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On March 3, 2026, the Listing Committee of the Baku Stock Exchange (BSE) decided to grant "Admission to Trade" for the bonds of "International Bank of Azerbaijan" OJSC.
Subscription of the mentioned securities began on 04.03.2026 and ended on 17.03.2026.
The placement of the bonds with ISIN code AZ2003004580 was carried out on March 19, 2026.
As the trading results of the mentioned securities meet the requirements of paragraph 3.19 of the "Rules for Admission to Trading, Listing, Keeping and Delisting of Securities at Baku Stock Exchange", these bonds are included in the Standard Market Listing segment.
You can get the bond issue prospectus on the BFB website from the section "Profile of issuer".
Information on stocks is as follows:
|
Name of the issuer |
"International Bank of Azerbaijan" OJSC |
|
State registration number - ISIN |
AZ2003004580 |
|
Type and form of bonds |
Bond interest bearing, unsecured title |
|
Trading type/form |
Public placement / Subscription method |
|
Number of bonds |
50,000 (pcs) |
|
Initial trade price |
100 AZN |
|
Issue volume |
5,000,000 AZN |
|
Coupon rate |
11% |
|
Payment period |
Interest accrued on the bonds will be paid every 90 days from the date of placement of the first bond in the issue |
|
Period |
2 years |
|
Minimum price |
100 (11.0000%) AZN |
|
Maximum price |
100 (11.0000%) AZN |
|
Cutting price |
100 (11.0000%) AZN |
|
Average price |
100 (11.0000%) AZN |
|
Realised volume |
5,000,000 AZN |
|
Total volume of order (at nominal price) |
27,065,500 manat |
|
Number of investors who participated in the subscription |
296 |
|
Number of investors whose orders were executed |
277 |
|
Number of orders submitted during the subscription |
352 |
|
Number of executed orders |
329 |
|
Underwriter |
ABB-Invest Investment Company CJSC |
|
Name of the issuer |
"International Bank of Azerbaijan" OJSC |
|
State registration number - ISIN |
AZ2004004589 |
|
Type and form of bonds |
Bond interest bearing, unsecured title |
|
Trading type/form |
Public placement / Subscription method |
|
Number of bonds |
50,000 (pcs) |
|
Initial trade price |
100 AZN |
|
Issue volume |
5,000,000 AZN |
|
Coupon rate |
10% |
|
Payment period |
Interest accrued on the bonds will be paid every 90 days from the date of placement of the first bond in the issue |
|
Period |
1 years |
|
Minimum price |
100 (10.0000%) AZN |
|
Maximum price |
100 (10.0000%) AZN |
|
Cutting price |
100 (10.0000%) AZN |
|
Average price |
100 (10.0000%) AZN |
|
Realised volume |
5,000,000 AZN |
|
Total volume of order (at nominal price) |
21,820,500 AZN |
|
Number of investors who participated in the subscription |
244 |
|
Number of investors whose orders were executed |
226 |
|
Number of orders submitted during the subscription |
287 |
|
Number of executed orders |
258 |
|
Underwriter |
ABB-Invest Investment Company CJSC |