This section contains information on stocks and corporate bonds listed and admitted to trading on NASDAQ OMX Armenia.

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COVSB4

Ticker COVSB4
Issuer "Converse Bank" Closed Joint Stock Company
ISIN AMCOVSB24ER5
Admittance date 13.12.2017
Class Coupon bond
Listing category Abond
Currency USD
Nominal value per security 100.00
Quantity 40,000
Quantity outstanding 40,000
Volume 4,000,000.00
Maturity date 16.10.2019
Duration 24 months
Coupon (%) 5.25%
Number of payments 4
Coupon dates 16/04/2018, 16/10/2018, 16/04/2019, 16/10/2019
Issue date 16.10.2017
Allocation start date 16.10.2017
Allocation end date 24.11.2017
Status Listed

COVSB5

Ticker COVSB5
Issuer "Converse Bank" Closed Joint Stock Company
ISIN AMCOVSB25ER2
Admittance date 05.09.2018
Class Coupon bond
Listing category Abond
Currency AMD
Nominal value per security 100,000.00
Quantity 30,000
Quantity outstanding 30,000
Volume 3,000,000,000.00
Maturity date 26.04.2021
Duration 36 month
Coupon (%) 9.5%
Number of payments 6
Coupon dates 26/10/2018, 26/04/2019, 26/10/2019, 26/04/2020, 26/10/2020, 26/04/2021
Issue date 26.04.2018
Allocation start date 26.04.2018
Allocation end date 21.08.2018
Status Listed

COVSB6

Ticker COVSB6
Issuer "Converse Bank" Closed Joint Stock Company
ISIN AMCOVSB26ER0
Admittance date 05.09.2018
Class Coupon bond
Listing category Abond
Currency USD
Nominal value per security 100.00
Quantity 100,000
Quantity outstanding 100,000
Volume 10,000,000.00
Maturity date 26.04.2021
Duration 36 month
Coupon (%) 5.25%
Number of payments 6
Coupon dates 26/10/2018, 26/04/2019, 26/10/2019, 26/04/2020, 26/10/2020, 26/04/2021
Issue date 26.04.2018
Allocation start date 26.04.2018
Allocation end date 21.08.2018
Status Listed

COVSB7

Ticker COVSB7
Issuer "Converse Bank" Closed Joint Stock Company
ISIN AMCOVSB27ER8
Admittance date 05.09.2018
Class Coupon bond
Listing category Abond
Currency EUR
Nominal value per security 100.00
Quantity 50,000
Quantity outstanding 50,000
Volume 5,000,000.00
Maturity date 26.04.2021
Duration 36 month
Coupon (%) 4%
Number of payments 6
Coupon dates 26/10/2018, 26/04/2019, 26/10/2019, 26/04/2020, 26/10/2020, 26/04/2021
Issue date 26.04.2018
Allocation start date 26.04.2018
Allocation end date 21.08.2018
Status Listed

EJWG

Ticker EJWG
Issuer "Yerevan Jewellery Factory" Open Joint Stock Company
ISIN AMEJWGS10ER7
Admittance date 16.07.2001
Class Common nominal stock
Listing category C
Currency AMD
Nominal value per security 399.00
Quantity 10,348,896
Quantity outstanding 10,348,896
Volume 4,129,209,504.00
Status Admitted to trading

ESHG

Ticker ESHG
Issuer "Yerevan Factory of Champagne Wines" Open Joint Stock Company
ISIN AMESHGS10ER9
Admittance date 15.10.2001
Class Common nominal stock
Listing category C
Currency AMD
Nominal value per security 4,000.00
Quantity 222,183
Quantity outstanding 222,183
Volume 888,732,000.00
Status Admitted to trading

EVG1

Ticker EVG1
Issuer "Yerevan Jewellery Factory - 1 Gnomon" Open Joint Stock Company
ISIN AMYJGNS10ER4
Admittance date 01.10.2001
Class Common nominal stock
Listing category C
Currency AMD
Nominal value per security 1,000.00
Quantity 1,095,340
Quantity outstanding 1,095,340
Volume 1,095,340,000.00
Status Admitted to trading
Additional notes ex: EVG1/AMEVG1S10ER3

