Dear customer,
Starting from April 11, 2026, the coupon rate for corporate bonds issued on April 11, 2025, under the third 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 | Class | ISIN code | ||
| First year | Second year | First year | Second year | ||||
| 11.04.2025 | 06.03.2025-25.03.2025 | 6.41% (3.91+2.5%) |
8.29% (5.79+2.5%) |
11.05.2025; 11.06.2025; 11.07.2025; 11.08.2025; 11.09.2025; 11.10.2025; 11.11.2025; 11.12.2025; 11.01.2026; 11.02.2026; 11.03.2026; 11.04.2026; |
11.05.2026; 11.06.2026; 11.07.2026; 11.08.2026; 11.09.2026; 11.10.2026; 11.11.2026; 11.12.2026; 11.01.2027; 11.02.2027; 11.03.2027; 11.04.2027; |
IX | MD1004000144 (I issuance) |
*The coupon rate for the 2nd and 3rd year will be the weighted average interest rate on new deposits attracted in national currency in total on the banking sector, with a term from 6 to 12 months, published on the official website of NBM (www.bnm.md) to the date that corresponds to the first day of the offer period (subscription period) and is established after one year and two years, respectively, on the same month and day as the issue date + Fixed Margin established by class: II: (-1.0%); III: (-0.5%); IV: 0.00%; V: 0.5%; VI: 1.0%; VII: 1.5%; VIII: 2,0%, IX: 2,5%, X: 3,0%.
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