VIX Securities Joint Stock Company (VIX) reports the result of bond redemption prior to maturity as follows:
- Bond code: TP.VIX.01.2020
- Par value: VND100,000,000
- Bond term: 02 years
- Issue date: March 02, 2020
- Due date: March 02, 2022
- Issue volume at par value: VND200,000,000,000
- Outstanding volume at par value: VND200,000,000,000
- Redemption volume at par value: VND100,000,000,000
- Trading date: March 02, 2021
- Remaining volume at par value: VND100,000,000,000.