|
Parameters |
42nd issue |
43rd issue |
|
Kind and type of bonds |
inscribed, interest-bearing, inconvertible, book-entry, exchange-traded bonds |
|
|
Issue volume (BYN) |
3 930 250 |
4 710 000 |
|
Number (quantity) |
25 000 |
10 000 |
|
Face value (BYN) |
157,21 |
471 |
|
Open sale period |
08.10.2025 - 04.10.2029 |
08.10.2025 - 04.10.2029 |
|
Trading period |
1 825 days (08.10.2025 - 07.10.2030) |
1 825 days (08.10.2025 - 07.10.2030) |
|
Maturity date |
07.10.2030 |
07.10.2030 |
|
Type and rate of return |
interest; |
interest; |
|
Frequency of interest income payments |
upon issue redemption |
upon issue redemption |
|
Scope of persons for trading |
Individuals, legal entities (including banks), individual entrepreneurs, residents or non-residents of the Republic of Belarus |
|
|
Note |
The issue of exchange-traded bonds is under the Exchange-Traded Bonds Program No. 1 |
|