Electrical Equipment Joint Stock Company reports the payment of interest and principal of corporate bond as follows:
Report on the payment of bond interest and principal:
(Period: from 01/01/2022 to 30/06/2022)
Bond code
BM2200753247
Term
05 years
Issue date
31/12/2021
Currency unit
VND
Issue value (at par value)
400,000,000,000
Outstanding value (at par value)
Interest payment period
every 03 months
Scheduled payment date
Interest payment
+ Interest payable
6,821,917,808
7,479,452,055
+ Interest paid
+ Payment date
31/03/2022
30/06/2022
Principal payment
+ Principal payable
+ Principal paid
Reason for late payment (if any)