PBT: 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: 7.09%/share (709 VND per share)
- Payment time: 04/07/2025
- 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 dividend at Binh Son Petroleum Packaging and Trading Joint Stock Company on working days from 04/07/2025. ID cards or valid identity papers have to be presented.
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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PBT: 2026 Annual General Meeting
Date update 25/02/2026 - 16:32:12 -
PBT: Postal Ballot on issuing resolutions of the General meeting
Date update 16/01/2026 - 17:24:41 -
PBT: Postal Ballot on issuing resolutions of the General meeting
Date update 03/10/2025 - 16:50:00 -
PBT: 2025 Annual General Meeting
Date update 21/02/2025 - 14:56:39 -
PBT: 2024 Second Postal Ballot
Date update 12/11/2024 - 11:32:34 -
PBT: Payment of 2023 Cash Dividend; Payment of the unspent 2009 after-tax profit that is temporarily being monitored on the Development Investment Fund according to the Plan for handling the recommendation of the Ministry of Finance Inspectorate approved by the 2024 Annual General Meeting of Shareholders in Resolution No. 01/NQ-PVBLD dated 15/5/2024.
Date update 13/09/2024 - 16:34:56 -
PBT: Postal Ballot
Date update 09/09/2024 - 11:27:03 -
PBT: Issuance of the 1st Revised Securities Registration Certificate
Date update 06/09/2024 - 13:48:34 -
PBT: 2024 Annual General Meeting
Date update 26/02/2024 - 16:55:40 -
PBT: Payment of 2022 Cash Dividend
Date update 21/08/2023 - 14:20:18
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MBB12409: Bond redemption before maturity
Date update 17/03/2026 - 14:12:27 -
MBB12410: Bond redemption before maturity
Date update 17/03/2026 - 14:10:13 -
VIF12402: 6th Payment of Interest (from 18/01/2026 inclusive to 18/4/2026 exclusive)
Date update 17/03/2026 - 14:01:19 -
VHM12403: 8th Payment of Bond Interest (from 15/01/2026 inclusive to 15/4/2026 exclusive) and Principal
Date update 17/03/2026 - 14:00:46 -
MBB12408: Bond redemption before maturity
Date update 17/03/2026 - 13:59:38 -
EVF12503: 1st Payment of Bond Interest (from 01/10/2025 inclusive to 01/4/2026 exclusive)
Date update 17/03/2026 - 13:50:37 -
LBM: Right issue
Date update 16/03/2026 - 17:26:12 -
CTG125013: 2nd Payment of Bond Interest (from 16/10/2025 to 16/4/2026 exclusive)
Date update 16/03/2026 - 17:19:20 -
VJC12328: 5th Payment of Bond Interest (from 03/10/2025 to 03/4/2026 exclusive)
Date update 16/03/2026 - 17:18:51 -
TCL: 2026 Annual General Meeting
Date update 16/03/2026 - 17:18:31
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45,984|6,369
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0
-
4,079
-
849
-
37
-
12,315,011
