Issued corporate bonds

Issued corporate bonds

Third corporate bond issue

 

Second corporate bond issue

  • Issuer – Bulgarian Development Bank;
  • ISIN code of the issue – BG2100014104;
  • Issue amount – EUR 20,000,000;
  • Date of the issue – 30.12.2010;
  • Maturity of the issue – 30.12.2015;
  • Interest rate – fixed 4.80% p.a. with quarterly coupon payments;
  • Market – Bulgarian Stock Exchange – Sofia;
  • Code – BI6B;


For more information:

Prospectus Summary (Bulgarian version only)

Registration Document (Bulgarian version only)

Document on the available corporate bonds (Bulgarian version only)

 
  • Issuer – Bulgarian Development Bank;
  • ISIN code of the issue - BG2100005102;
  • Issue amount – EUR 20,000,000;
  • Date of the issue – 15.05.2010;
  • Maturity of the issue – 15.05.2015;
  • Interest rate – fixed 5.00% p.a. with quarterly coupon payments;
  • Market – Bulgarian Stock Exchange – Sofia;
  • Code – BI6A;

 

For more information:

Prospectus Summary (Bulgarian version only)

Registration Document (Bulgarian version only)

Document on the available corporate bonds (Bulgarian version only)

 

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Exchange rates

Interest indices

Exchange rates

Currency Buy For sale
USD 1.215 1.1798
Currency Buy For sale
USD 1.2135 1.181
GBP 0.8765 0.8487
CHF 0.9284 0.899
Currency Fixing
CHF 0.9182
USD 1.1968
GBP 0.8662

Interest rate indices current as of 28.01.2026

Name Value
1 Месец 1.954
3 Месеца 2.026
6 Месеца 2.149

Apply

Online banking

Exchange rates

Interest rate

Exchange rates

Currency Buy For sale
USD 1.215 1.1798
Currency Buy For sale
USD 1.2135 1.181
GBP 0.8765 0.8487
CHF 0.9284 0.899
Currency Fixing
CHF 0.9182
USD 1.1968
GBP 0.8662

Interest rate indices current as of 28.01.2026

Name Value
1 Месец 1.954
3 Месеца 2.026
6 Месеца 2.149