SII: Report on the results of bond redemption
Sai Gon Water Infrastructure Corporation announces the results of bond redemption prior to maturity as follows:
− Par value: VND1 billion
− Bond term: 05 years
− Issue date: December 23, 2016
− Due date: December 23, 2021
− Issue volume (at par value): VND380 billion
− Outstanding volume (at par value): VND21.25 billion
− Redemption volume (at par value): VND21.25 billion
− Trading date: May 25, 2021
− Remaining volume after trading (at par value): 0.
HOSE
> VCSC: Board resolution on the third private placement of bonds (27/05/2021)
> VCI: Board resolution on the third private placement of bonds (27/05/2021)
> CII: Registering and listing bonds (27/05/2021)
> CII: Announcement of private placement of VND200-billion bonds (27/05/2021)
> NPM11909: Notice of interest rate for the fifth bond interest payment (26/05/2021)
> SII: Board resolution on bond redemption (25/05/2021)
> NVT: Board resolution on a private placement of bonds (25/05/2021)
> BCM: Board resolution on the second private placement of bonds (25/05/2021)
> VCI: Board resolution on the second private placement of bonds (25/05/2021)
> GEG: Board resolution on the second public offering of bonds (25/05/2021)