ISSUING COVERD WARRANT 13/08/2025 AT PHS

CW code Underlying stock Type of CW Offering price (VND) Exercise price
(VND)
Volume Conversion rate Expiration Date (*) Maturity date
CMWG2517 MWG Call 1,370 76,401 4,000,000 8.8723:1 10 25/05/2026
CMWG2518 MWG Call 1,370 82,611 4,000,000 6.9007:1 12 23/07/2026
CMWG2516 MWG Call 1,400 79,851 4,000,000 7.8865:1 11 23/06/2026
CVHM2519 VHM Call 1,500 108,200 4,000,000 7:1 10 25/05/2026
CVHM2520 VHM Call 1,500 111,900 4,000,000 5:1 12 23/07/2026
CTPB2506 TPB Call 1,170 17,700 4,000,000 2:1 12 23/07/2026
CVRE2521 VRE Call 1,500 35,700 4,000,000 2:1 12 23/07/2026
CVRE2520 VRE Call 1,500 32,700 4,000,000 3:1 11 23/06/2026
CSTB2524 STB Call 1,390 53,900 4,000,000 5:1 11 23/06/2026
CSTB2525 STB Call 1,500 57,200 4,000,000 4:1 12 23/07/2026
CVPB2522 VPB Call 1,250 24,650 4,000,000 2:1 12 23/07/2026
CVPB2521 VPB Call 1,120 22,150 4,000,000 3:1 12 23/07/2026
CVNM2520 VNM Call 1,250 66,100 4,000,000 7:1 12 23/07/2026
CHPG2532 HPG Call 1,190 31,200 4,000,000 3:1 12 23/07/2026
CHPG2531 HPG Call 1,000 29,900 4,000,000 4:1 11 23/06/2026
CHPG2530 HPG Call 1,250 28,600 4,000,000 3:1 11 23/06/2026
CHPG2529 HPG Call 1,000 28,050 4,000,000 4:1 10 25/05/2026
CFPT2521 FPT Call 1,190 122,500 4,000,000 19:1 11 23/06/2026
CFPT2520 FPT Call 1,310 131,400 4,000,000 15:1 12 23/07/2026

 

 

ISSUING COVERD WARRANT AT PHS

CW code CW Public announcements Underlying stock Type of CW

Exercise price

(VND)

Offering price

(VND)

Issuance date Maturity date Conversion rate Volume
HPG.02.PHS.C.EU.Cash

Prospectus 

Issuance Notice

Certificate 

HPG Call 21.450 1.500 30/05/2023 29/02/2024 2:1 3.000.000
STB.01.PHS.C.EU.Cash 

Prospectus 

Issuance Notice

Certificate 

STB Call 27.700 1.700 30/05/2023 30/11/2023 2:1 3.000.000