CTG12101: Issuance of Securities Registration Certificate
Date update 04/01/2022 - 14:21:28
Vietnam Securities Depository would like to announce issuance of the Securities Registration Certificate No. 67/2021/GCNTP-VSD dated 31st December 2021 for bond of Vietnam Joint Stock Commercial Bank for Industry and Trade as follows:
Issuer's name:
Vietnam Joint Stock Commercial Bank for Industry and Trade
Headquarter address:
No.108 Tran Hung Dao St., Hoan Kiem Dist., Hanoi Capital
Tel no.:
024.39421030
Fax no.:
024.39421032
Registered Securities bonds and been issued bond symbol at VSD from 31/12/2021
Charter capital:
48,057,506,090,000 VND
Securities name:
Securities code:
CTG12101
ISIN:
VN0CTG121014
Par value:
1,000,000,000 VND
Securities type:
Corporate bonds
Quantity of registered securities:
1,000 Bond
Value of registered securities:
1,000,000,000,000 VND
Registration mode:
Book entry
From 04/01/2022, VSD will receive depository of the above registered Bond.
Note: Vietnam Joint Stock Commercial Bank for Industry and Trade registered CTG12101 bonds with Vietnam Securities Depository and disclose information on the corporate bond website of Hanoi Stock Exchange.
Issuer's news
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CTG12101: Bond redemption before maturity
Date update 03/07/2026 - 16:37:19 -
CTG12101: 4th Payment of Bond Interest (from 29/07/2024 to 29/07/2025 exclusive)
Date update 03/07/2025 - 16:27:47 -
CTG12101: 3rd Payment of Bond Interest (from 29/07/2023 inclusive to 29/07/2024 exclusive)
Date update 04/07/2024 - 14:34:47 -
CTG12101: Notification on transfer date of corporate bond
Date update 19/10/2023 - 11:16:01 -
CTG12101: Transferring registration, depository data of CTG12101 bonds to privately - placed corporate bond market in HNX
Date update 14/07/2023 - 16:07:12 -
CTG12101: Second Payment of Bond Interest (from 29/07/2022 inclusive to 29/07/2023 exclusive)
Date update 10/07/2023 - 14:13:19 -
CTG12101: First Payment of Bond Interest (from 29/07/2021 inclusive to 29/07/2022 exclusive)
Date update 12/07/2022 - 14:00:24
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