Partial Repayment 03.04.2024 15:24:43 (local time)

Company: Monbat AD (5MBA)
The calculation of the interest accrued on the bond issue of Monbat AD (5MBA), ISIN BG2100023170, shall be resumed as of 04 April 2024. Upon entering a clean price of 100% per bond, the "dirty" price shall equal EUR 500.
The change is due to a notification of executed amortisation payment due by 20 January 2024, available in English on the financial website X3News.
For further information, contact the BSE Trade Administration Department at +359 2/ 9370944 or 9370942.

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Monbat AD published this content on 03 April 2024 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 03 April 2024 14:09:04 UTC.