On November 10, 2022, the Board of Directors of Viet Capital Securities Joint Stock Company approved the redemption of bonds including VB2020600.03.031, VCIH2123002, VCIH2123003, VCIH2123006 and VCIH2123008, as follows:
Bond code
Par value
(VND/bond)
Estimated maximum redemption volume
(bond)
Estimated maximum redemption value
(VND)
Estimated trading date
VB2020600.03.031
10,000,000
2,880
28,800,000,000
following the date of this resolution, at least 15 business days.
VCIH2123002
100,000,000
2,127
212,700,000,000
November 11, 2022
VCIH2123003
497
49,700,000,000
November 24, 2022
VCIH2123006
410
41,000,000,000
December 19, 2022
VCIH2123008
604
60,400,000,000