OPC: Changes of right transference and purchase periods
OPC issued a public offering with details as follows:
- Stock type: common share
- Par value: 10,000VND
- Ex-right date: September 30, 2015
- Record date: October 02, 2015
Now, the company would like to adjust some contents as follows:
Content
Old information
Adjusted information
Time for rights transfer
From October 12, 2015 to November 02, 2015
From October 12, 2015 to November 20, 2015
Time for subscription and deposit to buy shares
From October 12, 2015 to November 09, 2015
From October 12, 2015 to November 25, 2015
HOSE
> SII: Board Resolution (05/10/2015)
> HQC: Information disclosure (05/10/2015)
> PGD: Notification insider trade (05/10/2015)
> BID: Result of public share offering (05/10/2015)
> STB: Board Resolution - Sep 30 (05/10/2015)
> PTB: Board Resolution on Public Offering (05/10/2015)
> KSA: Board Resolution – Oct 02 (05/10/2015)
> CTA: Result of transaction of institution (VNSTONE .,JSC) (05/10/2015)
> NHP: Notice of record date for issuing shares to outstanding shareholders (05/10/2015)