On September 09, 2020, the Board of Directors of Kosy Joint Stock Company approved the redemption of KOS.BOND.2018 prior to maturity as follows:
− Issuer: Kosy Joint Stock Company
− Bond code: KOS.BOND.2018
− Total issued value: VND235,000,000,000
− Par value: VND1,000,000,000/bond
− Total issued volume: 235 bonds
− Issue date: December 28, 2018
− Maturity date: December 28, 2021
− Maximum volume of the second redemption: 20 bonds
− Repurchase price: VND1,000,000,000/bond
− Trading time for the second redemption: September 30, 2020
− Payment date: September 30, 2020
− Fee of the first redemption: 0.5% of total par value of the repurchased bonds
− Agent: Vietnam International Securities Joint Stock Company.