FMGCB1

Ticker FMGCB1
Issuer First Mortgage Company Universal Credit Organization
ISIN AMFMGCB21ER3
Admittance date 22.12.2017
Class Coupon bond
Listing category Cbond
Currency USD
Nominal value per security 25.00
Quantity 20,000
Quantity outstanding 20,000
Volume 500,000.00
Maturity date 12.12.2019
Duration 24 months
Coupon (%) 6.5%
Number of payments 8
Coupon dates 12/03/2018, 12/06/2018, 12/09/2018, 12/12/2018, 12/03/2019, 12/06/2019, 12/09/2019, 12/12/2019
Issue date 12.12.2017
Allocation start date 12.12.2017
Allocation end date 12.12.2017
Status Admitted to trading

FMGCB2

Ticker FMGCB2
Issuer First Mortgage Company Universal Credit Organization
ISIN AMFMGCB22ER1
Admittance date 22.12.2017
Class Coupon bond
Listing category Cbond
Currency AMD
Nominal value per security 10,000.00
Quantity 10,000
Quantity outstanding 10,000
Volume 100,000,000.00
Maturity date 12.12.2019
Duration 24 months
Coupon (%) 10.5%
Number of payments 8
Coupon dates 12/03/2018, 12/06/2018, 12/09/2018, 12/12/2018, 12/03/2019, 12/06/2019, 12/09/2019, 12/12/2019
Issue date 12.12.2017
Allocation start date 12.12.2017
Allocation end date 12.12.2017
Status Admitted to trading

FNCAB1

Ticker FNCAB1
Issuer "FINCA" Universal Credit Organization" CJSC
ISIN AMFNCAB21ER4
Admittance date 13.03.2017
Class Coupon bond
Listing category Bbond
Currency USD
Nominal value per security 25.00
Quantity 160,000
Quantity outstanding 160,000
Volume 4,000,000.00
Maturity date 22.02.2019
Duration 24 months
Coupon (%) 7.5%
Number of payments 4
Coupon dates 21/08/2017, 21/02/2018, 21/08/2018, 21/02/2019
Issue date 22.02.2017
Allocation start date 22.02.2017
Allocation end date 22.02.2017
Status Listed

FNCAB2

Ticker FNCAB2
Issuer "FINCA" Universal Credit Organization" CJSC
ISIN AMFNCAB22ER2
Admittance date 12.05.2017
Class Coupon bond
Listing category Bbond
Currency AMD
Nominal value per security 10,000.00
Quantity 150,000
Quantity outstanding 150,000
Volume 1,500,000,000.00
Maturity date 27.04.2019
Duration 24 months
Coupon (%) 12.75%
Number of payments 4
Coupon dates 27/10/2017, 27/04/2018, 27/10/2018, 27/04/2019
Issue date 22.02.2017
Allocation start date 27.04.2017
Allocation end date 27.04.2017
Status Listed

FSCRB1

Ticker FSCRB1
Issuer "Fast Credit Capital" Universal Credit Organization Closed Joint-Stock Company
ISIN AMFSCRB21ER7
Admittance date 16.08.2018
Class Coupon bond
Listing category Cbond
Currency AMD
Nominal value per security 10,000.00
Quantity 10,000
Quantity outstanding 10,000
Volume 100,000,000.00
Maturity date 20.07.2020
Duration 24 month
Coupon (%) 10%
Number of payments 4
Coupon dates 20/01/2019, 20/07/2019, 20/01/2020, 20/07/2020
Issue date 20.07.2018
Allocation start date 20.07.2018
Allocation end date 20.07.2018
Status Admitted to trading

FSCRB2

Ticker FSCRB2
Issuer "Fast Credit Capital" Universal Credit Organization Closed Joint-Stock Company
ISIN AMFSCRB22ER5
Admittance date 16.08.2018
Class Coupon bond
Listing category Bbond
Currency USD
Nominal value per security 100.00
Quantity 10,000
Quantity outstanding 10,000
Volume 1,000,000.00
Maturity date 20.07.2020
Duration 24 month
Coupon (%) 6.9%
Number of payments 4
Coupon dates 20/01/2019, 20/07/2019, 20/01/2020, 20/07/2020
Issue date 20.07.2018
Allocation start date 20.07.2018
Allocation end date 20.07.2018
Status Listed

