MaSan Group Corporation announces the record date for the first interest payment of MSN11719 Bond as follows:
- Bond name: MSN102019 Bond
- Bond code: MSN11719
- ISIN code: VN0MSN117194
- Securities type: corporate bond
- Par value: VND100,000
- Ex-right date: March 18, 2019
- Record date: March 19, 2019
- Purpose: to execute the 3rd interest installment (from and including October 02, 2018 to and excluding April 02, 2019).
- Payment ratio: 9.0%/year
- Payment amount: VND4,550/bond
- Payment date: April 02, 2019.