For Investors who holding idle funds, corporate bond is considered as a safe investment product with higher profit comparing to bank savings. As a distributor, RongViet assure to offer to our Clients a list of corporate bonds which are carefully evaluated and selected from prestigious issuers and guarantee to find buyers for distributed bonds at any time within bond tenor. Accordingly, Clients could make a plausible choice regarding to their demand as well as short-term/long-term financial planning.
BOND PORTFOLIO
HUNG THINH
Bond of Hung Thinh Incons Joint Stock Company (HTN)
• To widen the Issuer’s operating scale; • To invest in the Issuer’s programs and projects pursuant to government’s requirements of capital mobilization by bond issuance.
Conditions and Terms
• Bond Tenor:01 year • Par Value:VND 1,000,000/bond • Bond Type:Secured and non-convertible bond, and without warrant • Bond form:Book entry • Nominal Interest Rate: 10.5% p.a.
Repurchase Agreement
Issuer would repurchase the issued bonds prematurely in accordance with bondholders’ request towards any occurrence of infringing events.
Bond Trading Conditions
The issued bonds are only offered to less than one hundred (100) investors, excluding professional investors - domestic organizations and individuals, foreign organizations headquartered in Vietnam, and foreign individuals as prescribed by law.
Interest Rate schedule according to the liquidity package
Term (Month)
Fixed Package (%/p.a.)
Flexible Package (%/p.a.)
Non-term
0.10%
0.10%
01
5.30%
5.30%
02
6.00%
5.70%
03
6.50%
6.10%
04
6.90%
6.50%
05
7.20%
6.80%
06
7.70%
7.30%
07
7.80%
7.40%
08
7.90%
7.50%
09
8.10%
7.70%
10
8.20%
7.80%
11
8.30%
7.90%
• Fixed Package: RongViet will find a buyer to repurchase bonds on a specified date. • Flexible Package: RongViet will find a buyer to repurchase bonds on any day according to the Client's need.
Buy-Hold-to-Maturity Rate Schedule
Time
Interest rate
18 Jan 2021 - 14 Feb 2021
10.50%
15 Feb 2021 - 14 Mar 2021
9.75%
15 Mar 2021 - 14 Apr 2021
9.50%
15 Apr 2021 - 14 May 2021
9.25%
15 May 2021 - 14 Jun 2021
9.00%
15 Jun 2021 - 14 Jul 2021
8.75%
15 Jul 2021 - 14 Aug 2021
8.50%
15 Aug 2021 - 14 Sep 2021
8.25%
15 Sep 2021 - 14 Oct 2021
8.00%
15 Oct 2021 - 14 Nov 2021
7.50%
15 Nov 2021 - 31 Dec 2021
7.00%
This is the Rate schedule applicable in case customers buy bonds and do not use Rong Viet's liquidity package
NOVALAND
Bond of Novaland Investment Group Corporation (NOVALAND)
• To widen the Issuer’s operating scale; • To invest in the Issuer’s programs and projects pursuant to government’s requirements of capital mobilization by bond issuance.
Conditions and Terms
• Bond Tenor:02 years • Par Value: VND 1,000,000/bond • Bond Type: Secured and non-convertible bond, and without warrant • Bond form:Book entry • Nominal Interest Rate: 10% p.a.
Repurchase Agreement
Issuer would repurchase the issued bonds prematurely in accordance with bondholders’ request towards any occurrence of infringing events.
Bond Trading Conditions
Within one (01) year from the issue date, the issued bonds are only offered to less than one hundred (100) investors, excluding professional securities investors. After a year, that limitation number of investors is invalid.
Interest Rate Schedule
Term (Month)
Fixed Package (%/p.a.)
Flexible Package (%/p.a.)
Non-term
0.1%
0.1%
01
5.3%
5.3%
02
6.0%
5.7%
03
6.5%
6.1%
04
6.9%
6.5%
05
7.2%
6.8%
06
7.7%
7.3%
09
8.1%
7.7%
12
8.4%
8.0%
• Fixed Package: RongViet will find a buyer to repurchase bonds on a specified date. • Flexible Package: RongViet will find a buyer to repurchase bonds on any day according to the Client's need.