Coteccons Construction Joint Stock Company announces the information on the public offering of bonds as follows:
1) Issuer: Coteccons Construction Joint Stock Company
2) Bond name: Coteccons Construction Joint Stock Company Bond
3) Bond type: non-convertible bond, unsecured and without warrants
4) Bond code: none
5) Par value: VND1,000,000,000/bond
6) Registered offering volume: 500 bonds
7) Total value (based on par value): VND500,000,000,000
8) Bond term: 03 years
9) Interest rate: 9.5%/year
10) Interest payment term: Once every six months
11) Offering price: VND100,000/bond
12) Minimum registration volume:
- For individual investors: minimum 20 bonds.
- For institutional investors: 50 bonds.
13) Time for subscription and deposit: from December 24, 2021 to January 12, 2022
14) Place to receive subscription: at SSI Securities Corporation (Address: Floor 18th, Saigon Centre, 67 Le Loi, Ben Nghe Ward, district 1, Hochiminh.)
15) Bank for blocking depository money:
- Account holder: Coteccons Construction Joint Stock Company
- Account number: 0000188423315
- Bank: MBBank – Sai Gon branch.