MaSan Group Corporation announces the information on the public offering of bonds as follows:
A. Information on the offering:
- Issuer: MaSan Group Corporation
- Bond name: MaSan Group Corporation
- Bond type: non-convertible bond, unsecured and without warrants
- Par value: VND100,000/bond
- Registered offering volume: 40,000,000 bonds:
- Phase 1: 20,000,000 bonds for MSNH2328001 bond;
- Phase 2: 20,000,000 bonds for MSNH2328002 bond.
B. Information on the first bond public offering:
- Bond name: MSNH2328001 bond
- Bond type: non-convertible bond, unsecured and without warrants
- Par value: VND100,000/bond
- Offering volume: 20,000,000 bonds
- Total value (at par value): VND2,000,000,000,000
- Term: 60 months
- Interest rate: the floating interest rate is equal to the sum of 3.28%/year and the reference rate of that interest period
- Interest payment term: Once every six months
- Offering price: VND100,000/bond
- Distribution method: via the issuance agent - MB Securities Joint Stock Company (MBS)
- Minimum registration volume:
- For institutional investors: VND500,000,000 (at par value)
- For individual investors: VND50,000,000 (at par value)
12. Subscription time: from February 23, 2023 to 17:00, March 16, 2023
13. Payment time: from February 23, 2023 to 15:00, March 17, 2023
14. Place to receive subscription:
- At Ha Noi: MB Building, Cat Linh, Dong Da, Ha Noi.
- At Ho Chi Minh: 259 Tran Hung Dao, Co Giang ward, district 1, Ho Chi Minh.
15. Issue date: expected on March 17, 2023
16. Place to publish Prospectus: https://www.mbs.com.vn
17. Bank for blocking depository money:
- Account holder: MaSan Group Corporation
- Account number: 6913806964237
- Bank: MBBank – So Giao dich 1 branch.