No Va Land Investment Group Corporation announces the information on the public offering of bonds as follows:
1) Issuer: No Va Land Investment Group Corporation
2) Bond name: NVLB2123012 bond
3) Bond type: non-convertible bond, without warrants
4) Bond code: NVLB2123012
5) Par value: VND100,000/bond
6) Registered offering volume: 13,000,000 bonds
7) Total value of offering (at par value): VND1,300,000,000,000
8) Bond term: 18 months from the issue date
9) Interest rate:
- For the first four interest periods: 9.5%/year;
- For the next interest periods: The floating interest rate is equal to the sum of 3.28%/year and the reference interest rate of that interest period.
10) Interest payment term: Once every three months
11) Offering price: VND100,000/bond
12) Minimum registration volume:
- For Individual investors: minimum 130,000 bonds, equivalent to VND13,000,000,000
- For institutional investors: minimum 2,000,000 bonds, equivalent to VND200,000,000,000.
13) Time for subscription and payment: from December 31, 2021 to January 20, 2022
14) Place to receive subscription: at Floor 2nd, Techcombank Tower, 191 Ba Trieu, Le Dai Hanh Ward, Hai Ba Trung District, Ha Noi.
15) Issue date: expected in January 20, 2022.
16) Bank for blocking depository money:
- Account holder: No Va Land Investment Group CorporationCompany
- Account number: 1912874322061
- Bank: Techcombank.