GSG12203: Revision of Bond Registration Certificate due to change of bond terms and conditions
Viet Nam Securities Depository and Clearing Corporation (VSDC) would like to announce issuance of the 1st revised Bond Registration Certificate No. 526/2023/GCNTPRL-VSDC-1 dated 01/7/2025 due to change of the bond conditions and terms by the securities registration institution as follows:
- Securities registration institution's name: Goldsun Packaging and Printing Joint Stock Company
- Head office: Phu Minh industrial zone, Co Nhue 2 ward, Bac Tu Liem district, Hanoi city
- Securities name: Bonds of Goldsun Packaging and Printing Joint Stock Company (GSPCB2227002)
- Securities code: GSG12203
- ISIN: VN0GSG122035
- Securities type: Corporate bonds
- Face value: VND100,000
- Quantity of registered bonds: 2,400,000 bonds
- The value of registered bonds: VND 240,000,000,000
- Issuance method: Private placement
- Term: 60 months from the issue date
- Issue date: 29/4/2022
- Maturity date: 29/4/2027
- Interest rate:
+ In the first 12 months from the issue date: 11%/year
+ From the 13th month to 36th month: The floating interest rate, not lower than 11%/year, is calculated according to the formula: Reference Interest Rate +5 %/year.
+ From the 37th month to maturity date: 9.5%/year
The reference interest rate means the interest rate calculated by the average of the personal saving deposit interest rates (paid in arrears) with a term of 12 months in Vietnam Dong announced by the head offices of Vietinbank, Agribank, Vietcombank, BIDV.
(Former interest:
+ In the first 12 months from the issue date: 11%/year
+ From the 13th month to maturity date: The floating interest rate, not lower than 11%/year, is calculated according to the formula: Reference Interest Rate +5 %/year.
The reference interest rate means the interest rate calculated by the average of the personal saving deposit interest rates (paid in arrears) with a term of 12 months in Vietnam Dong announced by the head offices of Vietinbank, Agribank, Vietcombank, BIDV.)
- Interest Payment Period: every 12 months from the issue date to the maturity date or premature redemption date
- Interest payment method: periodically every 12 months
- Principal payment method: Unless bonds are redeemed before maturity, on the maturity date, the issuer will redeem all outstanding bonds at a redemption price per bond equal to the total face value, interest, and all other amounts accrued but unpaid to that maturity date.
- Registration mode: Book entry
- Valid of change at VSDC: 01/7/2025.
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Date update 19/05/2025 - 17:08:41 -
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