No. Recode date Securities code ISIN Title Securities type Market Administration Place
1 03/09/2025 F8812503 VN0F88125034 F8812501: 1st Payment of Bond Interest (from 12/6/2025 inclusive to 12/9/2025 exclusive) Bond Privately - Placed corporate bond Head Office
2 03/09/2025 LBM VN000000LBM4 LBM: 2025 Extraordinary General Meeting Securites HOSE Branch
3 03/09/2025 TLT VN000000TLT1 TLT: 2025 Extraordinary General Meeting Securites UpCOM Head Office
4 03/09/2025 BCM12402 VN0BCM124028 BCM12402: 5th Payment of Bond Interest (from 17/06/2025 inclusive to 17/09/2025 exclusive) Bond Privately - Placed corporate bond Branch
5 03/09/2025 VJV12302 VN0VJV123028 VJV12302: 2nd Payment of Bond Interest (from 12/09/2024 inclusive to 12/09/2025 exclusive) Bond Privately - Placed corporate bond Branch
6 03/09/2025 MSB12408 VN0MSB124087 MSB12408: Bond redemption before maturity Bond Privately - Placed corporate bond Head Office
7 03/09/2025 TD2128008 VNTD21280084 TD2128008: Payment of 2025 Bond Interest Bond Specialized Government Bonds Head Office
8 03/09/2025 TD2136029 VNTD21360290 TD2136029: Payment of 2025 Bond Interest Bond Specialized Government Bonds Head Office
9 03/09/2025 SNC VN000000SNC5 SNC: Payment of 2024 Cash Dividend Securites UpCOM Branch
10 03/09/2025 VIH VN000000VIH8 VIH: 2025 Extraordianry General Meeting Securites UpCOM Head Office
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No. Securities code ISIN Securities name Trading date Date of Transfer Title