Настройки шрифта
По умолчаниюArialTimes New Roman
Межбуквенное расстояние
По умолчаниюБольшоеОгромное
    Internet-Banking 136 call your bank
    Working hours of the Contact Center
    • Mo
    • Tu
    • We
    • Th
    • Fr
    • Sa
    • Su
                                           8:00 - 20:00

    In accordance with the decision of the Supervisory Board of JSC Belagroprombank dated November 28, 2024, protocol No. 22, the placement of registered bonds of the bank of the 262th issue starts from December 19, 2024

    Parameter

    Issue 262

    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 19.12.2024 to 18.04.2025

    5

    Term of circulation

    151 calendar days (from 19.12.2024 to 19.05.2025)

    6

    Repayment date

    19.05.2025

    7

    Interest rate*

    RR**+ 1,5 pp.

    8

    Income payment

    19.02.2025, 18.04.2025, 19.05.2025

    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 was established by the Asset and Liability Management Committee of JSC Belagroprombank dated 10.12.2024

    ** RR refinancing rate of the National Bank

    In accordance with the decision of the Supervisory Board of JSC Belagroprombank dated June 28, 2024, protocol No. 12, the placement of registered bonds of the bank of the 261th issue starts from Jule 19, 2024
    Parameter Issue 261
    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 19.07.2024 to 14.11.2024
    5 Term of circulation 153 calendar days (from 19.07.2024 to 19.12.2024)
    6 Repayment date 19.12.2024
    7 Interest rate* RR**- 1,0 pp.
    8 Income payment 19.09.2024, 19.11.2024, 19.12.2024
    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 was established by the Asset and Liability Management Committee of JSC Belagroprombank dated 11.07.2024, Minutes No. 51

    ** RR refinancing rate of the National Bank


     

    We use Cookie

    Cookies are used to collect information to improve the performance of the site. You can accept or refuse cookies or customize them. By clicking “Accept all”, you consent to the processing of cookies in accordance with the Policy regarding the processing of cookies at JSC Belagroprombank.

    Configure