TPB12501: Issuance of the 1st Revised Securities Registration Certificate
Date update 24/12/2025 - 17:19:06
Viet Nam Securities Depository and Clearing Corporation (VSDC) would like to announce issuance of the 1st revised Securities Registration Certificate No.96/2025/GCNTPRL-VSDC-1 dated 23/12/2025 due to a reduction in the number of registered bonds for bonds registering institution as follows:
Securities name:
TPBank's Tier 2 Capital Increase Bonds in 2025
Securities code:
TPB12501
ISIN:
VN0TPB125015
Par value:
100,000,000 VND
Issuance method:
Private Placement
Interest rate:
Bond interest rate for each interest calculation period: Reference interest rate + 2.6%/year. The reference interest rate is calculated by the average of the interest rates of individual saving deposits in Vietnam Dong, postpaid, term of 12 months (or equivalent) publicly listed on the websites on the interest rate determination date by the following 04 banks: BIDV, Vietcombank, Vietinbank, Agribank. + If the reference interest rate is not an integer, it will be rounded to two decimal places (Each of these banks is referred to as the “Reference Bank”). For clarity, the bond interest rate, if not an integer, will be rounded to two decimal places. + Interest period means each period lasting 1 year in the bond term from the issue date or the period from the date of the most recent interest payment inclusive to the early redemption date upon request or the mandatory redemption date exclusive. + The interest rate determination date is 31/3/2025 for the first interest period. For subsequent interest periods, the interest rate determination date is the last business day of March of the year in which the interest payment of that interest period is made. + The bond interest rate for the first interest period is 7.28%/year.
Issue date:
23/05/2025
Maturity date:
23/05/2035
Quantity of registration-cancelled securities:
25 Bond
Value of registration-cancelled securities:
2,500,000,000 VND
The total number of remaining registered securities:
2,508 Bond
The total value of remaining registered securities:
250,800,000,000 VND
Valid date of reduction of registered securities:
23/12/2025
Reason:
Partial bond redemption before maturity
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