Petrovietnam Securities Incorporated announces the plan for the fifth bond issuance in 2021 with details as follows:
- Issuer: Petrovietnam Securities Incorporated
- Bond type: non-convertible bond, unsecured
- Bond code: PSIH2122005
- Total value of issuance: VND300,000,000,000
- Bond term: 12 months
- Interest rate: 9%/year
- Interest payment term: Once every 06 months
- Par value: VND100,000,000/bond
- Issuance time: Quarter 4/2021
- Issuance price: 100% par value.