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Notice regarding the change of the coupon rate for maib corporate bonds from the sixth issuance under the second public offering program

Dear customer,

Starting from August 13, 2026, the coupon rate for corporate bonds issued on August 13, 2024, under the second public offering program will be changed.

To view the new coupon rate, please see below:

Issuance registration date Subscription period Coupon rate for Coupon payment date Bond class ISIN code
First year Second year Third year First year Second year Third year

 

 

 

13.08.2024

 

 

 

11.07.2024 -30.07.2024

 

 

 

4.46% (3.46+1.0%)

 

 

 

6.45% (5.45+1%)

 

 

 

6.61% (5.61+1%) 

13.09.2024
13.10.2024
13.11.2024

13.12.2024
13.01.2025
13.02.2025

13.03.2025
13.04.2025
13.05.2025

13.06.2025
13.07.2025
13.08.2025

13.09.2025
13.10.2025
13.11.2025

13.12.2025
13.01.2026
13.02.2026

13.03.2026
13.04.2026
13.05.2026

13.06.2026
13.07.2026
13.08.2026

13.09.2026
13.10.2026
13.11.2026

13.12.2026
13.01.2027
13.02.2027

13.03.2027
13.04.2027
13.05.2027

13.06.2027
13.07.2027
13.08.2027

 

 

 

VI

 

 

 

MD1004000102
(a VI-a emisiune)

The coupon rate for the second and third years will be the weighted average interest rate on new deposits attracted in the national currency across the entire banking sector, with maturities from 6 to 12 months, as published on the official NBM website on the date corresponding to the first day of the offering period (subscription period). The rate is determined after one and, respectively, two years, on the same month and day as the issuance date, plus the fixed margin set according to class: II: (-1.0%); III: (-0.5%); IV: 0.00%; V: 0.5%; VI: 1.0%; VII: 1.5%.