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