SPV: Payment of 2024 Cash Dividend
Viet Nam Securities Depository and Clearing Corporation (VSDC) would like to announce the record date of corporate action processing for the Securities registering institution as follows:
- Payment rate: 5%/share (500 VND per share)
- Payment time: 04/08/2025
- Payment place:
+ The holders whose shares have been deposited will receive dividend at the depository member where they opened depository account.
+ The holders whose shares have not been deposited will receive cash dividend at Accounting-Finance Department of Special Aquatic Products Joint Stock Company, B23/63 Hoang Phan Thai, Binh Chanh Commune, Binh Chanh District, Hochiminh City on weekdays (Monday - Friday, 07:30 am - 04:30 pm) from 04/08/2025.
Coordination details and procedures for corporate action processing for holders of the above securities between VSDC, the Securities registering institution and depository members are specified in the Guideline on corporate action processing for securities holders at VSDC.
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SPV: Payment of 2025 stock Dividend
Date update 19/05/2026 - 17:34:31 -
SPV: Payment of 2025 Cash Dividend
Date update 21/04/2026 - 14:41:59 -
SPV: 2026 Annual General Meeting
Date update 06/01/2026 - 15:48:12 -
SPV: 2025 Annual General Meeting
Date update 07/01/2025 - 15:53:33 -
SPV: Payment of 2023 Cash Dividend
Date update 14/08/2024 - 14:50:21 -
SPV: 2024 Annual General Meeting
Date update 21/02/2024 - 15:19:18 -
SPV: 2023 Annual General Meeting
Date update 16/02/2023 - 09:41:20 -
SPV: Payment of 2021 Cash Dividend
Date update 15/08/2022 - 16:41:12 -
SPV: 2022 Annual General Meeting
Date update 18/02/2022 - 15:27:05 -
SPV: Payment of 2020 Cash Dividend
Date update 07/09/2021 - 16:30:20
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BID12522: 1st Payment of Bond Interest (from 20/6/2025 inclusive to 20/6/2026 exclusive)
Date update 19/05/2026 - 17:55:39 -
BID12559: 1st Payment of Bond Interest (from 24/12/2025 inclusive to 24/6/2026 exclusive)
Date update 19/05/2026 - 17:55:14 -
BID12117: 5th Payment of Bond Interest (from 23/6/2025 inclusive to 23/6/2026 exclusive)
Date update 19/05/2026 - 17:54:49 -
VKT12101: Bond redemption before maturity
Date update 19/05/2026 - 17:54:04 -
BID12560: 1st Payment of Corporate Bond Interest (from 24/12/2025 inclusive to 24/6/2026 exclusive)
Date update 19/05/2026 - 17:45:48 -
VKT12101: 20th Payment of Interest (from 09/04/2026 inclusive to 09/07/2026 exclusive)
Date update 19/05/2026 - 17:45:17 -
MBB12508: Bond redemption before maturity
Date update 19/05/2026 - 17:44:18 -
MBB12512: 2nd Payment of Bond Interest (from 24/12/2025 inclusive to 24/6/2026 exclusive)
Date update 19/05/2026 - 17:43:41 -
BID12524: 1st Payment of Bond Interest (from 24/6/2025 inclusive to 24/6/2026 exclusive)
Date update 19/05/2026 - 17:43:13 -
HDQ12402: 3rd Payment of Interest (from 31/12/2025 inclusive to 30/06/2026 exclusive)
Date update 19/05/2026 - 17:42:31
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46,635|6,436
-
0
-
4,211
-
857
-
37
-
12,906,161
