Petro Vietnam Securities Incorporated (PSI) announces the result of bond private placement as follows:
- Issuer: Petro Vietnam Securities Incorporated
- Bond code: PSIH2122001
- Issue volume: 3,000 bonds
- Total issue value: VND300 billion
- Par value: VND100,000,000
- Bond term: 01 year
- Bond type: non-convertible Corporate bond, unsecured
- Bond form: book entry
- Interest rate: 9%/year
- Interest payment term: Once every three months
- Issue date: March 25, 2021
- Maturity date: March 25, 2022
- Issuance method: private placement
- Issuance purpose: to raise capital for business activities.
- List of bondholders:
No.
|
Bondholders
|
Owning value
(VND)
|
Proportion
(%)
|
I
|
Local investor
|
|
|
1
|
Institutional investor
|
229,700,000,000
|
76.57%
|
2
|
Individual investor
|
70,300,000,000
|
23.43%
|
II
|
Foreign investor
|
|
|
1
|
Institutional investor
|
|
|
2
|
Individual investor
|
|
|
|
Total
|
|
100%
|