Designation
              Emprunt obligataire "TPBF 6,50% 2013-2020"
          Nature of the Securities
              Obligations
          Symbol
              TPBF.O3
          ISIN 
              BF0000000182
          Gross Annual Interest Rate
              6,50%
          Secondary market
              BRVM Compartiment des Obligations
          Indicative loan amount (for reference)
              55 000 000 000 F. CFA
          Effective loan amount
              121 600 000 000 F. CFA
          Nominal Value
              10 000 F. CFA
          Number of Securities
              12 160 000
          Issue Price
              10 000 F. CFA
          Effective Date
              29-nov.-13
          Net Annual Interest Rate
              IRVM à 0% :  6,50%
          Gross coupon amount
              650,00 F.CFA
          Net Coupon Amount
              650,00 F.CFA
          Payment terms
              semestriel
          Duration
              7 ans
          Repayment method
              Différé 2 ans , amortissement constant (Ac) de 1/10
          Redemption Price
              10 000 
           
        
   
 