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GB placement

Trading news

The issuance parameters for the placement of T-Bills, bonds for the 09 August, 2016 is the following:


Date of


Type of bonds T-Bills
ISIN AZ0101008511
The volume of the issue


10 000 000
Face value


Term of circulation 91
Interest rate
Interest payment dates


The maturity date 08.11.2016
The minimal required amount of the volume of orders for the auction to be held (with regards to the realized  bond amount during the auction)


Underwriter Pasha Capital CJSC


Noncompetitive bids not exceeding 20% of the issue volume are allowed at the auction.