MSE informs that starting from 19.10.2021, on the Official market of the Macedonian Stock Exchange, on the Exchange listing sub-segment new government bonds will be admitted to listing with the following characteristics:
Instrument type: government bond without foreign exchange clause
Issued Value: 739.200.000,00 MKD
Issued Volume: 73.920
Nominal value: 10.000 MKD
Issue Date: 14.10.2021
Maturity Date: 14.10.2036
Interest Rate: 2,50% fixed, annual, for the total period
Coupon Payment: Interest is paid annually, on October 14th, starting from October 14th 2022
Trading code: M141036
ISIN: MKMINF20GW91