GSG12202: Adjustment of bond interest payment date
Related to the 2nd interest payment (from 29/04/2024 to 29/04/2024) of Goldsun Packaging and Printing Joint Stock Company (bond code: GSG12202), Viet Nam Securities Depository and Clearing Corporation (VSDC) would like to announce adjustment of bond interest payment date in the Notice no.1532/TB-VSDC dated 05/04/2024 by VSDC at the request of the Issuer in the document no.2004/2024/TB-GSP dated 20/04/2024 and Pursuant to the document no.2421/UBCK-PTTT dated 17/04/2024 on exchanging days off on the occasion of Liberation day (30/4) and International Labor day (01/5) in 2024 by the State Securities Commission and Notice no.1759/TB-VSDC dated 19/04/2024 on 2024 trading intermission on the occasion of Liberation day (30/4) and International Labor day (01/5) in 2024 by Viet Nam Securities Depository and Clearing Corporation (VSDC), details are as follows:
1. Information in the Notice no.1532/TB-VSDC dated 05/04/2024 by VSDC:
- Payment date: 29/04/2024.
2. Adjusted information:
- Actual Payment date: 02/05/2024.
Other contents in the Notice no.1532/TB-VSDC dated 05/04/2024 by VSDC remain unchanged.
This notice of VSDC is for DMs' information and notification to investors who have deposited above bonds at DMs.
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45,792|6,359
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0
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4,024
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849
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37
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12,116,647
