reference interest rate, if not an integer, will be rounded to two decimal places.
- Interest payment method: Interest of interest periods is paid periodically on fixed days of the year, specifically: (i) 27/03, (ii) 27/06, (iii) 27/09 và (iv) 27/12. Interest is calculated based on the actual number of days of that interest period and a 365-day year.
Interest Period is each period lasting 03 consecutive months from the issue date to the maturity date (or the date the bond is redeemed before maturity), except for the 2nd Interest Period and the final Interest Period, specifically:
+ The first Interest Calculation Period is the period from the issue date - 29/01/2024 inclusive to 29/04/2024 exclusive.
+ The 2nd Interest calculation period is the period from 29/04/2024 inclusive to 27/06/2024 exclusive. .
+ The next Interest Payment Period is each period lasting 03 consecutive months from the nearest preceeding Interest Payment Date inclusive to the next Interest Payment Date exclusive.
+ The final Interest Payment Period is the period from the nearest preceeding Interest Payment Date inclusive to the maturity date exclusive.
In case the bonds are redeemed before maturity in accordance with the provisions of the bond conditions, the final interest period will be from the nearest preceding Interest Payment Date inclusive to the premature redemption date.
- Principal payment method: unless bonds are redeemed before maturity in accordance with bond terms and conditions, bond principal will be paid on the maturity date.
- Registration method: book entry
- Valid date of change at VSDC: 13/03/2025
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BNT12401: 7th Payment of Bond Interest (from 27/06/2025 inclusive to 27/09/2025 exclusive)
Date update 08/09/2025 - 15:49:49 -
BNT12401: 6th Payment of Bond Interest (from 27/03/2025 inclusive to 27/06/2025 exclusive)
Date update 06/06/2025 - 17:34:55 -
BNT12401: Postal ballot of bondholders
Date update 18/02/2025 - 17:00:11 -
BNT12401: 4th Payment of bond interest (from 27/09/2024 inclusive to 27/12/2024 exclusive)
Date update 10/12/2024 - 17:17:03 -
BNT12401: 3rd Payment of Interest (from 27/06/2024 inclusive to 27/09/2024 exclusive)
Date update 06/09/2024 - 14:59:25 -
BNT12401: Issuance of the 2nd revised Certificate of securities registration due to change of bond terms and conditions
Date update 13/06/2024 - 16:17:35 -
BNT12401: 2nd Payment of Interest (from 29/04/2024 inclusive to 27/06/2024 exclusive)
Date update 12/06/2024 - 16:55:32 -
BNT12401: Notification on transfer date of corporate bond
Date update 20/05/2024 - 15:15:25 -
BNT12401: Postal ballot of bondholder BNT12401
Date update 20/05/2024 - 14:27:25 -
BNT12401: Issuance of the 1st Revised Securities Registration Certificate
Date update 02/05/2024 - 14:29:20
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BST: Canceling of transferring registration, depository data of BST shares from HNX to UPCOM
Date update 22/08/2025 - 17:20:55 -
BPB12101: Issuance of the revised Bond Registration Certificate due to change of bond terms and conditions
Date update 18/08/2025 - 17:57:20 -
H7912102: Belated transfer for interest payment
Date update 14/08/2025 - 15:25:32 -
SHB125010: Cancellation of the record date
Date update 13/08/2025 - 17:26:33 -
GCB: cancellation of the record date
Date update 13/08/2025 - 17:08:24 -
DPJ12201: Changes in bond terms and conditions
Date update 12/08/2025 - 17:12:19 -
DVT: Correcting information
Date update 07/08/2025 - 17:00:53 -
BID12329: Correction of information in the notice of payment rate and maturity date
Date update 07/08/2025 - 14:44:21 -
DPJ12202: Issuance of the 2nd Revised Securities Registration Certificate due to change in the bond conditions and terms
Date update 04/08/2025 - 17:12:04 -
DVN: Correction of notice content
Date update 01/08/2025 - 16:54:55
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DKG: Initial Securities Registration
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44,198|6,209
-
0
-
3,511
-
826
-
37
-
10,496,267