19.06.2025

ARMECONOMBANK OJSC completed the process of subsequent issues of USD-denominated bonds.

In total,

  • USD bonds with USD 2,600,000 volume with an annual coupon yield  of 5.50% have been , with 36 months’ circulation and semi-annual coupon payments periodicity have been placed (AMHEZBB2JER0).
  • USD bonds with USD 2,300,000 volume with an annual coupon yield  of 6.25% have been , with 60 months’ circulation and semi-annual coupon payments periodicity have been placed (AMHEZBB2KER8).

The bonds will be submitted to listing on Armenia Stock Exchange OJSC and will have a market maker.

The payment of coupon income of bonds and bond repayment will be made according to the following schedule:

Coupon payments 

AMHEZBB2JER0

AMHEZBB2KER8

First payment of coupon income

03/09/2025

03/09/2025

Second payment of coupon income

03/03/2026

03/03/2026

Third payment of coupon income

03/09/2026

03/09/2026

Forth payment of coupon income

03/03/2027

03/03/2027

Fifth payment of coupon income

03/09/2027

03/09/2027

Sixth payment of coupon income

03/03/2028 (repayment)

03/03/2028

Seventh payment of coupon income

 

03/09/2028

Eight payment of coupon income

03/03/2029

Ninth payment of coupon income

03/09/2029

Tenth payment of coupon income.

03/03/2030 (repayment)

 

We remind* you that

  • In accordance with the RA Law "On Guaranteeing the Compensation of Bank Deposits of Individuals", funds involved in nominal coupon bonds issued by the Bank are considered a guaranteed bank deposit and are guaranteed by the Deposit Guarantee Fund.
  • As any financial instrument, acquisition of bonds also implies certain risks that are presented in Prospectus.
Updated: 20/06/2025 12:15