5901151243 - Bonds YANG TRUNG WIND POWER JOINT STOCK COMPANY
Vietnamese name | CÔNG TY CỔ PHẦN PHONG ĐIỆN YANG TRUNG |
YANG TRUNG WIND POWER JOINT STOCK COMPANY | |
|
PHONG ĐIỆN YANG TRUNG |
5901151243 | |
99B Pham Van Dong, Thong Nhat Ward, Pleiku City, Gia Lai Province, Vietnam | |
03/08/2020 | |
|
Non-state joint stock company |
Active (Issued with certification) | |
Vietnamese accounting standards and regime | |
Electricity production | |
02/05/2024 | |
Established on 03/08/2020, CÔNG TY CỔ PHẦN PHONG ĐIỆN YANG TRUNG (shortened as PHONG ĐIỆN YANG TRUNG) has a tax ID of 5901151243 . The company is headquartered at 99B Pham Van Dong, Thong Nhat Ward, Pleiku City, Gia Lai Province, Vietnam and operates in Electricity production . |
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 | 670 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 | 305 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 | -60 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 | -60 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 | -426 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 | -791 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 |