Information disclosure of adjustment to covered warrant CNVL2103
Information disclosure of adjustment to covered warrant CNVL2103
24/12/2021
Ho Chi Minh City, December 24, 2021
Ref: 2009/2021/CV-SSIHO
INFORMATION DISCLOSURE
OF ADJUSTMENT TO COVERED WARRANTS
To: - The State Securities Commission
- Hochiminh Stock Exchange
- Hanoi Stock Exchange
- Vietnam Securities Depository
- Issuer: SSI SECURITIES CORPORATION
- Warrant code: CNVL2103
- Underlying stock ticker: NVL
- Warrant type (call/put): Call warrant
- Warrant form (US/European): European style
- Settlement method (in cash/underlying stock transfer): in cash
- Warrant period: 5 months
- Maturity date: January 19, 2021
- Adjustment date: December 24, 2021
- Reasons for adjustment: No Va Land Investment Group Corporation (NVL) paid stock dividends with ratio 100:31 of per share

This information was posted on SSI website on December 24, 2021 at this link www.ssi.com.vn.
SSI Securities Corporation hereby declare to be responsible for the accuracy and completeness of the above information.
ON BEHALF OF SSI SECURITIES CORPORATION
Party authorized to disclose information
Nguyễn Hồng Nam
Chief Executive Officer