Issuer
SN Osiguritelen Broker AD Bitola
Issuer's basic data
Address
ul. Dimitar Ilievski Murato br.5
City
Bitola
State
Republika Severna Makedonija
Mail
info@snbroker.mk
Contact person +
Elena Trajcevska Pavlovska
Phone
+389 47 553 390
Fax
+389 47 553 309
Prospectus
Year 2024 2023 2022
Total Revenue from operation Activities 180,230 325,914 299,174
Operating profit -132,270 74,614 91,641
Net profit -177,539 17,465 54,149
Equity 50,940 230,029 216,229
Total liabilities 1,618,874 1,633,788 1,382,884
Total assets 1,669,814 1,863,817 1,599,113
Market capitalization 68,247 75,830 75,830
* data in 000 MKD
Methodology
Year 2024 2023 2022
Return on sales -73.39% 22.89% 30.63%
Net earnings per share (EPS) -23,412.77 2,303.18 7,140.84
Return on assets -10.63% 0.94% 3.39%
Return on equity -348.53% 7.59% 25.04%
Price to earnings - 0.04 0.01
Book value per share 6,717.66 30,334.83 28,514.97
Price to Book Value 0.01 0.00 0.00
Dividend Per Share
Dividend yield 0.00% 0.00% 0.00%

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  1. Expansion of the basis for attention for the company SN Osiguritelen broker AD Bitola on the Watch List

    We inform you that a conclusion has been reached on the expansion of the basis for entering the Watch List of the issuer
  2. Issuer SN Osiguritelen broker AD Bitola was added to the Watchlist

    We inform you that a decision has been made to include the issuer SN Osiguritelen broker AD Bitola on the "Watch List"
  3. Listing of new bond on the Macedonian Stock Exchange

    Listing of new bond on the Macedonian Stock Exchange
Symbols
Price movement
0.000.501.000.170.330.670.83
Volume
0010000
Market segment:
Exchange Listing - Bonds
ISIN:
MKSNOB200014
Total shares
7,583
Last trade: No
Max Price:
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Last 52 weeks
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* the average price is from the last trading day

**data doesn't inculde block trades

Historical Data
Instrument type
corporate bonds, transferable, subordinated, unsecured, with a fixed interest rate.
Issued Value
75,830,000 MKD
Issued Volume
7,583
Nominal value
10,000 MKD
Issue Date
3/1/2022
Maturity Date
2/28/2027
Interest Rate
Fixed annual interest of 6% for the entire period
Coupon Payment
28.02.2023; 29.02.2024; 28.02.2025; 28.02.2026 and 28.02.2027
Redemption
Liabilities based on corporate bonds can not be redeemed or temporarily repaid, except in case of bankruptcy or liquidation
Convertibility
no
Other details
no