The Board of Directors of National Securities Incorporation (NSI) announces a private placement of bonds as follows:
− Issuer: National Securities Incorporation
− Bond code: NSICH2122001
− Bond term: 12 months from the issue date
− Issue volume: 2,000 bonds
− Issue value at par value: VND200 billion
− Currency unit: VND
− Face value: VND100,000,000/bond
− Issue time: Quarter 2 of 2021
− Nominal interest rate: 9.5%/year
− Bond type: non-convertible secured bond, without warrants
− Issue agent: Dai Nam Securities Joint Stock Company
− Bond management and depository agent: National Securities Incorporation
− Collateral management agent: VietABank – Hoang Mai Branch.