Dear client,
Starting from September 14, 2025, the coupon rate for corporate bonds issued on 14.09.2023 under the first public offering program will be modified. To view the new coupon rate, see below:
Issuance registration date | Subscription period | Coupon rate for | Coupon payment dates for | Cod ISIN | ||||
First year | Second year | Third year | First year | Second year | Third year | |||
14.09.2023 | 07.08.2023-28.08.2023 | 5.50% | 4.50% | 5.50% | 14.12.2023; 14.03.2024; 14.06.2024; 14.09.2024; |
14.12.2024; 14.03.2025; 14.06.2025; 14.09.2025; |
14.12.2025; 14.03.2026; 14.06.2026; 14.09.2026; |
MD1004000045 |
*The coupon rate for the second and third years will be equal to the interest rate offered by the bank for the „maib classic” deposit opened at the branch, with a term of 365 days. The rate is published on the official bank website www.maib.md, under the deposits section for individuals, and is set after one and two years, on the same issuance date plus a fixed margin of +2%.
For more details, please call:
+373 22 303-297 / +373 22 303-397
Invest smart
Tu conduci. maib