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*Source: Executing Broker
- Type Bond
- Code CFMB014
- Listing Category Category A
- ISIN GE2700604608
- Size of Issue 65,000,000
- Nominal Value 10,000
- Trading Currency GEL
- Coupon Rate TIBR6M+3.5%
- Couporn Frequency Quarterly
- Maturity Date 27/12/2026
- Date of Issue 27/12/2023