TLE12101: 42nd bond redemption before maturity; 42nd payment of bond interest from 30/5/2025 to 30/6/2025 exclusive
Viet Nam Securities Depository and Clearing Corporation (VSDC) would like to announce the record date as follows:
1. 42nd Bond redemption before maturity
- Number of securities to be redeemed: 19 bonds
- Execution rate: 19/351 (19 redeemed bonds/351 bonds)
- Price of each redeemed bond: 1,000,000,000 VND/bond
- All redeemed bonds will be cancelled
2. 42nd payment of bond interest from 30/5/2025 to 30/6/2025 exclusive
- Payment rate: 8,068,493.151 VND/bond
- Bond interest is calculated according to the formula: 1,000,000,000 VND x 9.5% x 31 days/365 days, rounded to 3 decimal places.
The total amount of bond interest 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 fractional part is removed).
- Bond redemption before maturity and interest payment date: 30/6/2025.
- Payment place:
+ The holders whose bonds have been deposited will receive bond interest and make bond redemption procedures at the depository member where they opened depository account.
+ The holders whose securities have not been deposited will receive bond interest and redemption amount via accounts registered with VPBank Securities Joint Stock Company on 30/6/2025.
Deadline for sending confirmation: by 10.30 am, 25/6/2025.
If DMs do not send confirmation document by the above deadline, VSDC will consider the list provided to DMs 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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44,442|6,228
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0
-
3,511
-
826
-
37
-
10,753,899