Hereby we would like to inform you on placement and issuance of registered coupon bonds of “ARMSWISSBANK” CJSC which will take place starting from 01 June 2023 till 31 July 2023.
On 24 May, 2023 ARMSWISSBANK made coupon payments of (AMSWISB27ER4) (AMD) and (AMSWISB28ER2) (USD) corporate coupon bonds for an amount of respectively 5.75% and 3.25% of the nominal value.
On 24 May, 2023, the nominal coupon bonds with the distinctive code AMSWISB27ER4, with a total volume of AMD 6,000,000,000 (counting 120,000, with face value of AMD 50,000) issued on 24 May, 2018, were repaid.
On 22 May, 2023 ARMSWISSBANK made coupon payment of AMSWISB29ER0 (USD) corporate coupon bonds for an amount of 1.50% of the nominal value.
On 02 May, 2023, the nominal coupon bonds with the distinctive code AMSWISB2BER4, with a total volume of EUR 3,000,000 (counting 100, with face value of AMD 30,000) issued on 02 May, 2019, were repaid.
On 02 May, 2023 ARMSWISSBANK made coupon payments of AMSWISB2BER4 (EUR), AMSWISB2AER6 (USD) corporate coupon bonds for an amount of respectively 2.00% and 3.25% of the nominal value.
On 28 March, 2023 ARMSWISSBANK made coupon payment of AMSWISB2FER5 (AMD) corporate coupon bond for an amount of 4.25% of the nominal value.
On 23 November, 2023 ARMSWISSBANK made coupon payments of AMSWISB29ER0 (USD) corporate coupon bonds for an amount of 1.5% of the nominal value.
On 15 December, 2022 ARMSWISSBANK made coupon payments of AMSWISB25ER8 /EUR/, AMSWISB24ER1 /USD/ corporate coupon bonds for an amount of respectively 2.50% and 3.3750% of the nominal value.
On 24 November, 2022 ARMSWISSBANK made coupon payments of AMSWISB27ER4 (AMD) and AMSWISB28ER2 (USD) corporate coupon bonds for an amount of respectively 5.75% and 3.25% of the nominal value.