Admitting bonds of Finprofit to placement and trading
Admitting bonds of Finprofit to placement and trading

In accordance with the Finprofit’s statement as of 20.04.2021 No.25 and the BCSE Listing Rules approved by the BCSE Board (Minutes No. 25 as of 14.05.2020)

  1. Finprofit bonds with the following parameters have been admitted to placement in forward and continuous double auctions modes since 03.05.2021:

No

Issuer

Securities type and kind

Issue code

Date and period of placement

1

Finprofit, LLC

inscribed, interest,  book-entry  bonds

BY50002С9758

03.05.2021;

03.05.2021 -  31.12.2021

  1. Bonds with the following parameters are admitted to trading and included into the list of out-of-list securities:

No

Issuer

Securities type and kind

Issue code

Trading period

1

Finprofit, LLC

inscribed, interest,  book-entry  bonds

BY50002C7992

03.05.2021

- 20.08.2027

3. The BCSE trading system will provide centralized calculation of yield, current value, accumulated interest (coupon) yield and other price rates and indicators required for transactions with these bonds.

Tags: Listing News