MaSan Group Corporation announces the interest rate of the 3rd interest period (from 12/14/2021 to 06/14/2022) of the following bonds:
1) MSN120011
- Bond name: Bond MSNH2023052
- Bond code: MSN120011
- Bond type: corporate bond
- Par value: 100,000 VND/bond
- Exchange floor: HNX
- Interest rate: 9.425%/year
- Time of application: from and inclusive of the date of December 14, 2021 to and exclusive of the date of June 14, 2022
- Payment date: June 14, 2022.
2) MSN120012
- Bond name: Bond MSNH2023053
- Bond code: MSN120012
- Bond type: corporate bond
- Par value: 100,000 VND/bond
- Exchange floor: HNX
- Interest rate: 9.525%/year
- Time of application: from and inclusive of the date of December 14, 2021 to and exclusive of the date of June 14, 2022
- Payment date: June 14, 2022.