Kosy Joint Stock Company announces the result of redemption of bonds before maturity as follows:
− Issuer: Kosy Joint Stock Company
− Bond code: KOS.BOND.2018
− Par value: 1 billion dongs
− Bond term: 03 years
− Issue date: December 28, 2018
− Maturity date: December 28, 2021
− Issue value before redemption: 223 billion dongs
− Redemption volume: 0 bonds
− Redemption value: 0 dongs
− Trading date: September 30, 2020
− List of sellers: none
− List of holders after redemption:
No.
|
Holders
|
Owning value
|
1
|
PVI Opportunity Fund
|
223 billion dongs
|