No. Recode date Securities code ISIN Title Securities type Market Administration Place
1 30/06/2023 PVI42301 VN0PVI423013 PVI42301: First Payment of Interest (from 30/01/2023 inclusive to 30/07/2023 exclusive) Bond Unlisted public companies Branch
2 30/06/2023 CCR VN000000CCR0 CCR: Payment of 2022 Cash Dividend Securites HNX Head Office
3 30/06/2023 CTD122015 VNCTD1220155 CTD122015: Third Payment of Bond Interest (from 14/01/2023 inclusive to 14/07/2023 exclusive) Bond HNX Branch
4 30/06/2023 TYA VN000000TYA4 TYA: Payment of 2022 Cash Dividend Securites HOSE Branch
5 30/06/2023 VSM VN000000VSM7 VSM: Payment of 2022 Cash Dividend Securites HNX Head Office
6 30/06/2023 VHC VN000000VHC1 VHC: Postal ballot Securites HOSE Branch
7 30/06/2023 NUE VN000000NUE7 NUE: Payment of 2022 Cash Dividend Securites UpCOM Head Office
8 30/06/2023 CTR VN000000CTR4 CTR: Payment of 2022 Cash Dividend Securites HOSE Head Office
9 30/06/2023 VC3 VN000000VC39 VC3: Payment of 2021, 2022 Stock Dividend Securites HNX Head Office
10 30/06/2023 PLO VN000000PLO0 PLO: 2023 Annual General Meeting Securites UpCOM Branch
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No. Securities code ISIN Securities name Trading date Date of Transfer Title