3 February 2026 22:25 (GMT/UTC +04:00)
The placement of bonds of "PASHA BANK" OJSC by subscription has taken place
972
15:52
14 August 2025
972

On July 25, 2025, the Listing Committee of the Baku Stock Exchange (BSE) decided to grant "Admission to Trade" for the bonds of "PASHA BANK" OJSC.

The subscription of the mentioned bonds began on 30.07.2025 and was completed within 10 (ten) business days as of 12.08.2025 (including this date).

The placement of the bonds of "PASHA BANK" OJSC by subscription method took place on 14.08.2025.

Since the trading results of the mentioned securities meet the requirements of paragraph 3.19 of the "Rules for Admission to Trading, Listing, Maintenance in Listing and Delisting of Securities on the Baku Stock Exchange", the mentioned bonds are included in the Standard Market Listing segment.

Information on stocks is as follows:

Name of the issuer

"PASHA BANK" OJSC

State registration number - ISIN

AZ2006006624

Type and form of bonds

Bond interest bearing, unsecured title

Trading type/form

Public placement / Subscirption

Number of bonds

40,000 (pcs)

Initial trade price

1,000 AZN

Issue volume

40,000,000 AZN

Coupon rate

10.5%

Payment period

It is paid every 3 (three) calendar months (assuming that there are 30 days in a month) from the date of placement of the first bond

Period

12 months

Minimum price

1,000.0000 (10.50%) AZN

Maximum price

1,005.7408 (9.89%) AZN

Cutting price

1,003.7597 (10.10%) AZN

Average price

1,002.7773 (10.20%) AZN

Realised volume

40,000,0000 AZN

Total volume of order (at nominal price)

90,121,0000 AZN

Number of investors who participated in the subscription

65

Number of investors whose orders were executed

54

Number of orders submitted during the subscription

74

Number of executed orders

54

Underwriter

Main Underwriter "PASHA Capital Investment Company" CJSC

Underwriter: "Unicapital Investment Company" OJSC
Underwriter: "CPM-Invest Investment Company" OJSC