Issuance Terms
Public Offering of Monetary Bonds of “VOSKE AGA” LLC
International Securities Identification Number (ISIN): AMVAGAB21ER9
By Decision No. 1/315 A of September 3, 2025, the Chairman of the Central Bank of the Republic of Armenia registered the Program Prospectus of nominal coupon bonds of “VOSKE AGA” LLC.
The placement of nominal coupon bonds of “VOSKE AGA” LLC will be carried out from October 17, 2025, to December 17, 2025, until 16:30.
To purchase the bonds, investors must duly complete and submit the bond purchase application(s) to “Cube Invest” CJSC in accordance with the established procedure.
After completing and properly submitting the application(s) to “Cube Invest” CJSC, but no later than 16:30 on the bond purchase day, legal entities and/or individuals wishing to acquire bonds must make a payment to account number 11800084422505 (opened for the purpose of this issuance) for the number of bonds specified in the purchase order.
Printed versions of the Program Prospectus and the Final Terms of Issuance are available at “Cube Invest” CJSC, 10 Vazgen Sargsyan Street.
Key Terms of the Bonds
|
Class |
Nominal coupon |
|
Nominal Value |
100,000 AMD |
|
Total Volume |
AMD |
|
Quantity |
15,000 |
|
Maturity Period |
36 months |
|
Issue Date |
17/10/2025 |
|
Maturity Date |
17/10/2028 |
|
Coupon Rate |
12․50% |
|
Coupon Payment Frequency |
Quarterly (every 3 months) |
|
Underwriter |
CJSC “Cube Invest” |