bocaocongty 4500643084 - Bonds PHUOC HUU WIND POWER JOINT STOCK COMPANY - DUYEN HAI 1

bocaocongty Vietnamese name CÔNG TY TRÁCH NHIỆM HỮU HẠN ĐIỆN GIÓ PHƯỚC HỮU - DUYÊN HẢI 1
English name PHUOC HUU WIND POWER JOINT STOCK COMPANY - DUYEN HAI 1
Business ID/ Tax ID 4500643084
Head office No. 14 Vo Truong Toan, Phuoc My Ward, City. Phan Rang-Thap Cham, Ninh Thuan
Date of registration 18/08/2020
Operating status Active (Issued with certification)
Financial Statement Vietnamese accounting standards and regime
Main business lines Electricity production
Last update 02/05/2024

Bonds issued

1. Bond code PHDCH2137016
Denominations 1.000.000,00 VND
Period 189 Months
Remaining term 4877 Day
Release date 24/12/2021
Date due 24/09/2037
Interest payment method Periodic - End of term
Release volume 100.000,00)
Acquisition volume 00,00
Volume still in circulation 100.000,00
Depository organization Saigon - Hanoi Securities Joint Stock Company
Issuing interest rate (%) 10.75
Status Normal
2. Bond code PHDCH2136015
Denominations 1.000.000,00 VND
Period 177 Months
Remaining term 4512 Day
Release date 24/12/2021
Date due 24/09/2036
Interest payment method Periodic - End of term
Release volume 100.000,00)
Acquisition volume 00,00
Volume still in circulation 100.000,00
Depository organization Saigon - Hanoi Securities Joint Stock Company
Issuing interest rate (%) 10.75
Status Normal
3. Bond code PHDCH2135014
Denominations 1.000.000,00 VND
Period 165 Months
Remaining term 4146 Day
Release date 24/12/2021
Date due 24/09/2035
Interest payment method Periodic - End of term
Release volume 100.000,00)
Acquisition volume 00,00
Volume still in circulation 100.000,00
Depository organization Saigon - Hanoi Securities Joint Stock Company
Issuing interest rate (%) 10.75
Status Normal
4. Bond code PHDCH2134013
Denominations 1.000.000,00 VND
Period 156 Months
Remaining term 3856 Day
Release date 08/12/2021
Date due 08/12/2034
Interest payment method Other
Release volume 80.000,00)
Acquisition volume 00,00
Volume still in circulation 80.000,00
Depository organization Saigon - Hanoi Securities Joint Stock Company
Issuing interest rate (%) 10.75
Status Normal
5. Bond code PHDCH2133012
Denominations 1.000.000,00 VND
Period 144 Months
Remaining term 3491 Day
Release date 08/12/2021
Date due 08/12/2033
Interest payment method Other
Release volume 80.000,00)
Acquisition volume 00,00
Volume still in circulation 80.000,00
Depository organization Saigon - Hanoi Securities Joint Stock Company
Issuing interest rate (%) 10.75
Status Normal
6. Bond code PHDCH2132011
Denominations 1.000.000,00 VND
Period 132 Months
Remaining term 3126 Day
Release date 08/12/2021
Date due 08/12/2032
Interest payment method Other
Release volume 70.000,00)
Acquisition volume 00,00
Volume still in circulation 70.000,00
Depository organization Saigon - Hanoi Securities Joint Stock Company
Issuing interest rate (%) 10.75
Status Normal
7. Bond code PHDCH2131010
Denominations 1.000.000,00 VND
Period 120 Months
Remaining term 2760 Day
Release date 08/12/2021
Date due 08/12/2031
Interest payment method Other
Release volume 70.000,00)
Acquisition volume 00,00
Volume still in circulation 70.000,00
Depository organization Saigon - Hanoi Securities Joint Stock Company
Issuing interest rate (%) 10.75
Status Normal
8. Bond code PHDCH2130009
Denominations 1.000.000,00 VND
Period 108 Months
Remaining term 2395 Day
Release date 08/12/2021
Date due 08/12/2030
Interest payment method Other
Release volume 70.000,00)
Acquisition volume 00,00
Volume still in circulation 70.000,00
Depository organization Saigon - Hanoi Securities Joint Stock Company
Issuing interest rate (%) 10.75
Status Normal
9. Bond code PHDCH2129008
