CII425021: Postal Ballot of bondholders
Viet Nam Securities Depository and Clearing Corporation (VSDC) - Hochiminh Branch would like to announce the record date of corporate action processing for the Securities registering institution as follows:
- Execution rate: 1 share - 1 voting right
- Execution time: 05/2026. tentatively
- Execution venue: Bondholders should send their comments to the address of the Bondholder Representative: VietinBank Securities Joint Stock Company – Floors 1 to 4, N02-T2 Building, Diplomatic Corps Area, Xuan Dinh Ward, Hanoi City.
- Content: approval of the adjusted plan for using the proceeds from the offering of convertible bonds CII425001 (stock code: CII425021) for the purpose of “prepayment of all CII012029_G bonds (stock code: CII012029_G) issued by the Issuer on 31/01/2019 and maturing on 31/01/2029 (“Bonds CII012029_G”)”.
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.
Ho Chi Minh City Infrastructure Investment Joint Stock Company and the parties involved in the process of preparing dossiers, documents of corporate action processing are fully responsible before the law for the legality, accuracy, truthfulness and completeness of the dossier; Institutions and individuals participating in the confirmation of records and documents shall be legally responsible within the scope related to such records and documents as prescribed in Clause 1, Article 11a of the Securities Law No. 54/2019/QH14 dated 26/11/2019, supplemented by Clause 4, Article 1 of Law No. 56/2024/QH15 dated 29/11/2024.
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CII425021: 3rd Payment of Bond Interest (from 18/02/2026 inclusive to 18/05/2026 exclusive)
Date update 24/04/2026 - 15:36:46 -
CII425021: Postal ballot of bondholders
Date update 26/01/2026 - 17:22:15 -
CII425021: 2nd Payment of Bond Interest (from 18/11/2025 inclusive to 18/02/2026 exclusive)
Date update 26/01/2026 - 17:17:18 -
CII425021: 1st Payment of Bond Interest (from 18/08/2025 inclusive to 18/11/2025 exclusive)
Date update 23/10/2025 - 16:44:11 -
CII425021: Certification of bond registration and allocation of bond code
Date update 08/09/2025 - 17:33:41
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NAB12501: Redemption of all bonds before maturity at the request of the Securities registering institution
Date update 05/06/2026 - 18:03:35 -
SBT: Payment of cash dividend for shareholders who own dividend preferred shares have the right to convert
Date update 05/06/2026 - 17:23:08 -
EVF12201: Bond redemption before maturity; 8th Payment of Bond Interest (from 08/01/2026 inclusive to 08/7/2026 exclusive)
Date update 05/06/2026 - 17:22:28 -
NKG: Payment of 2025 Stock Dividend
Date update 05/06/2026 - 17:21:49 -
CPT12201: 49th Payment of Bond Interest (from 30/5/2026 inclusive to 30/6/2026 exclusive)
Date update 05/06/2026 - 17:21:24 -
SDK: 2026 Extraordinary General Meeting
Date update 05/06/2026 - 17:20:42 -
TCO42501: Conversion of convertible bonds and Cash payment of Bond Interest
Date update 05/06/2026 - 17:20:21 -
HDC425001: 1st Payment of Bond Interest (from 25/12/2025 inclusive to 25/06/2026 exclusive)
Date update 05/06/2026 - 17:19:44 -
HDB12305: 5th Payment of Interest (from 28/12/2025 inclusive to 28/06/2026 exclusive)
Date update 05/06/2026 - 17:19:12 -
TD1727398: Payment of 2026 Bond Interest
Date update 05/06/2026 - 17:15:17
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46,989|6,475
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0
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4,276
-
860
-
37
-
13,162,410
