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GGMA

Ticker GGMA
Issuer "Geghama" OJSC
ISIN AMGGMAS10GR7
Admittance date 15.10.2001
Class Common nominal stock
Listing category C
Currency AMD
Nominal value per security 10,000.00
Quantity 43,717
Quantity outstanding 43,717
Volume 437,170,000.00
Status Delisted
Date delisted/terminated 24.03.2008

GHAC

Ticker GHAC
Issuer "Gavar Bread" OJSC
ISIN AMGHACS10GR6
Admittance date 16.01.2002
Class Common nominal stock
Listing category C
Currency AMD
Nominal value per security 10,000.00
Quantity 4,672
Quantity outstanding 4,672
Volume 46,720,000.00
Status Delisted
Date delisted/terminated 13.07.2004

GHRF

Ticker GHRF
Issuer "Gyumri Confectionery Factory" OJSC
ISIN AMGHRFS10SH9
Admittance date 06.02.2002
Class Common nominal stock
Listing category C
Currency AMD
Nominal value per security 10,000.00
Quantity 5,182
Quantity outstanding 5,182
Volume 51,820,000.00
Status Delisted
Date delisted/terminated 23.03.2004

GKND

Ticker GKND
Issuer "Gyukond" OJSC
ISIN AMGKNDS10GR6
Admittance date 09.01.2002
Class Common nominal stock
Listing category C
Currency AMD
Nominal value per security 10,000.00
Quantity 4,677
Quantity outstanding 4,677
Volume 46,770,000.00
Status Delisted
Date delisted/terminated 02.08.2006

GLBLB1

Ticker GLBLB1
Issuer "GLOBAL CREDIT" universal credit organization" CJSC
ISIN AMGLBLB21ER5
Admittance date 02.12.2015
Class Coupon bond
Listing category Bbond
Currency USD
Nominal value per security 100.00
Quantity 10,000
Quantity outstanding 10,000
Volume 1,000,000.00
Maturity date 17.11.2017
Duration 2 years
Coupon (%) 9.5%
Number of payments 4
Coupon dates 16/05/2016, 16/11/2016, 16/05/2017, 16/11/2017
Issue date 17.11.2015
Allocation start date 17.11.2015
Allocation end date 17.11.2015
Status Delisted
Date delisted/terminated 17.11.2017

GLBLB2

Ticker GLBLB2
Issuer "GLOBAL CREDIT" universal credit organization" CJSC
ISIN AMGLBLB12ER4
Admittance date 02.12.2015
Class Coupon bond
Listing category Cbond
Currency AMD
Nominal value per security 10,000.00
Quantity 10,000
Quantity outstanding 10,000
Volume 100,000,000.00
Maturity date 17.11.2016
Duration 1 year
Coupon (%) 15%
Number of payments 4
Coupon dates 16/02/2016, 16/05/2016, 16/08/2016, 16/11/2016.
Issue date 17.11.2015
Allocation start date 17.11.2015
Allocation end date 17.11.2015
Status Delisted
Date delisted/terminated 17.11.2016

GLBLB3

Ticker GLBLB3
Issuer "GLOBAL CREDIT" universal credit organization" CJSC
ISIN AMGLBLB23ER1
Admittance date 05.12.2016
Class Coupon bond
Listing category Bbond
Currency USD
Nominal value per security 100.00
Quantity 10,000
Quantity outstanding 10,000
Volume 1,000,000.00
Maturity date 24.11.2019
Duration 3 years
Coupon (%) 9%
Number of payments 6
Coupon dates 23/05/2017, 23/11/2017, 23/05/2018, 23/11/2018, 23/05/2019, 23/11/2019
Issue date 24.11.2016
Allocation start date 24.11.2016
Allocation end date 24.11.2016
Status Delisted
Date delisted/terminated 24.11.2019

GLBLB4

Ticker GLBLB4
Issuer "GLOBAL CREDIT" universal credit organization" CJSC
ISIN AMGLBLB24ER9
Admittance date 05.12.2016
Class Coupon bond
Listing category Cbond
Currency AMD
Nominal value per security 10,000.00
Quantity 20,000
Quantity outstanding 20,000
Volume 200,000,000.00
Maturity date 24.11.2018
Duration 2 years
Coupon (%) 14%
Number of payments 4
Coupon dates 23/05/2017, 23/11/2017, 23/05/2018, 23/11/2018.
Issue date 24.11.2016
Allocation start date 24.11.2016
Allocation end date 24.11.2016
Status Termination of trading
Date delisted/terminated 24.11.2018

GLBLB5

Ticker GLBLB5
Issuer "GLOBAL CREDIT" universal credit organization" CJSC
ISIN AMGLBLB25ER6
Admittance date 08.12.2017
Class Coupon bond
Listing category Bbond
Currency USD
Nominal value per security 100.00
Quantity 10,000
Quantity outstanding 10,000
Volume 1,000,000.00
Maturity date 23.11.2020
Duration 3 years
Coupon (%) 7%
Number of payments 6
Coupon dates 22/05/2018, 22/11/2018, 22/05/2019թ., 22/11/2019, 22/05/2020, 22/11/2020
Issue date 23.11.2017
Allocation start date 23.11.2017
Allocation end date 23.11.2017
Status Delisted
Date delisted/terminated 23.11.2020

GLBLB6

Ticker GLBLB6
Issuer "GLOBAL CREDIT" universal credit organization" CJSC
ISIN AMGLBLB16ER5
Admittance date 08.12.2017
Class Coupon bond
Listing category Bbond
Currency AMD
Nominal value per security 10,000.00
Quantity 30,000
Quantity outstanding 30,000
Volume 300,000,000.00
Maturity date 23.11.2018
Duration 1 year
Coupon (%) 10%
Number of payments 2
Coupon dates 22/05/2018, 22/11/2018
Issue date 23.11.2017
Allocation start date 23.11.2017
Allocation end date 23.11.2017
Status Delisted
Date delisted/terminated 23.11.2018
Updated as of: 23.11.2020