GB10172

Ticker GB10172
Issuer Ministry of Finance of the Republic of Armenia
ISIN AMGB10172212
Admittance date 17.02.2011
Class Coupon bond
Listing category Gbond
Currency AMD
Nominal value per security 100.00
Quantity 317,570,000
Quantity outstanding 197,570,000
Volume 19,757,000,000.00
Maturity date 17.02.2021
Duration 10 years
Coupon (%) 12%
Number of payments 20
Coupon dates 17/08/2011, 17/02/2012, 17/08/2012, 17/02/2013, 17/08/2013, 17/02/2014, 17/08/2014, 17/02/2015, 17/08/2015, 17/02/2016, 17/08/2016, 17/02/2017, 17/08/2017, 17/02/2018, 17/08/2018, 17/02/2019, 17/08/2019, 17/02/2020, 17/08/2020, 17/02/2021
Issue date 17.02.2011
Status Admitted to trading

Gb1029A

Ticker Gb1029A
Issuer Ministry of Finance of the Republic of Armenia
ISIN AMGB1029A276
Admittance date 29.10.2017
Class Coupon bond
Listing category Gbond
Currency AMD
Nominal value per security 100.00
Quantity 352,700,000
Quantity outstanding 352,700,000
Volume 35,270,000,000.00
Maturity date 29.10.2027
Duration 10 years
Coupon (%) 10%
Number of payments 20
Coupon dates 29/04/2018, 29/10/2018, 29/04/2019, 29/10/2019, 29/04/2020, 29/10/2020, 29/04/2021, 29/10/2021, 29/04/2022, 29/10/2022, 29/04/2023, 29/10/2023, 29/04/2024, 29/10/2024, 29/04/2025, 29/10/2025, 29/04/2026, 29/10/2026, 29/04/2027, 29/10/2027
Issue date 29.10.2017
Status Admitted to trading

GB1029A

Ticker GB1029A
Issuer Ministry of Finance of the Republic of Armenia
ISIN AMGB1029A235
Admittance date 29.10.2013
Class Coupon bond
Listing category Gbond
Currency AMD
Nominal value per security 100.00
Quantity 176,250,000
Quantity outstanding 146,250,000
Volume 14,625,000,000.00
Maturity date 29.10.2023
Duration 10 years
Coupon (%) 10%
Number of payments 20
Coupon dates 29/04/2014, 29/10/2014, 29/04/2015, 29/10/2015, 29/04/2016, 29/10/2016, 29/04/2017, 29/10/2017, 29/04/2018, 29/10/2018, 29/04/2019, 29/10/2019, 29/04/2020, 29/10/2020, 29/04/2021, 29/10/2021, 29/04/2022, 29/10/2022, 29/04/2023, 29/10/2023
Issue date 29.10.2013
Status Admitted to trading

gB1029A

Ticker gB1029A
Issuer Ministry of Finance of the Republic of Armenia
ISIN AMGB1029A250
Admittance date 29.10.2015
Class Coupon bond
Listing category Gbond
Currency AMD
Nominal value per security 100.00
Quantity 425,742,000
Quantity outstanding 425,742,000
Volume 42,574,200,000.00
Maturity date 29.10.2025
Duration 10 years
Coupon (%) 11%
Number of payments 20
Coupon dates 29/04/2016, 29/10/2016, 29/04/2017, 29/10/2017, 29/04/2018, 29/10/2018, 29/04/2019, 29/10/2019, 29/04/2020, 29/10/2020, 29/04/2021, 29/10/2021, 29/04/2022, 29/10/2022, 29/04/2023, 29/10/2023, 29/04/2024, 29/10/2024, 29/04/2025, 29/10/2025
Issue date 29.10.2015
Status Admitted to trading

GB1419C

Ticker GB1419C
Issuer Ministry of Finance of the Republic of Armenia
ISIN AMGB1419C200
Admittance date 19.12.2006
Class Coupon bond
Listing category Gbond
Currency AMD
Nominal value per security 100.00
Quantity 15,000,000
Quantity outstanding 1,841,870
Volume 184,187,000.00
Maturity date 19.12.2020
Duration 14 years
Coupon (%) 10%
Number of payments 28
Coupon dates 19/06/2007, 19/12/2007, 19/06/2008, 19/12/2008, 19/06/2009, 19/12/2009, 19/06/2010, 19/12/2010, 19/06/2011, 19/12/2011, 19/06/2012, 19/12/2012, 19/06/2013, 19/12/2013, 19/06/2014, 19/12/2014, 19/06/2015, 19/12/2015, 19/06/2016, 19/12/2016, 19/06/2017, 19/12/2017, 19/06/2018, 19/12/2018, 19/06/2019, 19/12/2019, 19/06/2020, 19/12/2020
Issue date 19.12.2006
Status Admitted to trading

