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NARK

Ticker NARK
Issuer "Narek" OJSC
ISIN AMNARKS10ER9
Admittance date 20.06.2002
Class Common nominal stock
Listing category C
Currency AMD
Nominal value per security 500.00
Quantity 77,000
Quantity outstanding 77,000
Volume 38,500,000.00
Status Delisted
Date delisted/terminated 02.08.2006

NAUY

Ticker NAUY
Issuer "Noy" OJSC
ISIN AMNAUYS10AR2
Admittance date 24.11.2004
Class Common nominal stock
Listing category C
Currency AMD
Nominal value per security 5,000.00
Quantity 2,750
Quantity outstanding 2,750
Volume 13,750,000.00
Status Delisted
Date delisted/terminated 11.04.2006

NBTF

Ticker NBTF
Issuer ''Nubarashen Clothing Factory'' OJSC
ISIN AMNBTFS10ER3
Admittance date 15.10.2001
Class Common nominal stock
Listing category C
Currency AMD
Nominal value per security 10,000.00
Quantity 7,046
Quantity outstanding 7,046
Volume 70,460,000.00
Status Delisted
Date delisted/terminated 02.08.2006

NERN

Ticker NERN
Issuer "Neiron" OJSC
ISIN AMNERNS10ER5
Admittance date 12.10.2001
Class Common nominal stock
Listing category C
Currency AMD
Nominal value per security 5,000.00
Quantity 5,160
Quantity outstanding 5,160
Volume 25,800,000.00
Status Delisted
Date delisted/terminated 14.11.2006

NMCCB1

Ticker NMCCB1
Issuer "National Mortgage Company" Refinacing Credit Organization Closed Joint Stock Company" Closed Joint Stock Company
ISIN AMNMCCB61ER2
Admittance date 24.11.2011
Class Discount bond
Listing category Cbond
Currency AMD
Nominal value per security 100,000.00
Quantity 10,000
Quantity outstanding 10,000
Volume 1,000,000,000.00
Maturity date 24.05.2012
Duration 6 months
Number of payments 0
Issue date 24.11.2011
Status Termination of trading
Date delisted/terminated 24.05.2012

NMCCB1E

Ticker NMCCB1E
Issuer "National Mortgage Company" Refinacing Credit Organization Closed Joint Stock Company" Closed Joint Stock Company
ISIN AMNMCCB1EER1
Admittance date 13.06.2016
Class Discount bond
Listing category Cbond
Currency AMD
Nominal value per security 10,000.00
Quantity 63,730
Quantity outstanding 63,730
Volume 637,300,000.00
Maturity date 20.05.2017
Duration 12 months
Issue date 15.04.2016
Allocation start date 20.05.2016
Allocation end date 20.05.2016
Status Termination of trading
Date delisted/terminated 20.05.2017

NMCCB1F

Ticker NMCCB1F
Issuer "National Mortgage Company" Refinacing Credit Organization Closed Joint Stock Company" Closed Joint Stock Company
ISIN AMNMCCB1FER8
Admittance date 11.07.2016
Class Discount bond
Listing category Cbond
Currency AMD
Nominal value per security 10,000.00
Quantity 150,000
Quantity outstanding 150,000
Volume 1,500,000,000.00
Maturity date 23.06.2017
Duration 12 months
Issue date 15.06.2016
Allocation start date 23.06.2016
Status Termination of trading
Date delisted/terminated 23.06.2017

NMCCB2

Ticker NMCCB2
Issuer "National Mortgage Company" Refinacing Credit Organization Closed Joint Stock Company" Closed Joint Stock Company
ISIN AMNMCCB62ER0
Admittance date 07.06.2012
Class Discount bond
Listing category Cbond
Currency AMD
Nominal value per security 100,000.00
Quantity 10,000
Quantity outstanding 10,000
Volume 1,000,000,000.00
Maturity date 07.12.2012
Duration 1 year
Number of payments 0
Issue date 07.06.2012
Status Termination of trading
Date delisted/terminated 07.12.2012

NMCCB2A

Ticker NMCCB2A
Issuer "National Mortgage Company" Refinacing Credit Organization Closed Joint Stock Company" Closed Joint Stock Company
ISIN AMNMCCB2AER7
Admittance date 15.05.2014
Class Coupon bond
Listing category Abond
Currency AMD
Nominal value per security 100,000.00
Quantity 10,000
Quantity outstanding 10,000
Volume 1,000,000,000.00
Maturity date 23.04.2017
Duration 36 months
Coupon (%) 10%
Number of payments 6
Coupon dates 22/10/2014, 22/04/2015, 22/10/2015, 22/04/2016, 22/10/2016, 22/04/2017
Issue date 17.03.2014
Allocation start date 23.04.2014
Allocation end date 23.04.2014
Status Delisted
Date delisted/terminated 23.04.2017

NMCCB2C

Ticker NMCCB2C
Issuer "National Mortgage Company" Refinacing Credit Organization Closed Joint Stock Company" Closed Joint Stock Company
ISIN AMNMCCB2CER3
Admittance date 22.10.2014
Class Coupon bond
Listing category Abond
Currency AMD
Nominal value per security 10,000.00
Quantity 100,000
Quantity outstanding 100,000
Volume 1,000,000,000.00
Maturity date 07.10.2017
Duration 3 years
Coupon (%) 10%
Number of payments 6
Coupon dates 06/04/2015, 06/10/2015, 06/04/2016, 06/10/2016, 06/04/2017, 06/10/2017
Issue date 07.10.2014
Allocation start date 07.10.2014
Allocation end date 07.10.2014
Status Delisted
Date delisted/terminated 07.10.2017
Updated as of: 09.10.2017