The Bond Program Prospectus was registered by Decision No. 1/8 A of the Chairman of the Central Bank of the Republic of Armenia dated January 7, 2026.
Terms and Conditions of Issued Bonds
| Class and Type of Security | Registered, coupon-bearing, dematerialized, non-convertible |
| Issue Currency | Armenian Dram (AMD) |
| Total Issue Amount | AMD 1,000,000,000 (one billion Armenian Drams) |
| Nominal Value per Security | AMD 50,000 (fifty thousand Armenian Drams) |
|
Number of Securities |
20,000 (twenty thousand) units |
|
Coupon Interest Rate |
12.5% (twelve point five percent) per annum, fixed |
| Coupon Payment Frequency |
Quarterly |
|
Offer Start Date |
03 February 2026 |
|
Offer End Date |
23 February 2026 |
|
Maturity Date |
The redemption date of the bonds is 03 February 2029 |
| Distributor | “Dimension” CJSC |