GB1513C

Ticker GB1513C
Issuer Ministry of Finance of the Republic of Armenia
ISIN AMGB1513C200
Admittance date 13.12.2005
Class Coupon bond
Listing category Gbond
Currency AMD
Nominal value per security 100.00
Quantity 15,000,000
Quantity outstanding 10,900,000
Volume 1,090,000,000.00
Maturity date 13.12.2020
Duration 15 years
Coupon (%) 10%
Number of payments 30
Coupon dates 13/06/2006, 13/12/2006, 13/06/2007, 13/12/2007, 13/06/2008, 13/12/2008, 13/06/2009, 13/12/2009, 13/06/2010, 13/12/2010, 13/06/2011, 13/12/2011, 13/06/2012, 13/12/2012, 13/06/2013, 13/12/2013, 13/06/2014, 13/12/2014, 13/06/2015, 13/12/2015, 13/06/2016, 13/12/2016, 13/06/2017, 13/12/2017, 13/06/2018, 13/12/2018, 13/06/2019, 13/12/2019, 13/06/2020, 13/12/2020
Issue date 13.12.2005
Status Admitted to trading

GB15213

Ticker GB15213
Issuer Ministry of Finance of the Republic of Armenia
ISIN AMGB15213219
Admittance date 21.03.2006
Class Coupon bond
Listing category Gbond
Currency AMD
Nominal value per security 100.00
Quantity 15,000,000
Quantity outstanding 82,970
Volume 8,297,000.00
Maturity date 21.03.2021
Duration 15 years
Coupon (%) 10%
Number of payments 30
Coupon dates 21/09/2006, 21/03/2007, 21/09/2007, 21/03/2008, 21/09/2008, 21/03/2009, 21/09/2009, 21/03/2010, 21/09/2010, 21/03/2011, 21/09/2011, 21/03/2012, 21/09/2012, 21/03/2013, 21/09/2013, 21/03/2014, 21/09/2014, 21/03/2015, 21/09/2015, 21/03/2016, 21/09/2016, 21/03/2017, 21/09/2017, 21/03/2018, 21/09/2018, 21/03/2019, 21/09/2019, 21/03/2020, 21/09/2020, 21/03/2021
Issue date 21.03.2006
Status Admitted to trading

GB20072

Ticker GB20072
Issuer Ministry of Finance of the Republic of Armenia
ISIN AMGB20072287
Admittance date 07.02.2008
Class Coupon bond
Listing category Gbond
Currency AMD
Nominal value per security 100.00
Quantity 321,200,900
Quantity outstanding 186,900,900
Volume 18,690,090,000.00
Maturity date 07.02.2028
Duration 20 years
Coupon (%) 11%
Number of payments 40
Coupon dates 07/08/2008, 07/02/2009, 07/08/2009, 07/02/2010, 07/08/2010, 07/02/2011, 07/08/2011, 07/02/2012, 07/08/2012, 07/02/2013, 07/08/2013, 07/02/2014, 07/08/2014, 07/02/2015, 07/08/2015, 07/02/2016, 07/08/2016, 07/02/2017, 07/08/2017, 07/02/2018, 07/08/2018, 07/02/2019, 07/08/2019, 07/02/2020, 07/08/2020, 07/02/2021, 07/08/2021, 07/02/2022, 07/08/2022, 07/02/2023, 07/08/2023, 07/02/2024, 07/08/2024, 07/02/2025, 07/08/2025, 07/02/2026, 07/08/2026, 07/02/2027, 07/08/2027, 07/02/2028
Issue date 07.02.2008
Status Admitted to trading

GB20172

Ticker GB20172
Issuer Ministry of Finance of the Republic of Armenia
ISIN AMGB20172327
Admittance date 17.02.2012
Class Coupon bond
Listing category Gbond
Currency AMD
Nominal value per security 100.00
Quantity 400,000,000
Quantity outstanding 400,000,000
Volume 40,000,000,000.00
Maturity date 17.02.2032
Duration 20 years
Coupon (%) 13%
Number of payments 40
Coupon dates 17/08/2012, 17/02/2013, 17/08/2013, 17/02/2014, 17/08/2014, 17/02/2015, 17/08/2015, 17/02/2016, 17/08/2016, 17/02/2017, 17/08/2017, 17/02/2018, 17/08/2018, 17/02/2019, 17/08/2019, 17/02/2020, 17/08/2020, 17/02/2021, 17/08/2021, 17/02/2022, 17/08/2022, 17/02/2023, 17/08/2023, 17/02/2024, 17/08/2024, 17/02/2025, 17/08/2025, 17/02/2026, 17/08/2026, 17/02/2027, 17/08/2027, 17/02/2028, 17/08/2028, 17/02/2029, 17/08/2029, 17/02/2030, 17/08/2030, 17/02/2031, 17/08/2031, 17/02/2032
Issue date 17.02.2012
Status Admitted to trading

