KBC11806 - KBCBOND2018-02 bond (Cancelled registering securities)

Securities registration institution's name:
Securities name:
KBCBOND2018-02 bond
Securities code:
KBC11806
ISIN:
VN0KBC118063
Securities type:
Individual corporate bonds
Par value:
100,000 VND
Trading platform (*):
HOSE
Number of Securities Registration Certificate:
No.57/2018/GCNTP-VSD initially issued on 10th December 2018 by VSD
Quantity of currently registered securities:
4,000,000 Bond
The value of currently registered securities:
400,000,000,000 VND
Issuance method:
Private placement via issuing agent
Interest rate:
+ For the initial interest payment periods: 10.5%/year. + For next period after the initial interest payment periods: total of 3.8 %/year and reference interest rate. Reference interest rate is the average of individual savings interest rates (end-term payment) for the term of 12 months (or equivalent) in VND disclosed on the date of related interest calculation by BIDV (apply at Branch Transaction Centre 1), Vietcombank (apply at Transaction Centre), Viettinbank (apply at Hanoi Branch) and Agribank (apply at Transaction Centre)
Method of payment of interest:
Interest is post-paid, 6 months/time from the date of issuance. Principal payment method: Unless a bond is required to be repurchased before the maturity date, the bond principal will be paid at the par value of the bond at the maturity date of the bond or on the next working day of the maturity date If the due date is not a working day.
Term:
18 months
Issue date:
14/11/2018
Maturity date:
14/05/2020
Administration Place:
Head Office
* Trading platform according to information that issuers registered to VSDC. Securities listing/registration (HOSE, HNX, UPCoM) and securities trading of issuers is executed according to the Decision of relevant Stock Exchange.
No. Registration times Reason Total Value Number of Securities Registration Certificate Issued date
1 Initial issuance 4,000,000 400,000,000,000 57/2018/GCNTP-VSD 10/12/2018
Total: 4,000,000 400,000,000,000
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