On June 30, 2022, Sai Gon Thuong Tin Real Estate Joint Stock Company announces the result of the repurchase of bonds prior to maturity as follows:
Unit: billion dongs
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
SCRBOND2019
0.1
3
11/22/2019
11/22/2022
800
80
06/29/2022
720
1.1
HDDM-01
480
400
1.2
HDDM-02
100
-
1.3
HDDM-03
1.4
HDDM-04
60
1.5
HDDM-05