TYPE
|
Nominal coupon bonds
|
ISIN
|
AMAMRBBM3ER9
|
FACE VALUE
|
USD 100
|
TOTAL VALUE
|
USD 20,000,000
|
QUANTITY
|
200,000
|
MATURITY
|
30 months
|
COUPON RATE
|
4.5 %
|
COUPON PERIODICITY
|
3 months
|
ARRANGER
|
AMERIABANK CJSC
|
Ameriabank CJSC program prospectus was registered by the resolution of the Chairman of the Central Bank of Armenia #1/156A dated March 19, 2021.
For printed version of the program prospectus and its supplements, please visit Ameriabank CJSC head office (address: 2 Vazgen Sargsyan St., 0010, Yerevan, Armenia).
The final terms of issuance have been released at Ameriabank's official website by the following link.
Also be informed, that those entities who have purchased the Bonds by April 27, 2021, inclusive, can sell the purchased Bonds back to Ameriabank CJSC (hereinafter “Repurchase requirment). Legal and individual entities shall present the Repurchase requirement in written form till May 11, 2021, inclusive, by submitting the respective application. Ameriabank CJSC will repurchase the Bonds in nominal value (including the actual coupon accrued as of the repurchase date) within 5 working days following the day of submitting the Repurchase requirement.
To purchase bonds, the investors shall fill in the application form and deliver it to the Arranger in a due manner. Subject to the application, investors accept and agree to be bound by the terms and conditions of the issue.
After the completion of bond purchase application and its delivery to the Arranger but not later than before 4:30 p.m. inclusive of the bond purchase day the interested investors should make the payment to #1570043100494501 bank account opened by Ameriabank CJSC.
The daily price of bonds during the placement period can be seen by the following link.
ISSUER/ARRANGER
“Ameriabank” CJSC
2 Vazgen Sargsyan St., 0010, Yerevan, Armenia
Phone: (374 10) 56 11 11
Fax: (374 10) 51 31 33
Email: CapitalMarkets@ameriabank.am
URL: www2.ameriabank.am