GB2029A

Ticker GB2029A
Issuer Ministry of Finance of the Republic of Armenia
ISIN AMGB2029A366
Admittance date 29.04.2016
Class Coupon bond
Listing category Gbond
Currency AMD
Nominal value per security 100.00
Quantity 800,000,000
Quantity outstanding 800,000,000
Volume 80,000,000,000.00
Maturity date 29.10.2036
Duration 246 months
Coupon (%) 13%
Number of payments 41
Coupon dates 29/10/2016, 29/04/2017, 29/10/2017, 29/04/2018, 29/10/2018, 29/04/2019, 29/10/2019, 29/04/2020, 29/10/2020, 29/04/2021, 29/10/2021, 29/04/2022, 29/10/2022, 29/04/2023, 29/10/2023, 29/04/2024, 29/10/2024, 29/04/2025, 29/10/2025, 29/04/2026, 29/10/2026, 29/04/2027, 29/10/2027, 29/04/2028, 29/10/2028, 29/04/2029, 29/10/2029, 29/04/2030, 29/10/2030, 29/04/2031, 29/10/2031, 29/04/2032, 29/10/2032, 29/04/2033, 29/10/2033, 29/04/2034, 29/10/2034, 29/04/2035, 29/10/2035, 29/04/2036, 29/10/2036
Issue date 29.04.2016
Status Admitted to trading

GB30163

Ticker GB30163
Issuer Ministry of Finance of the Republic of Armenia
ISIN AMGB30163472
Admittance date 16.03.2017
Class Coupon bond
Listing category Gbond
Currency AMD
Nominal value per security 100.00
Quantity 709,620,000
Quantity outstanding 709,620,000
Volume 70,962,000,000.00
Maturity date 16.03.2047
Duration 30 years
Coupon (%) 13%
Number of payments 60
Coupon dates 16/09/2017, 16/03/2018, 16/09/2018, 16/03/2019, 16/09/2019, 16/03/2020, 16/09/2020, 16/03/2021, 16/09/2021, 16/03/2022, 16/09/2022, 16/03/2023, 16/09/2023, 16/03/2024, 16/09/2024, 16/03/2025, 16/09/2025, 16/03/2026, 16/09/2026, 16/03/2027, 16/09/2027, 16/03/2028, 16/09/2028, 16/03/2029, 16/09/2029, 16/03/2030, 16/09/2030, 16/03/2031, 16/09/2031, 16/03/2032, 16/09/2032, 16/03/2033, 16/09/2033, 16/03/2034, 16/09/2034, 16/03/2035, 16/09/2035, 16/03/2036, 16/09/2036, 16/03/2037, 16/09/2037, 16/03/2038, 16/09/2038, 16/03/2039, 16/09/2039, 16/03/2040, 16/09/2040, 16/03/2041, 16/09/2041, 16/03/2042, 16/09/2042, 16/03/2043, 16/09/2043, 16/03/2044, 16/09/2044, 16/03/2045, 16/09/2045, 16/03/2046, 16/09/2046, 16/03/2047
Issue date 16.03.2017
Status Admitted to trading

GLBLB3

Ticker GLBLB3
Issuer "GLOBAL CREDIT" universal credit organization" CJSC
ISIN AMGLBLB23ER1
Admittance date 05.12.2016
Class Coupon bond
Listing category Bbond
Currency USD
Nominal value per security 100.00
Quantity 10,000
Quantity outstanding 10,000
Volume 1,000,000.00
Maturity date 24.11.2019
Duration 3 years
Coupon (%) 9%
Number of payments 6
Coupon dates 23/05/2017, 23/11/2017, 23/05/2018, 23/11/2018, 23/05/2019, 23/11/2019
Issue date 24.11.2016
Allocation start date 24.11.2016
Allocation end date 24.11.2016
Status Listed

