First trading date of Goverment bonds (CPB0810028, CPB0811029)
- Issuer: State Treasury
- Bond name: government bond
- Bond type: government issued by method of underwriting (series 13/2008)
- Bond form: book entry
- Par value: VND 100,000
- Total listed volume: 15,300,000 bonds
- Total listed value: VND 1,530 billion
Bond code
Issue date
Term (year)
Coupon rate (%/year)
Total listed volume (bonds)
Total listed value (VND bil.)
CPB0810028
20/8/2008
2
16.50
8,350,000
835
CPB0811029
3
6,950,000
695
- Principal and coupon payment method: Bond principal is paid once at the par value on the maturity date. Coupon is paid on the issue date of each year (first coupon payment is on 20/8/2009). At maturity, if the bond holder has not come to get principal and coupon payments, the principal and coupon payments will be reserved without interest after the maturity date.
- First trading date: Wednesday, 03/9/2008
HaSTC
> Admission in principle of additional listing of BTS (27/08/2008)
> HASTC Notice: Cau Xay JSC applied for listing (27/08/2008)
> OTC market bustling again as listed market recovers (27/08/2008)
> VN-Index exceeds 560 points, HASTC-Index closes above 180 points (27/08/2008)
> GIL: Insider trading (27/08/2008)
> TTF: Explanation for business result in Q2 (27/08/2008)
> SHC: Trading of affiliated person (27/08/2008)
> KDC: Listing and trading additional shares (27/08/2008)
> TYA: Listing and trading additional shares (27/08/2008)
> PRUBF1: NAV from 14 Aug 2008 to 21 Aug 2008 (27/08/2008)