BPG12101: Issuance of the revised Bond Registration Certificate due to change of bond terms and conditions
Viet Nam Securities Depository and Clearing Corporation (VSDC) – Hochiminh Branch would like to announce the issuance of the 4th revised bond registration certificate no.339/2023/GCNTPRL-VSDC-04 due to change of bond's terms and conditions as follows:
Issuer's name: Bac Phuong Wind Power Joint Stock Company
Head office: Cai Cung hamlet, Dong Hai commune, Ca Mau province
Securities name: Bonds of Bac Phuong Wind Power Joint Stock Company (BPGCH2135001)
Securities code: BPG12101
ISIN: VN0BPG121019
Securities type: Corporate bonds
Par value: 100,000,000 VND
Issuance method: Privately - Placed corporate bond
Term: from the issue date of 1st period to 31/03/2035
Issue date: 24/06/2021
Maturity date: 31/03/2035
Quantity of currently registered securities: 5,340 Bond
The value of currently registered securities: 534,000,000,000 VND
Interest:
+ Interest applied from the issue date of 1st period to 31/03/2022: 9%/year
+ Interest applied from 31/03/2022 to 31/03/2024 on the interest determination date: 2.8%/year + reference interest rate
+ Interest applied to following interest periods from 31/03/2024 to 05/09/2024 on the interest determination date: 3.2%/year + reference interest rate
+ Interest applied to following interest periods from 06/09/2024 to 19/7/2025 on the interest determination date: 2.8%/year + reference interest rate
+ Interest applied to following interest periods from 20/7/2025 to the maturity date on the interest determination date: 2.5%/year + reference interest rate
+ The reference interest rate is the average interest rate on residential saving deposits in Vietnam Dong, normally post-paid (understood as the method of paying interest at the end of the term of the saving deposit product without any special conditions) applied to the 12-month term published on the websites of 4 banks: MBBAnk, Vietcombank, BIDV, Vietinbank on the date of interest rate determination.
(Former interest rate:
+ The applicable interest rate from the issue date of 1st period to 31/03/2022: 9%/year.
+ Interest applied from 31/03/2022 to 31/03/2024 on the interest determination date: 2.8%/year + reference interest rate.
+ Interest applied to following interest periods from 31/03/2024 to 05/09/2024 on the interest determination date: 3.2%/year + reference interest rate
+ Interest applied to following interest periods from 06/09/2024 to the maturity date on the interest determination date: 2.8%/year + reference interest rate
+ The reference interest rate is the average interest rate on residential saving deposits in Vietnam Dong, normally post-paid (understood as the method of paying interest at the end of the term of the saving deposit product without any special conditions) applied to the 12-month term published on the websites of 4 banks: MBBank, Vietcombank, BIDV, Vietinbank on the date of interest rate determination)
- Interest payment term: Bond interest is paid periodically on 31/03, 30/06, 30/09 and 31/12 every year until the issuer completes its obligations related to the bonds. If the interest payment date is not a business day, the corresponding interest payment date will be the next business day.
- Method of interest payment: bond interest is paid periodically on 31/03, 30/06, 30/09 and 31/12 every year.
- Method of principal payment: Unless redemption before maturity in accordance with the bond terms and conditions, the principal of will be paid once on the Maturity Date.
Registration mode: Book entry
Valid date of change at VSDC: 15/09/2025
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BPG12101: Bond redemption before maturity
Date update 03/06/2026 - 17:15:25 -
BPG12101: Issuance of the Revised Securities Registration Certificate due to a reduction in the number of registered bonds
Date update 17/04/2026 - 14:59:42 -
BPG12101: 20th Payment of Bond Interest (from 31/12/2025 inclusive to 31/03/2026 exclusive)
Date update 12/03/2026 - 16:50:19 -
BPG12101: Bond redemption before maturity
Date update 04/03/2026 - 17:04:05 -
BPG12101: 19th Payment of Bond Interest (from 30/09/2025 inclusive to 31/12/2025 exclusive)
Date update 10/12/2025 - 17:12:15 -
BPG12101: Issuance of the 6th Revised Securities Registration Certificate
Date update 02/12/2025 - 16:01:24 -
BPG12101: Bond redemption before maturity
Date update 06/11/2025 - 14:38:01 -
BPG12101: Issuance of the Revised Securities Registration Certificate due to a reduction in the number of registered bonds
Date update 24/10/2025 - 14:35:45 -
BPG12101: Bond redemption before maturity
Date update 15/09/2025 - 17:57:31 -
BPG12101: 18th Payment of Bond Interest (from 30/06/2025 inclusive to 30/09/2025 exclusive)
Date update 12/09/2025 - 16:42:46
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VJC12335: Adjusting information on corporate actions
Date update 02/06/2026 - 17:27:10 -
RHG12101: Change of payment time for the 18th interest period
Date update 01/06/2026 - 16:35:33 -
HDQ12401: Issuance of the revised Bond Registration Certificate due to change of issuer's name
Date update 28/05/2026 - 17:27:18 -
HDQ12303: Issuance of the revised Bond Registration Certificate due to change in name of registering institution
Date update 28/05/2026 - 17:23:29 -
HDQ12302: Issuance of the revised Bond Registration Certificate due to change the name of securities registering institution
Date update 28/05/2026 - 17:23:10 -
HDQ12402: Issuance of the revised Bond Registration Certificate due to change of issuer's name
Date update 28/05/2026 - 16:47:19 -
DRT12404: Belated transfer of 3rd period payment of bond interest
Date update 26/05/2026 - 16:52:47 -
FUEIP100: Adjustment to the Fund's name
Date update 26/05/2026 - 16:42:54 -
H7912102: Belated transfer for interest payment
Date update 15/05/2026 - 13:59:49 -
NBT: Correction of agenda of 2026 Annual general meeting
Date update 11/05/2026 - 17:03:16
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46,635|6,436
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0
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4,274
-
860
-
37
-
12,906,161