GLBLB4

Ticker GLBLB4
Issuer "GLOBAL CREDIT" universal credit organization" CJSC
ISIN AMGLBLB24ER9
Admittance date 05.12.2016
Class Coupon bond
Listing category Cbond
Currency AMD
Nominal value per security 10,000.00
Quantity 20,000
Quantity outstanding 20,000
Volume 200,000,000.00
Maturity date 24.11.2018
Duration 2 years
Coupon (%) 14%
Number of payments 4
Coupon dates 23/05/2017, 23/11/2017, 23/05/2018, 23/11/2018.
Issue date 24.11.2016
Allocation start date 24.11.2016
Allocation end date 24.11.2016
Status Admitted to trading

GLBLB5

Ticker GLBLB5
Issuer "GLOBAL CREDIT" universal credit organization" CJSC
ISIN AMGLBLB25ER6
Admittance date 08.12.2017
Class Coupon bond
Listing category Bbond
Currency USD
Nominal value per security 100.00
Quantity 10,000
Quantity outstanding 10,000
Volume 1,000,000.00
Maturity date 23.11.2020
Duration 3 years
Coupon (%) 7%
Number of payments 6
Coupon dates 22/05/2018, 22/11/2018, 22/05/2019թ., 22/11/2019, 22/05/2020, 22/11/2020
Issue date 23.11.2017
Allocation start date 23.11.2017
Allocation end date 23.11.2017
Status Listed

GLBLB6

Ticker GLBLB6
Issuer "GLOBAL CREDIT" universal credit organization" CJSC
ISIN AMGLBLB16ER5
Admittance date 08.12.2017
Class Coupon bond
Listing category Bbond
Currency AMD
Nominal value per security 10,000.00
Quantity 30,000
Quantity outstanding 30,000
Volume 300,000,000.00
Maturity date 23.11.2018
Duration 1 year
Coupon (%) 10%
Number of payments 2
Coupon dates 22/05/2018, 22/11/2018
Issue date 23.11.2017
Allocation start date 23.11.2017
Allocation end date 23.11.2017
Status Listed

gn60294

Ticker gn60294
Issuer Ministry of Finance of the Republic of Armenia
ISIN AMGN60294193
Admittance date 29.04.2014
Class Coupon bond
Listing category Gbond
Currency AMD
Nominal value per security 100.00
Quantity 156,900,000
Quantity outstanding 110,656,680
Volume 11,065,668,000.00
Maturity date 29.04.2019
Duration 60 months
Coupon (%) 8%
Number of payments 10
Coupon dates 29/10/2014, 29/04/2015, 29/10/2015, 29/04/2016, 29/10/2016, 29/04/2017, 29/10/2017, 29/04/2018, 29/10/2018, 29/04/2019
Issue date 29.04.2014
Status Admitted to trading

Gt52017

Ticker Gt52017
Issuer Ministry of Finance of the Republic of Armenia
ISIN AMGT52017192
Admittance date 02.07.2018
Class Discount bond
Listing category Gbond
Currency AMD
Nominal value per security 100.00
Quantity 23,000,000
Quantity outstanding 23,000,000
Volume 2,300,000,000.00
Maturity date 01.07.2019
Duration 52 weeks
Status Admitted to trading

Gt52029

Ticker Gt52029
Issuer Ministry of Finance of the Republic of Armenia
ISIN AMGT52029197
Admittance date 03.09.2018
Class Discount bond
Listing category Gbond
Currency AMD
Nominal value per security 100.00
Quantity 11,700,000
Quantity outstanding 11,700,000
Volume 1,170,000,000.00
Maturity date 02.09.2019
Duration 52 weeks
Issue date 03.09.2018
Status Admitted to trading

Gt52036

Ticker Gt52036
Issuer Ministry of Finance of the Republic of Armenia
ISIN AMGT52036192
Admittance date 04.06.2018
Class Discount bond
Listing category Gbond
Currency AMD
Nominal value per security 100.00
Quantity 11,800,000
Quantity outstanding 11,800,000
Volume 1,180,000,000.00
Maturity date 03.06.2019
Duration 52 weeks
Issue date 04.06.2018
Status Admitted to trading

