vietnamcompanycheck 0302030508 - ACB SECURITIES COMPANY

vietnamcompanycheck Vietnamese name CÔNG TY TNHH CHỨNG KHOÁN ACB
English name ACB Securities Company
Short name ACBS
Business ID/ Tax ID 0302030508
Head office 41 Mac Dinh Chi, Da Kao Ward, District 1, Ho Chi Minh City, Vietnam
Tel
Email
Website
Date of registration 11/07/2000
Business ranking The company is ranked at 300 among the 1,000 largest taxpayer in Vietnam 2021
Legal type of business Non-state limited company
Operating status Active (Issued with certification)
Financial Statement Vietnamese accounting standards and regime
Main business lines Commodity and securities contracts brokerage activities.
Last update 02/05/2024
ACB Securities Company (abbreviated as ACBS) has a tax ID of 0302030508 and was registered on 11/07/2000 and its headquarters are located at 41 Mac Dinh Chi, Da Kao Ward, District 1, Ho Chi Minh City, Vietnam . The primary business activity is Commodity and securities contracts brokerage activities. .The company is Active (Issued with certification) .

Bonds issued

1. Bond code ACBCL2122004
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -749 Day
Release date 04/09/2021
Date due 04/11/2022
Interest payment method Once due
Release volume 50,00)
Acquisition volume 50,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 7.8
Status Cancel all
2. Bond code ACBCH2122006
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -839 Day
Release date 06/08/2021
Date due 06/08/2022
Interest payment method Once due
Release volume 100,00)
Acquisition volume 100,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 7.4
Status Cancel all
3. Bond code ACBCH2122007
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -891 Day
Release date 15/06/2021
Date due 15/06/2022
Interest payment method Once due
Release volume 186,00)
Acquisition volume 186,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 7.2
Status Cancel all
4. Bond code ACBCL2122005
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -947 Day
Release date 20/04/2021
Date due 20/04/2022
Interest payment method Once due
Release volume 100,00)
Acquisition volume 100,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 7.6
Status Cancel all
5. Bond code ACBCL2122003
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -968 Day
Release date 30/03/2021
Date due 30/03/2022
Interest payment method Once due
Release volume 300,00)
Acquisition volume 300,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 7.65
Status Cancel all
6. Bond code ACBCL2122002
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -976 Day
Release date 22/03/2021
Date due 22/03/2022
Interest payment method Once due
Release volume 130,00)
Acquisition volume 130,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 7.8
Status Cancel all
7. Bond code ACBCL2122001
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -981 Day
Release date 17/03/2021
Date due 17/03/2022
Interest payment method Once due
Release volume 120,00)
Acquisition volume 120,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 7.8
Status Cancel all
8. Bond code ACBS BOND 2020-26
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1101 Day
Release date 17/11/2020
Date due 17/11/2021
Interest payment method Periodic - End of term
Release volume 69,00)
Acquisition volume 69,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 7.1
Status Cancel all
9. Bond code ACBS BOND 2020-25
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1102 Day
Release date 16/11/2020
Date due 16/11/2021
Interest payment method Periodic - End of term
Release volume 60,00)
Acquisition volume 60,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 7.1
Status Cancel all
10. Bond code ACBS BOND 2020-24
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1103 Day
Release date 13/11/2020
Date due 15/11/2021
Interest payment method Periodic - End of term
Release volume 05,00)
Acquisition volume 05,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 7.1
Status Cancel all
11. Bond code ACBS BOND 2020-14
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1112 Day
Release date 06/09/2020
Date due 06/11/2021
Interest payment method Periodic - End of term
Release volume 04,00)
Acquisition volume 04,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 8
Status Cancel all
12. Bond code ACBS BOND 2020-16
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1235 Day
Release date 06/05/2020
Date due 06/07/2021
Interest payment method Periodic - End of term
Release volume 13,00)
Acquisition volume 13,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 7.8
Status Cancel all
13. Bond code ACBS BOND 2020-7
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1235 Day
Release date 06/05/2020
Date due 06/07/2021
Interest payment method Periodic - End of term
Release volume 20,00)
Acquisition volume 20,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 7.8
Status Cancel all
14. Bond code ACBS BOND 2020-22
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1243 Day
Release date 26/06/2020
Date due 28/06/2021
Interest payment method Periodic - End of term
Release volume 08,00)
Acquisition volume 08,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 8
Status Cancel all
15. Bond code ACBS BOND 2020-15
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1247 Day
Release date 24/06/2020
Date due 24/06/2021
Interest payment method Periodic - End of term
Release volume 30,00)
Acquisition volume 30,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 8
Status Cancel all
16. Bond code ACBS BOND 2020-21
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1247 Day
Release date 24/06/2020
Date due 24/06/2021
