CONTENT
As Facility Agent we hereby notify that the redemption of Stock Code VG180050 and the semi-annual interest payment for the following stocks in respect of the above facility will be due and payable on 29 January 2021:-
1. VG180050
2. VH180051
3. VI180052
4. VJ180053
5. VK180054
6. VL180055
7. VM180056
8. VN180057
9. VO180058
10. VP180059
11. VQ180060
12. VR180061
13. VS180062
14. VT180063
15. VU180064
16. VV180065
Please be notified accordingly.
*** DISCLAIMER ***
THIS COMPUTER SYSTEMS AND APPLICATIONS ARE OWNED AND OPERATED BY BURSA MALAYSIA.