Gia Lai Electricity Joint Stock Company announces the redemption of the bonds issued in the third issue of 2019 as follows:
− Issuer: Gia Lai Electricity Joint Stock Company
− Bond type: non-convertible unsecured bond, no warrants
− Bond term: 02 years from the issue date
− Interest rate: 11.5%/year
− Number of issued bonds: 1,190 bonds
− Face value: VND100,000,000/bond
− Issue date: June 14, 2019
− Maturity date: June 14, 2020
− Estimated repurchase volume: 30 bonds
− Total repurchase value based on face value: VND3,000,000,000
− Payment date for bond redemption: June 16, 2020
− Number of sellers: 02 bondholders