bocaocongty 0109519890 - Bonds KSFINANCE INVESTMENT JOINT STOCK COMPANY

bocaocongty Vietnamese name CÔNG TY CỔ PHẦN ĐẦU TƯ KSFINANCE
English name KSFINANCE INVESTMENT JOINT STOCK COMPANY
Short name KSFINANCE
Business ID/ Tax ID 0109519890
Head office 1st Floor, Tower A, King Palace Building, 108 Nguyen Trai, Thuong Dinh Ward, Thanh Xuan District, Hanoi
Tel 02473039999
Date of registration 03/02/2021
Social insurance debt history
- Overdue record on 29/02/2024. Published by the Hanoi Social Insurance Department on 05/03/2024
- Overdue record on 31/12/2023. Published by the Ha Noi Social Insurance Department on 05/01/2024
- Overdue record on 30/06/2023. Published by the Hanoi Social Insurance Department on 05/07/2023
Operating status Active (Issued with certification)
Financial Statement Vietnamese accounting standards and regime
Last update 02/05/2024

Bonds issued

1. Bond code PTCH2021006
Denominations 100.000,00 VND
Period 366 Days
Remaining term -932 Day
Release date 28/10/2020
Date due 29/10/2021
Interest payment method Periodic - End of term
Release volume 5.000.000,00)
Acquisition volume 5.000.000,00
Volume still in circulation 00,00
Depository organization Tien Phong Securities Joint Stock Company
Issuing interest rate (%) 0
Status Cancel all
2. Bond code PT-2019.09
Denominations 100.000,00 VND
Period 18 months
Remaining term -1145 Day
Release date 30/09/2019
Date due 30/03/2021
Interest payment method Periodic - End of term
Release volume 4.000.000,00)
Acquisition volume 4.000.000,00
Volume still in circulation 00,00
Depository organization Tan Viet Securities Joint Stock Company
Issuing interest rate (%) 11
Status Cancel all
3. Bond code PT100B_170120
Denominations 100.000,00 VND
Period one year
Remaining term -1217 Day
Release date 17/01/2020
Date due 17/01/2021
Interest payment method Periodic - End of term
Release volume 1.000.000,00)
Acquisition volume 1.000.000,00
Volume still in circulation 00,00
Depository organization VPS Securities Joint Stock Company
Issuing interest rate (%) 11.5
Status Cancel all
4. Bond code PT100A_160120
Denominations 100.000,00 VND
Period one year
Remaining term -1218 Day
Release date 16/01/2020
Date due 16/01/2021
Interest payment method Periodic - End of term
Release volume 1.000.000,00)
Acquisition volume 1.000.000,00
Volume still in circulation 00,00
Depository organization VPS Securities Joint Stock Company
Issuing interest rate (%) 11.5
Status Cancel all
5. Bond code PT200_150120
Denominations 100.000,00 VND
Period one year
Remaining term -1219 Day
Release date 15/01/2020
Date due 15/01/2021
Interest payment method Periodic - End of term
Release volume 2.000.000,00)
Acquisition volume 2.000.000,00
Volume still in circulation 00,00
Depository organization VPS Securities Joint Stock Company
Issuing interest rate (%) 11.5
Status Cancel all
6. Bond code PT300B_140120
Denominations 100.000,00 VND
Period one year
Remaining term -1220 Day
Release date 14/01/2020
Date due 14/01/2021
Interest payment method Periodic - End of term
Release volume 3.000.000,00)
Acquisition volume 3.000.000,00
Volume still in circulation 00,00
Depository organization VPS Securities Joint Stock Company
Issuing interest rate (%) 11.5
Status Cancel all
7. Bond code PT300A_130120
Denominations 100.000,00 VND
Period one year
Remaining term -1221 Day
Release date 13/01/2020
Date due 13/01/2021
Interest payment method Periodic - End of term
Release volume 3.000.000,00)
Acquisition volume 3.000.000,00
Volume still in circulation 00,00
Depository organization VPS Securities Joint Stock Company
Issuing interest rate (%) 11.5
Status Cancel all