On December 15, 2022, Viet Capital Securities Joint Stock Company reports the result of the repurchase of bonds before maturity as follows:
Unit: VND
No.
Bond code
Par value (VND)
Term
Issue date
Maturity date
Issue volume (at par value)
Outstanding volume
(at par value)
Repurchase volume
Execution date
Remaining volume after the repurchase (at par value)
1
VB2020600.03031
10,000,000
02 years
From 11/09/2020 to 01/29/2021
From 11/09/2022 to 01/29/2023
348,350,000,000
44,200,000,000
28,800,000,000
12/05/2022
15,400,000,000
2
VCIH2123002
100,000,000
05/18/2021
05/18/2023
250,000,000,000
207,700,000,000
11/11/2022
42,300,000,000