Interest-bearing bonds

|
In accordance with the decision of the Supervisory Board of JSC Belagroprombank dated April 25, 2025, protocol No. 9, the placement of registered bonds of the bank of the 263th issue starts from May 19, 2025 | |
№ |
Parameter |
Issue 263 |
1 |
Form and type of bond |
interest-bearing bonds with the payment of interest, registered, non-convertible, in non-documentary form |
2 |
Issue volume, bel. rub. |
20 000 000 |
3 |
Nominal value of the bond, bel. rub. |
100 |
4 |
Placement period |
from 19.05.2025 to 16.12.2025 |
5 |
Term of circulation |
240 calendar days (from 19.05.2025 to 16.12.2025) |
6 |
Repayment date |
14.01.2026 |
7 |
Interest rate* |
RR**+ 3,2 pp. |
8 |
Income payment |
17.07.2025, 17.09.2025, 17.11.2025, 14.01.2026 |
9 |
Possibility of purchasing bonds by the bank before the maturity date |
none |
10 |
Possibility of early repayment |
by decision of the bank on the basis of the relevant decision of the supervisory board of the bank |
* The amount of income on bonds of the 263rd issue was established by the asset and liability management committee of JSC Belagroprombank dated 05.05.2025
** RR refinancing rate of the National Bank