Thursday, 23/04/2015 00:00

SSI: Notice of the issuance of SSIBOND022015

The Board of Directors of Sai Gon Securities Incorporation on April 15 approved the second phase of 2015 of bond issuance with the following items:

-          Bond: SSIBOND022015

-          Issue date: Quarter 2.2015

-          Issue volume: maximum: 600 bonds

-          Issue value (based on par value): maximum: VND300 billion

-          Bond type: secured, non-convertible bond; issued in VND and under the form of book-entry.

-          Par value: VND500 million/bond

-          Bond term: 02 years

-          Interest adjustment date: every 03 months

-          Interest rate: calculated by the total of a maximum of 1.5%/year and the average rate of saving interest rates in VND, deferred, term of 12 months, quoted at Vietnam’s banks: Vietcombank (Headquarter), BIDV (Headquarter Branch 1), VietinBank (Hanoi Branch), VIB (Ly Thuong Kiet Branch, Hanoi city).

-          Interest payment schedule: paid annually.

-          Selling price: equal to the par value.

HOSE

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