CMC Corporation reports the payment of interest and principal of corporate bond (Period: from 04/01/2022 to 09/30/2022)as follows:
No.
Bond code
Term
Issue date
Issue value (based on par value)
Outstanding value (based on par value)
Interest Payment term (month)
Payment dated as planned
Interest payment
Principle payment
Amount to be paid
Amount paid
Actual payment date
1
CMG29032019
05 years
03/29/2019
300,000,000,000
280,000,000,000
6
09/29/2022
11,475,550,685
0