DNP12401: Issuance of the 2nd Revised Securities Registration Certificate
Date update 19/11/2025 - 17:12:46
Viet Nam Securities Depository and Clearing Corporation (VSDC) - Hochiminh branch would like to announce issuance of the 2nd revised Securities Registration Certificate No. 422/2024/GCNTPRL-VSDC-02 dated 19/11/2025 due to a reduction in the number of registered bonds for the bond registering organization as follows:
Securities name:
Bonds of DNP Holding Joint Stock Company (DNPH2428001)
Securities code:
DNP12401
ISIN:
VN0DNP124012
Par value:
100,000,000 VND
Issuance method:
Private placement
Interest rate:
Combination of fixed and floating interest rate. + Interest rate applied for the first interest rate determination period (first 3 months): 10.5%/year. + Interest rate applied from the second interest rate determination period onwards is a floating interest rate, adjusted every 3 months and determined by the base interest rate plus (+) 4%/year but not less than 11%/year. + "Base interest rate" is determined by the interest rate for regular personal saving deposits with interest paid in Vietnam Dong for a term of 12 months, officially listed on the website of Vietinbank on the date of interest rate determination.
Issue date:
30/09/2024
Maturity date:
30/09/2028
Quantity of registration-cancelled securities:
100 Bond
Value of registration-cancelled securities:
10,000,000,000 VND
The total number of remaining registered securities:
1,300 Bond
The total value of remaining registered securities:
130,000,000,000 VND
Valid date of reduction of registered securities:
19/11/2025
Reason:
Partial bond redemption before maturity
Issuer's news
-
DNP12401: Bond redemption before maturity and the 6th Payment of Bond Interest (from 30/12/2025 inclusive to 30/03/2026 exclusive)
Date update 05/03/2026 - 15:27:18 -
DNP12401: 5th Payment of Bond Interest (from 30/09/2025 inclusive to 30/12/2025 exclusive)
Date update 10/12/2025 - 17:21:04 -
DNP12401: Bond redemption before maturity; 4th Payment of Bond Interest (from 30/06/2025 inclusive to 30/09/2025 exclusive)
Date update 08/09/2025 - 17:42:37 -
DNP12401: 3rd Payment of Bond Interest (from 31/03/2024 inclusive to 30/06/2025 exclusive)
Date update 10/06/2025 - 16:44:58 -
DNP12401: Issuance of the 1st Revised Securities Registration Certificate
Date update 17/04/2025 - 16:56:59 -
DNP12401: Periodic bond redemption; 2nd Payment of Bond Interest (from 30/12/2024 inclusive to 31/03/2025 exclusive)
Date update 07/03/2025 - 17:38:06 -
DNP12401: 1st Payment of Bond Interest (from 30/09/2024 inclusive to 30/12/2024 exclusive)
Date update 13/12/2024 - 14:42:52 -
DNP12401: Notification on transfer date of corporate bonds
Date update 14/11/2024 - 16:36:26 -
DNP12401: Issuance of the Initial Bond Registration Certificate
Date update 01/11/2024 - 09:08:39
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Date update 30/03/2026 - 16:03:12 -
INF12101: Issuance of the 3rd revised bond registration certificate
Date update 26/03/2026 - 11:02:25 -
TDK12107: Issuance of the 5th Revised Securities Registration Certificate
Date update 25/03/2026 - 17:06:35 -
TDK12108: Issuance of the 5th Revised Securities Registration Certificate
Date update 25/03/2026 - 17:04:05 -
TDK12104: Issuance of the 5th Revised Securities Registration Certificate
Date update 24/03/2026 - 16:35:36 -
TDK12106: Issuance of the 5th Revised Securities Registration Certificate
Date update 24/03/2026 - 16:34:30 -
TDK12105: Issuance of the 5th Revised Securities Registration Certificate
Date update 24/03/2026 - 16:33:22 -
TDK12101: Issuance of the 5th Revised Securities Registration Certificate
Date update 17/03/2026 - 17:01:16 -
AQC12301: Issuance of the 1st Revised Securities Registration Certificate
Date update 09/03/2026 - 17:23:31
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