On March 17, 2025, the Listing Committee of the Baku Stock Exchange (BSE) decided to grant "Admission to Trade" for the bonds of "KREDİT EVİ"OJSC.
The auction for the placement of bonds with the mentioned ISIN code AZ2001021495 was concluded on 04.04.2025.
As the trading results of the mentioned securities meet the requirements of paragraph 3.19 of the "Rules for Admission to Trading, Listing, Keeping and Delisting of Securities at Baku Stock Exchange", these bonds are included in the Standard Market Listing segment.
Information on the bonds is as follows:
Name of the issuer | "KREDİT EVİ" OJSC |
State registration number - ISIN | AZ2001021495 |
Type and form of bonds | Bonds unsecured, interest bearing title |
Trading type/form | Public placement / Competitive |
Number of bonds | 1,000 (pcs) |
Initial trade price | 1,000 AZN |
Release volume | 1,000,000 AZN |
Annual rate of return | 17% |
Payment period | No later than 3 (three) business days after every 30 calendar days, assuming the number of days in a year to be 360 (three hundred and sixty), from the date of placement of the first bond |
Maturity period | 5 years |
Total volume of orders (at nominal price) | 1,000,000 AZN |
Realised volume | 1,000,000 AZN |
Auction price | 1,000.00 AZN |
Number of investors | 50 |
Number of orders | 50 |
Underwriter | “PASHA Capital I.C.” CJSC |