BAB124025: 1st Payment of Bond Interest (from 28/10/2024 inclusive to 28/10/2025 exclusive)
Viet Nam Securities Depository and Clearing Corporation (VSDC) would like to announce the record date of corporate action processing for the Securities registering institution as follows:
- Payment rate: 7,400 VND/bond
+ Interest amount of each bond = 100,000 VND * 7.4% *365/365 days = 7,500 VND
+ The total amount of bond interest actually received by the bondholder is rounded to the whole number (if the first dp is equal to or greater than 5, the amount is rounded up; if the first dp is less than 5 then the fractional part is removed);
- Payment date: 28/10/2025
- Payment place:
+ The holders whose bonds have been deposited will receive bond interest at the depository member where they opened depository account.
+ The holders whose securities have not been deposited will receive bond interest via accounts registered with Bac A Commercial Joint Stock Bank on 28/10/2025
Coordination details and procedures for corporate action processing for holders of the above securities between VSDC, the Securities registering institution and depository members are specified in the Guideline on corporate action processing for securities holders at VSDC.
-
BAB124025: 2nd Payment of Bond Interest (from 28/10/2025 inclusive to 28/10/2026 exclusive); Payment of Bond Principal due to redemption of all bonds before maturity based on bond conditions in accordance with Resolution no.141/2023/NQ/HĐQT dated 30/11/2023 by the Board of Directors of Bac A Commercial Joint Stock Bank and Decision no.1759/2026/QĐ-BACABANK dated 23/9/2026 by the Deputy General Director of Bac A Commercial Joint Stock Bank
Date update 29/09/2026 - 16:58:34 -
BAB124025: Notification on transfer date of corporate bonds
Date update 09/01/2025 - 16:22:22 -
BAB124025: Certification of Bond Registration
Date update 15/11/2024 - 14:07:31
-
MDG: Postal Ballot
Date update 30/09/2026 - 10:50:16 -
TPB12541: 1st Payment of Bond Interest (from 11/11/2025 inclusive to 11/11/2026 exclusive)
Date update 29/09/2026 - 17:15:42 -
CVPB2606: Cancellation of Finalizing the List of Covered Warrant Owners
Date update 29/09/2026 - 17:13:00 -
TPB12541: Bond redemption before maturity
Date update 29/09/2026 - 17:08:13 -
CTCB2605: Cancellation of Finalizing the List of Covered Warrant Owners
Date update 29/09/2026 - 17:07:41 -
CMBB2607: Cancellation of Finalizing the List of Covered Warrant Owners
Date update 29/09/2026 - 17:01:43 -
CHPG2607: Cancellation of Finalizing the List of Covered Warrant Owners
Date update 29/09/2026 - 16:59:03 -
BAB124025: 2nd Payment of Bond Interest (from 28/10/2025 inclusive to 28/10/2026 exclusive); Payment of Bond Principal due to redemption of all bonds before maturity based on bond conditions in accordance with Resolution no.141/2023/NQ/HĐQT dated 30/11/2023 by the Board of Directors of Bac A Commercial Joint Stock Bank and Decision no.1759/2026/QĐ-BACABANK dated 23/9/2026 by the Deputy General Director of Bac A Commercial Joint Stock Bank
Date update 29/09/2026 - 16:58:34 -
GMD: Share issuance for raising share capital from owner's equity
Date update 29/09/2026 - 16:57:00 -
DRL: 1st Payment of Bond Interest (from 17/7/2026 inclusive to 19/10/2026 exclusive) (as 17/10/2026 is not a business day)
Date update 29/09/2026 - 16:56:27
