Friday, 24/07/2020 16:05

CII: Result of bond redemption

Ho Chi Minh City Infrastructure Investment Joint Stock Company (CII) announces the result of redemption of bonds before maturity as follows:

−        Bond name: Convertible bond of Ho Chi Minh City Infrastructure Investment Joint Stock Company

−        Issue date: July 11, 2017

−        Maturity date: July 11, 2022

−        Total volume before redemption: 200 bonds

−        Redemption volume: 200 bonds

−        Remaining volume after redemption: 0 bonds

−        Trading price: according to the agreement signed by CII and Rhinos Vietnam Convertible Bond Private Investment Fund No.2

−        Payment date: July 13, 2020 (because July 11, 2020 is not a business day)

−        Result of bond redemption:

 

No.

 

Bondholder

Owning value before redemption

Redemption value registered by bondholders (USD)

Redemption value made by the issuer (VND)

Owning value after redemption

I

Local investor

 

 

 

 

1

Institutional investor

 

 

 

 

2

Individual investor

 

 

 

 

II

Foreign investor

 

 

 

 

1

Institutional investor

20,000,000

20,000,000

20,000,000

0

2

Individual investor

 

 

 

 

 

Total

20,000,000

20,000,000

20,000,000

0

Note: the bond value is calculated at par value.

HOSE

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