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Issue number |
266 |
267 |
268 |
|
Kind and type of bonds |
inscribed, interest-bearing, inconvertible, book-entry bonds |
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Issue volume (BYN) |
150 000 000 |
200 000 000 |
50 000 000 |
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Number (quantity) |
150 000 |
2 000 000 |
500 000 |
|
Face value (BYN) |
1000 |
100 |
100 |
|
Trading period, days |
2 130 days (22.12.2025 - 22.10.2031) |
4 805 days (22.12.2025 - 17.02.2039) |
4 202 days (22.12.2025 - 24.06.2037) |
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Maturity date |
22.10.2031 |
17.02.2039 |
24.06.2037 |
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Rate of return |
For the first 4 interest income accrual periods, the amount of the refinancing rate of the National Bank (subject to its changes) increased by 0.25 percentage points for each subsequent 4 interest income accrual periods is set by the bank by making an appropriate decision no later than 15 calendar days before the start date of the first one |
For the first seven interest income accrual periods, the amount of the refinancing rate of the National Bank (taking into account its changes) increased by 1.55 percentage points for each subsequent six interest income accrual periods is set by the bank by making an appropriate decision no later than 15 calendar days before the start date of the first one |
For the first two interest income accrual periods, the amount of the refinancing rate of the National Bank (taking into account its changes) increased by 1.25 percentage points for each subsequent two interest income accrual periods is set by the bank by making an appropriate decision no later than 15 calendar days before the start date of the first one |
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Potential buyers (owners) |
legal entities, individual entrepreneurs - residents and non-residents |
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Transactions in bonds are terminated during the trading |
from the date of formation of the register of bondholders for the purposes of income payment, early repayment of bonds, repayment of bonds |
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Issuer Depository |
Belagroprombank |
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