VNDIRECT Securities Corporation (VNDS) announces the redemption of non-convertible bonds prior to maturity as follows:
1) The redemption of non-convertible bonds issued by VNDIRECT Securities Corporation in the third private placement of 2019:
− Bond name: Non-convertible bonds of VNDIRECT Securities Corporation (the third private placement of 2019)
− Bond code: VND_BOND_2019_03
− Issue date: December 19, 2019
− Bond term: 10 years
− Issue interest rate: 9.8%/year
− Par value: VND100,000/bond
− Issue volume: 797,410 bonds
− Maximum redemption volume: 797,410 bonds
− Trading method: direct transaction with investors
− Redemption price: at par value and interest amount
− Trading date: January 04, 2021.
2) The redemption of non-convertible bonds issued by VNDIRECT Securities Corporation in the fourth private placement of 2019:
− Bond name: Non-convertible bonds of VNDIRECT Securities Corporation (the fourth private placement of 2019)
− Bond code: VND_BOND_2019_04
− Issue date: December 25, 2019
− Bond term: 10 years
− Issue interest rate: 9.8%/year
− Par value: VND100,000/bond
− Issue volume: 239,000 bonds
− Maximum redemption volume: 239,000 bonds
− Trading method: direct transaction with investors
− Redemption price: at par value and interest amount
− Trading date: January 04, 2021.