CVT122009: Issuance of the Initial Bond Registration Certificate
Date update 30/03/2022 - 14:43:29
Vietnam Securities Depository would like to announce issuance of Bond Registration Certificate No. 08/2022/GCNTPDN-VSD dated 28th March 2022 for bonds of CMC Joint Stock Company as follows:
Issuer's name:
CMC Joint Stock Company
Headquarter address:
Lot B10-B11 Thuy Van Industrial Park, Thuy Van Commune, Viet Tri City, Phu Tho Province
Tel no.:
02103. 991706
Fax no.:
02103. 991800
Registered Securities bonds and been issued bond symbol at VSD from 28/03/2022
Charter capital:
366,908,870,000 VND
Securities name:
Securities code:
CVT122009
ISIN:
VNCVT1220090
Par value:
100,000 VND
Securities type:
Corporate bonds
Quantity of registered securities:
2,000,000 Bond
Value of registered securities:
200,000,000,000 VND
Registration mode:
Book entry
From 29/03/2022, VSD will receive depository of the above registered Bond.
Note: CMC Joint Stock Company registers for listing of CVT122009 shares on Hanoi Stock Exchange. The trading of bonds shall be implemented in accordance with the decision of Hanoi Stock Exchange.
Issuer's news
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CVT122009: 8th Payment of Bond Interest (from 10/08/2025 inclusive to 10/02/2026 exclusive)
Date update 16/01/2026 - 17:22:26 -
CVT122009: 7th Payment of Bond Interest (from 10/02/2025 inclusive to 10/08/2025 exclusive)
Date update 22/07/2025 - 15:58:37 -
CVT122009: Postal Ballot for Bondholders via document or electronic media
Date update 21/02/2025 - 15:40:54 -
CVT122009: 6th Payment of Bond Interest (from 10/08/2024 inclusive to 10/02/2025 exclusive)
Date update 20/12/2024 - 16:07:52 -
CVT122009: 5th Payment of Bond Interest (from 10/02/2024 inclusive to 10/08/2024 exclusive)
Date update 26/07/2024 - 09:18:08 -
CVT122009: 4th Payment of Bond Interest (from and 10/08/2023 inclusive to 10/02/2024 exclusive)
Date update 22/01/2024 - 15:11:53 -
CVT122009: Third Payment of Bond Interest (from and 10/02/2023 inclusive to 10/08/2023 exclusive)
Date update 26/07/2023 - 15:57:06 -
CVT122009: Second Payment of Bond Interest (from and 10/08/2022 inclusive to 10/02/2023 exclusive)
Date update 27/01/2023 - 16:38:23 -
CVT122009: Notification on transfer date of corporate bond
Date update 11/08/2022 - 14:43:14 -
CVT122009: First Payment of Bond Interest (from and 10/02/2022 inclusive to 10/08/2022 exclusive)
Date update 26/07/2022 - 15:49:54
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