Masan Group Corporation announces the third bond issuance under public offering as follows:
- Issuer: Masan Group Corporation
- Bond name: BondMSN032023
- Bond code: MSN05202301
- Bond type: non-convertible bond, unsecured and without warrant
- Par value: VND 100,000/bond
- Registered offering volume: 30,000,000 bonds
- Bond term: 03 years
- Bond payment term: Once every six months
- Bond interest rate:
- For the first year: 10%/year
- For the next periods: the sum of 3.2%/year and the reference rate which is the average interest of personal saving deposit with a term of 12 months, in VND, announced by BIDV – Headquarter, Vietcombank – Headquarter, VietinBank – Ha Noi Branch and Agribank – Headquarter on the determination date.
- Capital need to be mobilized: VND 3,000,000,000,000
- Purpose of offering: to increase capital to subsidiary
- Offering price: VND 100,000/bond
- Minimum bidding volume:
- Institutional investors: 500,000 bonds; equivalent to VND 50,000,000,000 (based on par value);
- Individual investors: 200,000 bonds; equivalent to VND 20,000,000,000 (based on par value).
- Subscription time: from April 21, 2020 to May 12, 2020.
- Issuance Organization: Techcom Securities Joint Stock Company (TCBS)
- Places for subscription and prospectus announcement:
- Issue agent: Techcom Securities Joint Stock Company (TCBS)
Address: 2nd Floor, Techcombank Tower, 191 Ba Trieu, Le Dai Hanh, Hai Ba Trung, Hanoi.
- The prospectus and relevant documents are posted on: https//www.tcbs.com.vn and https//masangroup.com.
- Estimated issue date: May 12, 2020
- Bank for blocking depository money:
- Account holder: Masan Group Corporation
- Account number: 188051588
- Bank: Vietnam Prosperity Joint Stock Commercial Bank.