MSN11906: Notice of interest rate for the 3rd interest payment of MSNPO2022_01 Bond
MaSan Group Corporation announces the interest rate for the 10th bond interest payment as follows:
- Bond name: MSNPO2022_01 Bond
- Bond code: MSN11906
- Bond type: corporate bond
- Par value: 100,000 VND/bond
- Interest rate: 9.2%/year
- Time of application: From and inclusive of the date of September 26, 2020 to and exclusive of the date of March 26, 2021
- Payment date: March 26, 2021.
HOSE
> HNX: Trading results of corporate bonds on 30/09/2020 (30/09/2020)
> Spurring prudent development of domestic corporate bond market (30/09/2020)
> SAM: Result of private bond issuance (29/09/2020)
> SAM: BOD approved the result of private bond issuance (29/09/2020)
> HNX: Trading results of corporate bonds on 29/09/2020 (29/09/2020)
> PDR: Result of bond redemption (the seventh issue of 2019) (29/09/2020)
> HDB: Board resolution on international convertible bonds (28/09/2020)
> VPL11812: Notice of interest rate for 10th bond interest payment (28/09/2020)
> VIC11901: Notice of interest rate for 4th bond interest payment (28/09/2020)