The Hochiminh Stock Exchange announces details of the record date for bond interest payment of MaSan Group Corporation as follows:
- Issuer: MaSan Group Corporation
- Bond name: BondMSN042023 bond
- Bond symbol : MSN12005
- ISIN code : VN0MSN120057
- Bond type : Corporate bond
- Par value : VND100,000
- Ex-interest date : May 24, 2021
- Record date : May 24, 2021
- Reason & purpose: to pay for second bond interest payment (from and including December 05, 2020 to and excluding June 05, 2021).
- Interest rate : 9.3%/ year
- Payment amount : VND4,637.260/bond
- Payment date : June 07, 2021.