Denominations 1.000.000,00 VND
Period 96 Months
Remaining term 2030 Day
Release date 08/12/2021
Date due 08/12/2029
Interest payment method Other
Release volume 60.000,00)
Acquisition volume 00,00
Volume still in circulation 60.000,00
Depository organization Saigon - Hanoi Securities Joint Stock Company
Issuing interest rate (%) 10.75
Status Normal
10. Bond code PHDCH2128007
Denominations 1.000.000,00 VND
Period 84 Months
Remaining term 1665 Day
Release date 08/12/2021
Date due 08/12/2028
Interest payment method Other
Release volume 60.000,00)
Acquisition volume 00,00
Volume still in circulation 60.000,00
Depository organization Saigon - Hanoi Securities Joint Stock Company
Issuing interest rate (%) 10.75
Status Normal
11. Bond code PHDCH2127006
Denominations 1.000.000,00 VND
Period 72 Months
Remaining term 1299 Day
Release date 08/12/2021
Date due 08/12/2027
Interest payment method Other
Release volume 60.000,00)
Acquisition volume 00,00
Volume still in circulation 60.000,00
Depository organization Saigon - Hanoi Securities Joint Stock Company
Issuing interest rate (%) 10.75
Status Normal
12. Bond code PHDCH2126005
Denominations 1.000.000,00 VND
Period 60 Months
Remaining term 934 Day
Release date 08/12/2021
Date due 08/12/2026
Interest payment method Other
Release volume 50.000,00)
Acquisition volume 00,00
Volume still in circulation 50.000,00
Depository organization Saigon - Hanoi Securities Joint Stock Company
Issuing interest rate (%) 10.75
Status Normal
13. Bond code PHDCH2125004
Denominations 1.000.000,00 VND
Period 48 Months
Remaining term 569 Day
Release date 08/12/2021
Date due 08/12/2025
Interest payment method Other
Release volume 40.000,00)
Acquisition volume 00,00
Volume still in circulation 40.000,00
Depository organization Saigon - Hanoi Securities Joint Stock Company
Issuing interest rate (%) 10.75
Status Normal
14. Bond code PHDCH2124003
Denominations 1.000.000,00 VND
Period 36 Months
Remaining term 204 Day
Release date 08/12/2021
Date due 08/12/2024
Interest payment method Other
Release volume 30.000,00)
Acquisition volume 00,00
Volume still in circulation 30.000,00
Depository organization Saigon - Hanoi Securities Joint Stock Company
Issuing interest rate (%) 10.75
Status Normal
15. Bond code PHDCH2123002
Denominations 1.000.000,00 VND
Period 24 months
Remaining term -162 Day
Release date 08/12/2021
Date due 08/12/2023
Interest payment method Periodic - End of term
Release volume 20.000,00)
Acquisition volume 20.000,00
Volume still in circulation 00,00
Depository organization Saigon - Hanoi Securities Joint Stock Company
Issuing interest rate (%) 10.75
Status Cancel all
16. Bond code PHDCH2122001
Denominations 1.000.000,00 VND
Period 12 months
Remaining term -527 Day
Release date 08/12/2021
Date due 08/12/2022
Interest payment method Periodic - End of term
Release volume 20.000,00)
Acquisition volume 20.000,00
Volume still in circulation 00,00
Depository organization Saigon - Hanoi Securities Joint Stock Company
Issuing interest rate (%) 10.75
Status Cancel all

Registered business lines

Industry code Industry name
0810 Stone, Sand, Gravel, and Clay Quarrying
2599 Manufacture of other fabricated metal products not elsewhere classified
3511 Electricity production
4322 Installation of water supply and drainage systems, heating and air conditioning systems
4649 Wholesale of other household goods
4659 Wholesale of machinery, equipment, and machine parts, other
4662 Wholesale of metals and metal ores
4663 Wholesale of materials and installation equipment for construction
4933 Road freight transport.
7110 Architectural activities and related technical consulting.
7730 Rental of machinery, equipment, and tangible goods (without operators).