bocaocongty 5901151243 - Bonds YANG TRUNG WIND POWER JOINT STOCK COMPANY

bocaocongty Vietnamese name CÔNG TY CỔ PHẦN PHONG ĐIỆN YANG TRUNG
English name YANG TRUNG WIND POWER JOINT STOCK COMPANY
Short name PHONG ĐIỆN YANG TRUNG
Business ID/ Tax ID 5901151243
Head office 99B Pham Van Dong, Thong Nhat Ward, Pleiku City, Gia Lai Province, Vietnam
Date of registration 03/08/2020
Legal type of business Non-state joint stock company
Operating status Active (Issued with certification)
Financial Statement Vietnamese accounting standards and regime
Main business lines Electricity production
Last update 02/05/2024

History of unusual information about bonds

Bond code YTWCH2124003, YTWCH2123002, YTWCH2125005, YTWCH2126006, YTWCH2124004
Date 25/03/2023

Bonds issued

1. Bond code YTWCH2126006
Denominations 1.000.000,00 VND
Period 57 Months
Remaining term 857 Day
Release date 22/12/2021
Date due 22/09/2026
Interest payment method Periodic - End of term
Release volume 260.000,00)
Acquisition volume 00,00
Volume still in circulation 260.000,00
Depository organization Saigon - Hanoi Securities Joint Stock Company
Issuing interest rate (%) 10.75
Status Normal
2. Bond code YTWCH2125005
Denominations 1.000.000,00 VND
Period 45 Months
Remaining term 492 Day
Release date 22/12/2021
Date due 22/09/2025
Interest payment method Periodic - End of term
Release volume 260.000,00)
Acquisition volume 00,00
Volume still in circulation 260.000,00
Depository organization Saigon - Hanoi Securities Joint Stock Company
Issuing interest rate (%) 10.75
Status Normal
3. Bond code YTWCH2124003
Denominations 1.000.000,00 VND
Period 36 Months
Remaining term 127 Day
Release date 22/09/2021
Date due 22/09/2024
Interest payment method Periodic - End of term
Release volume 230.000,00)
Acquisition volume 00,00
Volume still in circulation 230.000,00
Depository organization Saigon - Hanoi Securities Joint Stock Company
Issuing interest rate (%) 10.75
Status Normal
4. Bond code YTWCH2124004
Denominations 1.000.000,00 VND
Period 33 Months
Remaining term 127 Day
Release date 22/12/2021
Date due 22/09/2024
Interest payment method Periodic - End of term
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
5. Bond code YTWCH2123002
Denominations 1.000.000,00 VND
Period 24 months
Remaining term -239 Day
Release date 22/09/2021
Date due 22/09/2023
Interest payment method Periodic - End of term
Release volume 140.000,00)
Acquisition volume 70.000,00
Volume still in circulation 70.000,00
Depository organization Saigon - Hanoi Securities Joint Stock Company
Issuing interest rate (%) 10.75
Status Cancel part
6. Bond code YTWCH2122001
Denominations 1.000.000,00 VND
Period 12 months
Remaining term -604 Day
Release date 22/09/2021
Date due 22/09/2022
Interest payment method Once due
Release volume 130.000,00)
Acquisition volume 130.000,00
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
3511 Electricity production
3520 Production of gas, distribution of gas through pipelines
4322 Installation of water supply and drainage systems, heating and air conditioning systems
4933 Road freight transport.