On September 01, 2021, the Board of Directors of Viet Nam Joint Stock Commercial Bank for Industry and Trade approved the plan for a private placement of bonds as follows:
Issuer:
Tan Viet Securities Incorporation (TVSI)
Bond name:
Bond of Tan Viet Securities Incorporation
Bond code:
TSICH2126001
Bond type:
non-convertible, unsecured bond, no warrants
Currency unit:
VND
Face value:
VND1,000,000/bond
Bond term:
05 years from the issue date
Estimated offering volume:
200,000 bonds
Total offering value:
VND200,000,000,000
Offering price:
More than, less than or equal to face value
Bond form:
book-entry
Number of issue batch:
01 batch
Estimated issue time:
Quarter III of 2021
Estimated maturity date:
Quarter III of 2026