BCM12408: Issuance of the revised Bond Registration Certificate due to change of issuer's name
Viet Nam Securities Depository and Clearing Corporation (VSDC) – Hochiminh Branch would like to announce the issuance of the 1st revised bond registration certificate no.491/2024/GCNTPRL-VSDC-1 dated 23/10/2025 due to change of issuer's name as follows:
Issuer's name: Becamex Investment and Industrial Development Group
( Former issuer's name: Investment and Industrial Development Joint Stock Corporation)
Head office: 10th Floor, mPlaza Building, 39 Le Duan, Saigon Ward, Ho Chi Minh City, Vietnam.
Securities name: Bonds of Becamex Investment and Industrial Development (BCMH2427003)
Securities code: BCM12408
ISIN: VN0BCM124085
Securities type: Corporate bonds
Par value: 100,000,000 VND
Quantity of currently registered securities: 10,800 Bond
The value of currently registered securities: 1,080,000,000,000 VND
Issuance method: Privately - Placed corporate bond
Term: 4 years
Issue date: 02/12/2024
Maturity date: 02/12/2028
Interest: Combination of fixed and floating interest rate as follows:
+ Interest rate for the first interest payment period is 10.7%/year;
+ Interest rate applied to the following interest payment periods is equal to the reference interest rate + 4.4%/year but not lower than 10.3%/year. Reference interest rate for each interest payment period is the average interest rate of personal saving deposits in Vietnam Dong (paid in arrears, at the end of the term) with a term of 12 months (or equivalent) announced on the website on the date of interest rate determination by Vietcombank, BIDV- Hanoi, Vietinbank, Agribank.
- Interest payment term: Bond interest is paid periodically every 6 months from the issue date until the issuer completes its obligations related to the bond or the date the bond is redeemed before maturity.
- Method of interest payment: paid in arrears, periodically every 6 months from the issue date until the securities registration organization completes its obligations related to the bond or the date the bond is redeemed before maturity.
- Method of principal payment: The principal of the bond is paid 100% on the maturity date or the date the bond is redeemed before maturity.
Registration mode: Book entry
Valid date of change at VSDC: 23/10/2025
-
BCM12408: 3rd Payment of Bond Interest (from 02/12/2025 inclusive to 02/06/2026 exclusive)
Date update 08/05/2026 - 17:22:31 -
BCM12408: 2nd Payment of Bond Interest (from 02/06/2025 inclusive to 02/12/2025 exclusive)
Date update 31/10/2025 - 15:48:09 -
BCM12408: 1st Payment of Bond Interest (from 02/12/2024 inclusive to 02/06/2025 exclusive)
Date update 08/05/2025 - 17:11:31 -
BCM12408: Notification on transfer date of corporate bonds
Date update 27/12/2024 - 17:15:01 -
BCM12408: Issuance of initial bonds registration certificate
Date update 18/12/2024 - 17:42:51
-
SGJ12303: Tranfer of money for interest payment
Date update 07/05/2026 - 17:34:37 -
CLW: Change of 2025 1st cash dividend payment time
Date update 04/05/2026 - 15:12:56 -
TMI12401: Change of time of the 4th payment of bond interest
Date update 20/04/2026 - 15:09:37 -
VJC12404: Change of time of the 3rd payment of bond interest
Date update 15/04/2026 - 17:18:33 -
H7912101: Belated transfer of 19th period payment of bond interest
Date update 07/04/2026 - 17:09:30 -
FUEIP100: Renaming the Management Company of the IPAAM VN100 ETF Fund
Date update 25/03/2026 - 16:19:56 -
H7912102: Belated transfer for interest payment
Date update 13/02/2026 - 15:22:11 -
TSO12502: Correcting information of the record date and confirmation of the list of shareholders
Date update 27/01/2026 - 17:10:14 -
HTA12402: Belated transfer of bond interest payment
Date update 20/01/2026 - 17:01:17 -
HAA12201: Transfer of the bond interest payment
Date update 20/01/2026 - 17:00:26
-
46,360|6,403
-
0
-
4,202
-
855
-
37
-
12,906,161
