No. Recode date Securities code ISIN Title Securities type Market Administration Place
1 29/07/2025 F8812502 VN0F88125026 F8812502: 1st Payment of Bond Interest (from 07/5/2025 inclusive to 07/8/2025 exclusive) Bond Privately - Placed corporate bond Head Office
2 29/07/2025 VIC12403 VN0VIC124038 VIC12403: 5th Payment of Bond Interest (from 07/5/2025 inclusive to 07/8/2025 exclusive) Bond Privately - Placed corporate bond Head Office
3 29/07/2025 TPB12410 VN0TPB124109 TPB12410: 1st Payment of Bond Interest (from 26/8/2024 inclusive to 26/8/2025 exclusive) Bond Privately - Placed corporate bond Head Office
4 29/07/2025 TTC VN000000TTC0 TTC: 2025 Extraordinary General Meeting Securites HNX Branch
5 29/07/2025 DPJ12202 VN0DPJ122020 DPJ12202: 36th Payment of Bond Interest (from 09/07/2025 inclusive to 09/08/2025 exclusive) Bond Privately - Placed corporate bond Branch
6 29/07/2025 TD2338136 VNTD23381369 TD2338136: Payment of 2025 Bond Interest Bond Specialized Government Bonds Head Office
7 29/07/2025 TD1631464 VNTD16314641 TD1631464: Payment of 2025 Bond Interest Bond Specialized Government Bonds Head Office
8 29/07/2025 SDU VN000000SDU8 SDU: 2025 Annual General Meeting Securites HNX Head Office
9 29/07/2025 DSG VN000000DSG7 DSG: 2025 Extraordinary General Meeting Securites UpCOM Head Office
10 29/07/2025 BVBS21132 VNBVBS211327 BVBS21132: Payment of 2025 Bond Interest Bond Specialized Government Bonds Head Office
Display: 1 - 10 / 12 record
No. Securities code ISIN Securities name Trading date Date of Transfer Title