Interest payment method Periodic - End of term
Release volume 03,00)
Acquisition volume 03,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 8
Status Cancel all
17. Bond code ACBS BOND 2020-20
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1250 Day
Release date 19/06/2020
Date due 21/06/2021
Interest payment method Periodic - End of term
Release volume 05,00)
Acquisition volume 05,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 8
Status Cancel all
18. Bond code ACBS BOND 2020-17
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1257 Day
Release date 06/12/2020
Date due 14/06/2021
Interest payment method Periodic - End of term
Release volume 20,00)
Acquisition volume 20,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 8
Status Cancel all
19. Bond code ACBS BOND 2020-18
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1257 Day
Release date 06/12/2020
Date due 14/06/2021
Interest payment method Periodic - End of term
Release volume 28,00)
Acquisition volume 28,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 8
Status Cancel all
20. Bond code ACBS BOND 2020-19
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1257 Day
Release date 06/12/2020
Date due 14/06/2021
Interest payment method Periodic - End of term
Release volume 18,00)
Acquisition volume 18,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 8
Status Cancel all
21. Bond code ACBS BOND 2020-11
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1271 Day
Release date 29/05/2020
Date due 31/05/2021
Interest payment method Periodic - End of term
Release volume 10,00)
Acquisition volume 10,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 7.8
Status Cancel all
22. Bond code ACBS BOND 2020-12
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1271 Day
Release date 29/05/2020
Date due 31/05/2021
Interest payment method Periodic - End of term
Release volume 10,00)
Acquisition volume 10,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 8
Status Cancel all
23. Bond code ACBS BOND 2020-13
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1271 Day
Release date 29/05/2020
Date due 31/05/2021
Interest payment method Periodic - End of term
Release volume 10,00)
Acquisition volume 10,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 8
Status Cancel all
24. Bond code ACBS BOND 2020-5
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1271 Day
Release date 29/05/2020
Date due 31/05/2021
Interest payment method Periodic - End of term
Release volume 10,00)
Acquisition volume 10,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 8
Status Cancel all
25. Bond code ACBS BOND 2020-8
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1271 Day
Release date 29/05/2020
Date due 31/05/2021
Interest payment method Periodic - End of term
Release volume 10,00)
Acquisition volume 10,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 8
Status Cancel all
26. Bond code ACBS BOND 2020-1
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1280 Day
Release date 22/05/2020
Date due 22/05/2021
Interest payment method Periodic - End of term
Release volume 10,00)
Acquisition volume 10,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 7.8
Status Cancel all
27. Bond code ACBS BOND 2020-10
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1280 Day
Release date 22/05/2020
Date due 22/05/2021
Interest payment method Periodic - End of term
Release volume 05,00)
Acquisition volume 05,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 8
Status Cancel all
28. Bond code ACBS BOND 2020-2
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1280 Day
Release date 22/05/2020
Date due 22/05/2021
Interest payment method Periodic - End of term
Release volume 12,00)
Acquisition volume 12,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 7.8
Status Cancel all
29. Bond code ACBS BOND 2020-3
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1280 Day
Release date 22/05/2020
Date due 22/05/2021
Interest payment method Periodic - End of term
Release volume 63,00)
Acquisition volume 63,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 7.8
Status Cancel all
30. Bond code ACBS BOND 2020-4
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1280 Day
Release date 22/05/2020
Date due 22/05/2021
Interest payment method Periodic - End of term
Release volume 12,00)
Acquisition volume 12,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 7.8
Status Cancel all
31. Bond code ACBS BOND 2020-6
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1280 Day
Release date 22/05/2020
Date due 22/05/2021
Interest payment method Periodic - End of term
Release volume 20,00)
Acquisition volume 20,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 8
Status Cancel all
32. Bond code ACBS BOND 2020-9
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1280 Day
Release date 22/05/2020
Date due 22/05/2021
Interest payment method Periodic - End of term
Release volume 10,00)
Acquisition volume 10,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 7.8
Status Cancel all
33. Bond code ACBS BOND 2020-23
Denominations 1.000.000.000,00 VND
Period one year
Remaining term -1321 Day
Release date 11/04/2020
Date due 11/04/2021
Interest payment method Periodic - End of term
Release volume 20,00)
Acquisition volume 20,00
Volume still in circulation 00,00
Depository organization ACB Securities Company Limited
Issuing interest rate (%) 7.1
Status Cancel all

History of company

Items Previous information Last update
Legal representative Andrew Colin Vallis 06-10-2022

Registered business lines

Industry code Industry name
6612 Commodity and securities contracts brokerage activities.