0316211889 - Bonds HUNG THINH INVESTMENT JOINT STOCK COMPANY
Vietnamese name | CÔNG TY CỔ PHẦN HƯNG THỊNH INVESTMENT |
HUNG THINH INVESTMENT JOINT STOCK COMPANY | |
|
HUNG THINH INVESTMENT JSC |
0316211889 | |
110-112 Tran Quoc Toan, Vo Thi Sau Ward, District 3, Ho Chi Minh City, Vietnam | |
20/03/2020 | |
|
Non-state joint stock company |
Active (Issued with certification) | |
Vietnamese accounting standards and regime | |
Real estate consulting, brokerage, auctioning, and auctioning of land use rights. | |
02/05/2024 | |
History of unusual information about bonds
1. Bond code | H39CH2224003 |
Date | 09/06/2023 |
2. Bond code | H39CH2123004 |
Date | 02/06/2023 |
3. Bond code | H39CH2225002 |
Date | 29/05/2023 |
4. Bond code | H39CH2123002 |
Date | 18/05/2023 |
5. Bond code | H39CH2225002 |
Date | 15/05/2023 |
6. Bond code | H39CH2123004 |
Date | 05/05/2023 |
7. Bond code | H39CH2123004 |
Date | 28/03/2023 |
8. Bond code | H39CH2224003 |
Date | 16/03/2023 |
Bonds issued
1. Bond code | H39CH2229001 |
Denominations | 100.000.000,00 VND |
Period | 84 Months |
Remaining term | 1687 Day |
Release date | 14/01/2022 |
Date due | 14/01/2029 |
Interest payment method | Periodic - End of term |
Release volume | 20.000,00) |
Acquisition volume | 00,00 |
Volume still in circulation | 20.000,00 |
Depository organization | Tien Phong Commercial Joint Stock Bank |
Issuing interest rate (%) | 9 |
Status | Normal |
2. Bond code | H39CH2225002 |
Denominations | 1.000.000,00 VND |
Period | 30 Months |
Remaining term | 487 Day |
Release date | 08/10/2022 |
Date due | 02/10/2025 |
Interest payment method | Periodic - End of term |
Release volume | 161.750,00) |
Acquisition volume | 00,00 |
Volume still in circulation | 161.750,00 |
Depository organization | Petroleum Securities Joint Stock Company |
Issuing interest rate (%) | 10.5 |
Status | Normal |
3. Bond code | H39CH2224003 |
Denominations | 1.000.000,00 VND |
Period | 24 months |
Remaining term | 88 Day |
Release date | 29/08/2022 |
Date due | 29/08/2024 |
Interest payment method | Periodic - End of term |
Release volume | 742.129,00) |
Acquisition volume | 00,00 |
Volume still in circulation | 742.129,00 |
Depository organization | Petroleum Securities Joint Stock Company |
Issuing interest rate (%) | 10.5 |
Status | Normal |
4. Bond code | H39CH2123004 |
Denominations | 100.000,00 VND |
Period | 24 months |
Remaining term | -163 Day |
Release date | 22/12/2021 |
Date due | 22/12/2023 |
Interest payment method | Periodic - End of term |
Release volume | 6.000.000,00) |
Acquisition volume | 00,00 |
Volume still in circulation | 6.000.000,00 |
Depository organization | Thu Do Securities Joint Stock Company |
Issuing interest rate (%) | 11 |
Status | Normal |
5. Bond code | H39CH2123002 |
Denominations | 1.000.000,00 VND |
Period | 2 years |
Remaining term | -199 Day |
Release date | 16/11/2021 |
Date due | 16/11/2023 |
Interest payment method | Periodic - End of term |
Release volume | 800.000,00) |
Acquisition volume | 00,00 |
Volume still in circulation | 800.000,00 |
Depository organization | BETA Securities Joint Stock Company |
Issuing interest rate (%) | 11 |
Status | Normal |
6. Bond code | H39CH2122001 |
Denominations | 1.000.000,00 VND |
Period | 12 months |
Remaining term | -872 Day |
Release date | 12/01/2021 |
Date due | 12/01/2022 |
Interest payment method | Periodic - End of term |
Release volume | 350.000,00) |
Acquisition volume | 350.000,00 |
Volume still in circulation | 00,00 |
Depository organization | Bao Viet Securities Joint Stock Company |
Issuing interest rate (%) | 11 |
Status | Cancel all |