On December 20, 2021, the Board of Directors of Viet Capital Securities Joint Stock Company approved the redemption of the bonds which were issued in 2020 as follows: Estimated redemption volume: 20,000 bonds. Par value: VND 10,000,000. Estimated redemption value: VND 200,000,000,000. Estimated trading date: from January 2022 to the end of March 2022, and after 10 days from the signing date of this resolution.