Investments

Trust your profitable investments to IDBank

Investment services

Distribute the funds profitably

Repo/reverse repo deals

Apply for a loan on favorable terms

Bond secured loans

Investment services

and securities transactions

Repo/reverse repo deals

Allocation of short-term funds

Bond secured loans

Loans with special conditions

Bonds are a popular financial instrument. They are safe, highly profitable and have a number of advantages. You can become a bondholder regularly receive interest in the form of coupons. At the end of the term the Bank will pay the nominal value of the bonds.

Bonds
Investment services
Repo/reverse repo deals
Forward contracts

3rd issue of 2024

AMANLBB2QER7

27 months

Maturity period

֏

Currency

9.50%

Annual coupon interest rate

From June 17, 2024 to August 16, 2024 inclusive, “ID Bank” CJSC will place nominal, coupon, non-documentary, non-convertible bonds through public offer under the abbreviation AMANLBB2QER7.

Below presented:
  • Final release conditions
  • The price of one bond during the placement period
  • Application for legal entities
  • Application for individuals
Type
Nominal coupon bonds
Nominal value of bonds
AMD 10 000 (ten thousand)
Total volume
AMD 3,000,000,000 (three billion)
Quantity
300 000 /three hundred thousand/
Maturity
27 months
Date of issue
June 17, 2024
Start of the placement
June 17, 2024
End of the placement
August 16, 2024
Date of redemption
September 17, 2026
Annual coupon interest rate
9․50%
Payout frequency
Quarterly
Issuer (name of the Issuer)
«ID Bank» CJSC

2nd issue of 2024

AMANLBB2PER9

39 months

Maturity period

$

Currency

4.75%

Annual coupon interest rate

From May 13, 2024 to Jul 12, 2024 inclusive, “ID Bank” CJSC will place nominal, coupon, non-documentary, non-convertible bonds through public offer under the abbreviation AMANLBB2PER9.

Below presented:
  • Final release conditions
  • The price of one bond during the placement period
  • Application for legal entities
  • Application for individuals
Type
Nominal coupon bonds
Nominal value of bonds
100 $
Total volume
5,000,000 $
Quantity
50,000
Maturity
39 months
Date of issue
May 13, 2024
Start of the placement
May 13, 2024
End of the placement
Jul 12, 2024
Date of redemption
August 13, 2027
Annual coupon interest rate
4.75%
Payout frequency
Quarterly
Issuer (name of the Issuer)
«ID Bank» CJSC

1st issue of 2024

AMANLBB2OER2

27 months

Maturity period

$

Currency

4.25%

Annual coupon interest rate

From Match 21, 2024 to May 21, 2024 inclusive, “ID Bank” CJSC will place nominal, coupon, non-documentary, non-convertible bonds through public offer under the abbreviation AMANLBB2OER2.

Below presented:
  • Final release conditions
  • The price of one bond during the placement period
  • Application for legal entities
  • Application for individuals
Type
Nominal coupon bonds
Nominal value of bonds
100 $
Total volume
5,000,000 $
Quantity
50,000
Maturity
27 months
Date of issue
March 21, 2024
Start of the placement
March 21, 2024
End of the placement
May 21, 2024
Date of redemption
June 21, 2026
Annual coupon interest rate
4.25%
Payout frequency
Quarterly
Issuer (name of the Issuer)
«ID Bank» CJSC

1st issue of 2023

AMANLBB2NER4

27 months

Maturity period

$

Currency

4.25%

Annual coupon interest rate

From November 20, 2023 to January 19, 2023 inclusive, “ID Bank” CJSC will place nominal, coupon, non-documentary, non-convertible bonds through public offer under the abbreviation AMANLBB2NER4.

Below presented:
  • Final release conditions
  • The price of one bond during the placement period
  • Application for legal entities
  • Application for individuals
Type
Nominal coupon bonds
Nominal value of bonds
100 $
Total volume
5,000,000 $
Quantity
50,000
Maturity
27 months
Date of issue
November 20, 2023
Start of the placement
November 20, 2023
End of the placement
January 19, 2024
Date of redemption
February 20, 2026
Annual coupon interest rate
4.25%
Payout frequency
Quarterly
Issuer (name of the Issuer)
«ID Bank» CJSC

2nd issue of 2023

AMANLBB2MER6

27 months

Repayment period

$

Currency

4.25%

Annual coupon interest rate

From August 03, 2023 to September 29, 2023 inclusive, “ID Bank” CJSC will place nominal, coupon, non-documentary, non-convertible bonds through public offer under the abbreviation AMANLBB2MER6.

Below presented:
  • Final release conditions
  • The price of one bond during the placement period
  • Application for legal entities
  • Application for individuals
Type
Nominal coupon bonds
Nominal value of bonds
100 $
Total volume
3,000,000 $
Quantity
30,000
Maturity
27 months
Date of issue
August 03, 2023
Start of the placement
August 03, 2023
End of the placement
September 29, 2023
Date of redemption
November 03, 2025
Annual coupon interest rate
4.25%
Payout frequency
Quarterly
Issuer (name of the Issuer)
«ID Bank» CJSC

1st issue of 2023

AMANLBB2LER8

27 months

Repayment period

$

Currency

4.25%

Annual coupon interest rate

From July 24, 2023 to September 22, 2023 inclusive, “ID Bank” CJSC will place nominal, coupon, non-documentary, non-convertible bonds through public offer under the abbreviation AMANLBB2LER8.

Below presented:
  • Final release conditions
  • The price of one bond during the placement period
  • Application for legal entities
  • