Last update: 13.05.2021 00:20 (GMT+3)
|Number of listed securities||1,063,800,000|
|Issue value||10,638,000 EUR|
|Coupon rate (%)||0|
|Next coupon payment date|
The date of maturity for the bonds is not known. Bonds will be redeemed in accordance with the creditors' order specified in the Law on Credit Institutions. More information here.