No. Recode date Securities code ISIN Title Securities type Market Administration Place
1 12/09/2025 BVBS18226 VNBVBS182262 BVBS18226: Payment of 2025 Bond Interest Bond Specialized Government Bonds Head Office
2 12/09/2025 RHG12102 VN0RHG121029 RHG12102: 15th Payment of Bond Interest (from 28/6/2025 inclusive to 28/9/2025 exclusive) Bond Privately - Placed corporate bond Head Office
3 12/09/2025 VHM12406 VN0VHM124060 VHM12406: 5th Payment of Interest (from 27/6/2025 inclusive to 27/9/2025 exclusive) Bond Privately - Placed corporate bond Head Office
4 12/09/2025 TCB12413 VN0TCB124138 TCB12413: Bond redemption before maturity Bond Privately - Placed corporate bond Head Office
5 12/09/2025 SHD12301 VN0SHD123019 SHD12301: 7th Payment of Bond Interest (from 29/6/2025 inclusive to 29/9/2025 exclusive) Bond Privately - Placed corporate bond Head Office
6 12/09/2025 DVP VN000000DVP2 DVP: 3rd Payment of 2024 Cash Dividend Securites HOSE Head Office
7 12/09/2025 SAL VN000000SAL3 SAL: Payment of 2024 Cash Dividend Securites UpCOM Branch
8 12/09/2025 TCB12411 VN0TCB124112 TCB12411: Bond redemption before maturity Bond Privately - Placed corporate bond Head Office
9 12/09/2025 VIC124005 VNVIC1240059 VIC124005: 3rd Payment of Corporate Bond Interest (from 26/3/2025 inclusive to 26/9/2025 exclusive) Bond HNX Head Office
10 12/09/2025 PEC VN000000PEC0 PEC: 2025 Extraordinary General Meeting Securites UpCOM Head Office
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No. Securities code ISIN Securities name Trading date Date of Transfer Title