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VCI: Result of bond repurchase before maturity
HOSE - 12/16/2022 4:49:00 PM
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On December 15, 2022, Viet Capital Securities Joint Stock Company reports the result of the repurchase of bonds before maturity as follows:

Unit: VND

No.

Bond code

Par value (VND)

Term

Issue date

Maturity date

Issue volume (at par value)

Outstanding volume

 (at par value)

Repurchase volume

(at par value)

Execution date

(at par value)

Remaining volume after the repurchase (at par value)

1

VB2020600.03031

10,000,000

02 years

From 11/09/2020 to 01/29/2021

From 11/09/2022 to 01/29/2023

348,350,000,000

44,200,000,000

28,800,000,000

12/05/2022

15,400,000,000

2

VCIH2123002

100,000,000

02 years

05/18/2021

05/18/2023

250,000,000,000

250,000,000,000

207,700,000,000

11/11/2022

42,300,000,000

Newer News
16:44 BVB: Notification Affiliated person trade - Tran Thi Dang Ngoc
16:42 E1VFVN30: NAV September 28, 2026
16:41 E1VFVN30: Announcement after exchange trading September 29, 2026
16:39 SBA: Record date for share issuance for capital increase
16:29 CCC: Approval of transactions with a related party
16:19 SGT: Approval of the establishment of SGTX Branch
16:19 MIG: Report on the progress of capital utilization from the offering
16:19 KHP: Approval of the transaction with Khanh Hoa Power Company
16:19 HCM: Reporting the results of the public offering
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Older News
16/12 MSH: Record date for 2022 cash diviend payment
16/12 KBC: Guarantee loan for subsidiary
16/12 E1VFVN30: Announcement of the change of listing
16/12 BID: Change in Personnel
16/12 FUEVFVND: Announcement of the change of listing
16/12 LDG: Change in personnel
16/12 APC: Change in Personnel
16/12 FUEMAV30: Announcement after exchange trading 14 Dec 2022
16/12 FUEMAV30: Announcement after exchange trading 14 Dec 2022
16/12 PGV: RECORD DATE FOR CASH DIVIDEND OF 2022
 
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