On July 25, 2025, by the decision of the Listing Committee of the Baku Stock Exchange (BSE), a “Permission to Trade” decision was issued for the listing of bonds of "PASHA BANK" OJSC.
Subscription of the mentioned securities began on July 30, 2025 and will be carried out within 10 (ten) business days as of August 12, 2025 (including this date).
Placement of securities by subscription will begin on August 14, 2025.
The minimum volume of the offer (order) for bonds by one investor for the current issue has been set at 10,000 (ten thousand) Azerbaijani manats.
The information on the bonds is as follows:
Issuer name | "PASHA BANK" OJSC |
State registration number – ISIN | AZ2006006624 |
Type and form of bonds | Interest-bearing, unsecured, uncertificated, registered bonds |
Trading method/form | Bulk/ Subscription |
Number of bonds | 40,000 units |
Initial trading price | 1,000 manat |
Volume of bonds issued | 40,000,000 manat |
Annual yield | 10.5% |
Repayment period | Payable every 3 (three) calendar months (assuming 30 days in a month) from the date of the first bond placement |
Trading period | 12 months |
Trade date | 14.08.2025 |