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PTB: BOD resolution on planning the private placement of bonds
HSX - 10/28/2019 3:16:00 PM
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The Board resolution dated October 22, 2019, Phu Tai Joint Stock Corporation approved to plan the private placement of bonds with the following details:

-       Issuer:  Phu Tai Joint Stock Corporation

-       Securities code: PTB

-       Bond type: non-convertible bond, unsecured

-       Par value: 100,000,000 dongs/bond

-       Issue volume:  1,500 bonds; Of which:

+ Phase 1: 204 bonds;

+ Phase 2: 256 bonds;

+ Phase 3: 678 bonds;

+ Phase 4: 362 bonds.

-       Total issue value (based on par value): VND 150,000,000,000; Of which:

+ Phase 1: VND 20,400,000,000;

+ Phase 2: VND 25,600,000,000;

+ Phase 3: VND 67,800,000,000;

+ Phase 4: VND 36,200,000,000.

-       Issue form: private placement

-       Bond term: 05 years as from the issue date of the phase 1.

-       Issue date:

+ Phase 1: expected in November 2019;

+ Phase 2: expected in December 2019;

+ Phase 3: expected in January 2020;

+ Phase 4: expected in February 2020.

-       Maturity date:

+ Phase 1: expected in November 2024;

+ Phase 2: expected in November 2024;

+ Phase 3: expected in November 2024;

+ Phase 4: expected in November 2024.

-       Issue price: 100% par value

-       Bond interest: agreement with the bondholders

-       Interest payment term: Once every 03 months

-       Depository and payment agent: Military Commercial Joint Stock Bank

-       Collateral management agent: Military Commercial Joint Stock Bank – Binh Dinh Branch

-       Consulting firm and issue agent: MB Securities Joint Stock Company (MBS)

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