ACBS: Plan for bond redemption prior to maturity
The Board of Directors of ACB Securities Company Ltd. (ACBS) approved a plan for bond redemption prior to maturity in 2020 as follows:
− Trading time: periodically on 15th and 30th of every month. If these days fall on holidays, the trading time will be the next day.
- The estimated buyback quantity:
No.
Trading time
Trading volume
1
November 2020
142 bonds
2
December 2020
33 bonds
Total
175 bonds
HOSE
> VCSC: Notice of bond redemption prior to maturity (14/08/2020)
> NPM11805: Result of the second bond issuance of NPMPO2022_03 (13/08/2020)
> BCG: Report on the result of bond conversion (13/08/2020)
> NPM11909: Result of the second bond issuance of NPMPO2022_03 (13/08/2020)
> NPM11911: Result of the second bond issuance of NPMPO2022_03 (13/08/2020)
> NPM11907: Result of the second bond issuance of NPMPO2022_03 (13/08/2020)
> NPM11910: Result of the second bond issuance of NPMPO2022_03 (13/08/2020)
> PSI: BOD approved the second bond issuance plan for 2020 (13/08/2020)
> HCMA0805: Notice of delisting municipal bond (13/08/2020)
> HCMA0505: Notice of delisting municipal bond (13/08/2020)