Gt52042

Ticker Gt52042
Issuer Ministry of Finance of the Republic of Armenia
ISIN AMGT52042190
Admittance date 05.02.2018
Class Discount bond
Listing category Gbond
Currency AMD
Nominal value per security 100.00
Quantity 23,800,000
Quantity outstanding 23,800,000
Volume 2,380,000,000.00
Maturity date 04.02.2019
Duration 12 months
Issue date 05.02.2018
Status Admitted to trading

gT52043

Ticker gT52043
Issuer Ministry of Finance of the Republic of Armenia
ISIN AMGT52043198
Admittance date 05.03.2018
Class Discount bond
Listing category Gbond
Currency AMD
Nominal value per security 100.00
Quantity 23,600,000
Quantity outstanding 23,600,000
Volume 2,360,000,000.00
Maturity date 04.03.2019
Duration 12 months
Issue date 05.03.2018
Status Admitted to trading

Gt5204B

Ticker Gt5204B
Issuer Ministry of Finance of the Republic of Armenia
ISIN AMGT5204B198
Admittance date 05.11.2018
Class Discount bond
Listing category Gbond
Currency AMD
Nominal value per security 100.00
Quantity 11,400,000
Quantity outstanding 11,400,000
Volume 1,140,000,000.00
Maturity date 04.11.2019
Duration 52 weeks
Issue date 05.11.2018
Status Admitted to trading

Gt52058

Ticker Gt52058
Issuer Ministry of Finance of the Republic of Armenia
ISIN AMGT52058196
Admittance date 06.08.2018
Class Discount bond
Listing category Gbond
Currency AMD
Nominal value per security 100.00
Quantity 23,012,000
Quantity outstanding 23,012,000
Volume 2,301,200,000.00
Maturity date 05.08.2019
Duration 52 weeks
Issue date 06.08.2018
Status Admitted to trading

Gt5205B

Ticker Gt5205B
Issuer Ministry of Finance of the Republic of Armenia
ISIN AMGT5205B187
Admittance date 06.11.2017
Class Discount bond
Listing category Gbond
Currency AMD
Nominal value per security 100.00
Quantity 39,907,000
Quantity outstanding 39,907,000
Volume 3,990,700,000.00
Maturity date 05.11.2018
Duration 52 weeks
Issue date 06.11.2017
Status Admitted to trading
Date delisted/terminated 05.11.2018

Gt52065

Ticker Gt52065
Issuer Ministry of Finance of the Republic of Armenia
ISIN AMGT52065191
Admittance date 07.05.2018
Class Discount bond
Listing category Gbond
Currency AMD
Nominal value per security 100.00
Quantity 35,000,000
Quantity outstanding 35,000,000
Volume 3,500,000,000.00
Maturity date 06.05.2019
Duration 52 weeks
Issue date 07.05.2018
Status Admitted to trading
Date delisted/terminated 06.05.2019

gT52084

Ticker gT52084
Issuer Ministry of Finance of the Republic of Armenia
ISIN AMGT52084192
Admittance date 09.04.2018
Class Discount bond
Listing category Gbond
Currency AMD
Nominal value per security 100.00
Quantity 23,200,000
Quantity outstanding 23,200,000
Volume 2,320,000,000.00
Maturity date 08.04.2019
Duration 12 months
Issue date 09.04.2018
Status Admitted to trading

Gt52141

Ticker Gt52141
Issuer Ministry of Finance of the Republic of Armenia
ISIN AMGT52141190
Admittance date 15.01.2018
Class Discount bond
Listing category Gbond
Currency AMD
Nominal value per security 100.00
Quantity 57,500,100
Quantity outstanding 57,500,100
Volume 5,750,010,000.00
Maturity date 14.01.2019
Duration 12 months
Issue date 15.01.2018
Status Admitted to trading

Gt52309

Ticker Gt52309
Issuer Ministry of Finance of the Republic of Armenia
ISIN AMGT52309193
Admittance date 01.10.2018
Class Discount bond
Listing category Gbond
Currency AMD
Nominal value per security 100.00
Quantity 11,600,000
Quantity outstanding 11,600,000
Volume 1,160,000,000.00
Maturity date 30.09.2019
Duration 52 weeks
Issue date 01.10.2018
Status Admitted to trading

HEZB

Ticker HEZB
Issuer "ARMENIAN ECONOMY DEVELOPMENT BANK" Open Joint Stock Company
ISIN AMHEZBS10ER5
Admittance date 30.05.2002
Class Common nominal stock
Listing category B
Currency AMD
Nominal value per security 7,400.00
Quantity 1,852,533
Quantity outstanding 1,852,533
Volume 13,708,744,200.00
Status Listed
Updated as of: 13.11.2018