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Exchange rates

  • 1 USD 1.9850 / 1.9980
    1 EUR 2.4200 / 2.4400
    100 RUB 3.4800 / 3.5300

Precious metals

  • Gold
  • Silver
  • Platinum
1g. 105 BYN BYN BYN
5g. 470 BYN BYN BYN
10g. 920 BYN BYN

Commemorative coins

1 USD1.9850 / 1.9980 1 EUR2.4200 / 2.4400 100 RUB3.4800 / 3.5300 10 CNY3.0250 / 3.1650 1 GBP2.7280 / 2.7910

Issuance parameters of the two hundred and second – two hundred and tenth issue of Belarusbank bearer bonds for individuals

Parameter

Issue 202

Issue 203

Issue 204

Issue 205

Issue 206

Issue 207

Issue 208

Issue 209

Issue 210

Issue volume

USD 40,000,000

USD 60,000,000

USD 50,000,000

USD 50,000,000

USD 50,000,000

USD 50,000,000

USD 50,000,000

EUR 40,000,000

EUR 60,000,000

Nominal value

USD 1,000

USD 3,000

USD 5,000

USD 1,000

USD 5,000

USD 1,000

USD 5,000

EUR 1,000

EUR 3,000

Quantity

40,000 bonds

20,000 bonds

10,000 bonds

50,000 bonds

10,000 bonds

50,000 bonds

10,000 bonds

40,000 bonds

20,000 bonds

Form and type of bonds

Certificated, in the bearer form, interest-bearing, non-convertible

Starting date of bonds sale

26/02/2016

Placement period

1.5 years (from 26/02/2016 till 31/08/2017)

Circulation period

733 consecutive days (from 26/02/2016 till 28/02/2018)

825 consecutive days (from 26/02/2016 till 31/05/2018)

917 consecutive days (from 26/02/2016 till 31/08/2018)

978 consecutive days (from 26/02/2016 till 31/10/2018)

Starting date of redemption

28/02/2018

31/05/2018

31/08/2018

31/10/2018

Rate of return

5.0 percent per annum

Periodicity of yield payment

Once every three months

(starting dates of yield payment: 31/05/2016, 31/08/2016, 30/11/2016, 28/02/2017, 31/05/2017, 31/08/2017, 30/11/2017, 28/02/2018)

Once every three months

(starting dates of yield payment: 31/05/2016, 31/08/2016, 30/11/2016, 28/02/2017, 31/05/2017, 31/08/2017, 30/11/2017, 28/02/2018, 31/05/2018)

Once every three months

(starting dates of yield payment: 31/05/2016, 31/08/2016, 30/11/2016, 28/02/2017, 31/05/2017, 31/08/2017, 30/11/2017, 28/02/2018, 31/05/2018, 31/08/2018)

Once every three months

(starting dates of yield payment: 31/05/2016, 31/08/2016, 30/11/2016, 28/02/2017, 31/05/2017, 31/08/2017, 30/11/2017, 28/02/2018, 31/05/2018, 31/08/2018, 31/10/2018)

Procedure of bond placement

Placement is performed at a price equal to the nominal value of bond by public sale to individuals on the over-the-counter market

Early redemption

Early redemption is carried out at the request of the bond holder, but not before the expiration of eighteen months from the date of its sale by the bank, and in case of disagreement of the bond holder with substitution of collateral for bonds, initiated by the bank, by paying the nominal value of the bond and unearned interest on it for the entire bond holding period (from the date following the date of bonds sale up to and including the date of its early redemption)

Series, number

202

000001 - 040000

203

000001 - 020000

204

000001 - 010000

205

000001 - 050000

206

000001 - 010000

207

000001 - 050000

208

000001 - 010000

209

000001 - 040000

210

000001 - 020000

Debt security

Pledge of government bonds denominated in foreign currency (USD), issue 152

Pledge of government bonds denominated in foreign currency (EUR), issue 172

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