No. Recode date Securities code ISIN Title Securities type Market Administration Place
1 09/10/2023 TD1646503 VNTD16465039 TD1646503: Payment of 2023 Bond Interest Bond Specialized Government Bonds Head Office
2 09/10/2023 TD2237125 VNTD22371254 TD2237125: Payment of 2023 Bond Interest Bond Specialized Government Bonds Head Office
3 09/10/2023 BVS VN000000BVS0 BVS: Payment of 2022 Fiscal Year Cash Dividend Securites HNX Head Office
4 09/10/2023 SZE VN000000SZE5 SZE: Payment of 2022 Cash Dividend Securites UpCOM Branch
5 09/10/2023 NWT VN000000NWT1 NWT: Payment of 2022 Cash Dividend Securites UpCOM Head Office
6 09/10/2023 CTG12131 VN0CTG121311 CTG12131: Second Payment of Bond Interest (from 14/10/2022 inclusive to 14/10/2023 exclusive) Bond Privately - Placed corporate bond Head Office
7 09/10/2023 E29 VN000000E297 E29: Payment of 2022 Cash Dividend Securites UpCOM Head Office
Display: 1 - 7 / 7 record
No. Securities code ISIN Securities name Trading date Date of Transfer Title