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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Online banking

Exchange rates

Interest indices

Exchange rates

Currency Buy
for 1 EUR
For sale
for 1 EUR
USD 1.1962 1.1616
Currency Buy
for 1 EUR
For sale
for 1 EUR
USD 1.1947 1.1628
GBP 0.8833 0.8552
CHF 0.9228 0.8935
Currency Fixing
USD 1.1784
GBP 0.8714
CHF 0.913

Interest rate indices current as of 24.02.2026

Name Value
1 Месец 1.942
3 Месеца 2.041
6 Месеца 2.149

Apply

Online banking

Exchange rates

Interest rate

Exchange rates

Currency Buy
for 1 EUR
For sale
for 1 EUR
USD 1.1962 1.1616
Currency Buy
for 1 EUR
For sale
for 1 EUR
USD 1.1947 1.1628
GBP 0.8833 0.8552
CHF 0.9228 0.8935
Currency Fixing
USD 1.1784
GBP 0.8714
CHF 0.913

Interest rate indices current as of 24.02.2026

Name Value
1 Месец 1.942
3 Месеца 2.041
6 Месеца 2.149