Announcement of book closing date and interest payment applicable to interest period 05 of Nhat Tin Bonds

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BVSC, as the Bond Registration, Depository, Payment, and Transfer Management Agent, would like to announce the interest rates applicable for Interest Period 05 (from and including November 12, 2022, to and excluding February 12, 2023) as follows:

Bond information:

Bond name: Bonds of Nhat Tin Investment Trading Development Joint Stock Company

Bond code:  NTLCH2123001

Face value:  100,000,000  VND

Release date:  November 12, 2021

Interest rate information for interest period 05:

Interest period 05: From and including November 12, 2022, to and excluding February 12, 2023

Number of interest calculation days: 92 days

Applicable interest rate: 11.5%

Interest payment date: February 12, 2023

Actual interest payment date: February 13, 2023

Details of the attached file.

Is pleased to announce!