The Board resolution dated December 06, 2019, the Board of Directors of Kosy Joint Stock Company approved the first repurchase of KOS.BOND.2018 bond prior to maturity as follows:
- Issuer: Kosy Joint Stock Company
- Bond code: KOS.BOND.2018
- Total value of bonds issued: VND 235,000,000,000
- Par value: VND 1,000,000,000/bond
- Number of bonds issued: 235 bonds
- Issue date: December 28, 2018
- Maturity date: December 28, 2021
- Number of bonds expected to be bought: 12 bonds
- Buying price: 1,000,000,000/bond
- Buying time: December 30, 2019
- Payment time: December 30, 2019
- Repurchase expenses: 0.5% total par value of bonds prior to maturity
- Repurchase organization method via Depository, Registration agent - Vietnam International Securities Joint Stock Company (VISecurities).