vietnamcompanycheck 4500621757 - Bonds XUAN THIEN THUAN BAC JOINT STOCK COMPANY

vietnamcompanycheck Vietnamese name CÔNG TY CỔ PHẦN XUÂN THIỆN THUẬN BẮC
English name XUAN THIEN THUAN BAC JOINT STOCK COMPANY
Short name XUÂN THIỆN THUẬN BẮC
Business ID/ Tax ID 4500621757
Head office SN 128, 16/4 Street, My Hai Ward, City. Phan Rang-Thap Cham, Ninh Thuan Province
Tel
Fax
Date of registration 15/03/2018
Legal type of business Non-state joint stock company
Operating status Active (Issued with certification)
Financial Statement Vietnamese accounting standards and regime
Last update 02/05/2024
XUAN THIEN THUAN BAC JOINT STOCK COMPANY was founded on 15/03/2018 with the tax ID 4500621757 and is located at SN 128, 16/4 Street, My Hai Ward, City. Phan Rang-Thap Cham, Ninh Thuan Province . The company is currently Active (Issued with certification) .

Bonds issued

1. Bond code XTTB.2020.10Y
Denominations 1.000.000,00 VND
Period 10 years
Remaining term 2106 Day
Release date 28/08/2020
Date due 28/08/2030
Interest payment method Periodic - End of term
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
Status Cancel all
2. Bond code XTTB.2020.9Y
Denominations 1.000.000,00 VND
Period 9 Years
Remaining term 1741 Day
Release date 28/08/2020
Date due 28/08/2029
Interest payment method Periodic - End of term
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
Status Cancel all
3. Bond code XTTB.2020.8Y
Denominations 1.000.000,00 VND
Period 8 years
Remaining term 1376 Day
Release date 28/08/2020
Date due 28/08/2028
Interest payment method Periodic - End of term
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
Status Cancel all
4. Bond code XTTB.2020.7Y
Denominations 1.000.000,00 VND
Period 7 Years
Remaining term 1010 Day
Release date 28/08/2020
Date due 28/08/2027
Interest payment method Periodic - End of term
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
Status Cancel all
5. Bond code XTTB.2020.6Y
Denominations 1.000.000,00 VND
Period 6 years
Remaining term 645 Day
Release date 28/08/2020
Date due 28/08/2026
Interest payment method Periodic - End of term
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
Status Cancel all
6. Bond code XTTB.2020.5Y
Denominations 1.000.000,00 VND
Period 5 years
Remaining term 280 Day
Release date 28/08/2020
Date due 28/08/2025
Interest payment method Periodic - End of term
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
Status Cancel all
7. Bond code XTTB.2020.4Y
Denominations 1.000.000,00 VND
Period 4 years
Remaining term -85 Day
Release date 28/08/2020
Date due 28/08/2024
Interest payment method Periodic - End of term
Release volume 120.000,00)
Acquisition volume 120.000,00
Volume still in circulation 00,00
Depository organization Saigon - Hanoi Securities Joint Stock Company
Issuing interest rate (%) 10
Status Cancel all
8. Bond code XTTB.2020.3Y
Denominations 1.000.000,00 VND
Period 3 years
Remaining term -451 Day
Release date 28/08/2020
Date due 28/08/2023
Interest payment method Periodic - End of term
Release volume 120.000,00)
Acquisition volume 120.000,00
Volume still in circulation 00,00
Depository organization Saigon - Hanoi Securities Joint Stock Company
Issuing interest rate (%) 10
Status Cancel all
9. Bond code XTTB.2020.2Y
Denominations 1.000.000,00 VND
Period 2 years
Remaining term -816 Day
Release date 28/08/2020
Date due 28/08/2022
Interest payment method Periodic - End of term
Release volume 100.000,00)
Acquisition volume 100.000,00
Volume still in circulation 00,00
Depository organization Saigon - Hanoi Securities Joint Stock Company
Issuing interest rate (%) 10
Status Cancel all
10. Bond code XTTB.2020.1Y
Denominations 1.000.000,00 VND
Period one year
Remaining term -1181 Day
Release date 28/08/2020
Date due 28/08/2021
Interest payment method Periodic - End of term
Release volume 114.000,00)
Acquisition volume 114.000,00
Volume still in circulation 00,00
Depository organization Saigon - Hanoi Securities Joint Stock Company
Issuing interest rate (%) 10
Status Cancel all

Registered business lines

Industry code Industry name
0210 Forestry Planting, Forest Care, and Seedling Production
0710 Iron Ore Mining
0722 Other Non-Iron Metal Ore Mining
0810 Stone, Sand, Gravel, and Clay Quarrying
2394 Manufacture of cement, lime, and plaster
2395 Manufacture of concrete and concrete products, cement, and plaster
2399 Manufacture of other non-metallic mineral products not elsewhere classified
2511 Manufacture of metal components
4311 Demolition
4312 Site preparation
4321 Installation of electrical systems
4322 Installation of water supply and drainage systems, heating and air conditioning systems
4329 Installation of other building installation systems
4390 Other specialized construction activities
4511 Wholesale trade of motor vehicles and other motor vehicles
4633 Wholesale of beverages
4659 Wholesale of machinery, equipment, and machine parts, other
4661 Wholesale of solid fuel, liquid fuel, gas, and related products
4662 Wholesale of metals and metal ores
4931 Passenger transport by road within the city and suburbs (excluding bus transport).
4933 Road freight transport.
5210 Warehousing and storage of goods
5224 Cargo handling
5510 Short-stay accommodation services
7730 Rental of machinery, equipment, and tangible goods (without operators).