GFV12101: Issuance of the Initial Bond Registration Certificate
Date update 06/11/2023 - 16:04:24
Viet Nam Securities Depository and Clearing Corporation (VSDC) would like to announce issuance of the Bond Registration Certificate No.818/2023/GCNTPRL-VSDC dated 03/11/2023 for bonds of Greenfeed Viet Nam Corporation as follows:
Issuer's name:
Greenfeed Viet Nam Corporation
Headquarter address:
Tel no.:
0272 363 2881
Fax no.:
0272 363 3374
Registered Securities bonds and been issued bond symbol at VSDC from 03/11/2023
Charter capital:
1,507,500,000,000 VND
Securities name:
Securities code:
GFV12101
ISIN:
VN0GFV121017
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 06/11/2023, VSDC will receive depository of the above registered Bond.
Note: Greenfeed Viet Nam Corporation registered for trading GFV12101 bonds on Hanoi Stock Exchange (HNX). The trading of bonds is implemented in accordance with HNX's decision.
Issuer's news
-
GFV12101: Revision of the Bond Registration Certificate due to reduction in the number of registered bonds
Date update 10/07/2026 - 15:51:34 -
GFV12101: 10th Payment of Bond Interest (from 15/12/2025 inclusive to 15/06/2026 exclusive) and partial redemption of bonds before maturity
Date update 19/05/2026 - 17:25:02 -
GFV12101: 9th Payment of Bond Interest (from 16/06/2025 inclusive to 15/12/2025 exclusive)
Date update 21/11/2025 - 17:33:49 -
GFV12101: 8th Payment of Bond Interest (from 16/12/2024 inclusive to 16/06/2025 exclusive)
Date update 28/05/2025 - 17:19:04 -
GFV12101: 7th Payment of Bond Interest (from 17/06/2024 inclusive to 26/12/2024 exclusive)
Date update 07/11/2024 - 15:47:47 -
GFV12101: Issuance of the 1st Revised Securities Registration Certificate
Date update 04/07/2024 - 14:09:55 -
GFV12101: Adjustment of bond redemption price
Date update 13/06/2024 - 16:15:25 -
GFV12101: 6th Payment of Bond Interest (from 16/12/2023 inclusive to 17/06/2024 exclusive) and bond redemption before maturity
Date update 31/05/2024 - 16:13:18 -
GFV12101: Notification on transfer date of corporate bond
Date update 26/12/2023 - 15:23:34
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Date update 16/07/2026 - 16:11:16 -
CACB2616: Registration, depository of covered warrants
Date update 16/07/2026 - 16:10:42 -
CHPG2629: Registration, depository of covered warrants
Date update 16/07/2026 - 16:10:10 -
CLPB2607: Registration, depository of covered warrants
Date update 16/07/2026 - 16:09:33 -
CMWG2621: Registration, depository of covered warrants
Date update 16/07/2026 - 16:08:44 -
CSHB2615: Registration, depository of covered warrants
Date update 16/07/2026 - 16:08:14 -
CSTB2624: Registration, depository of covered warrants
Date update 16/07/2026 - 16:07:43
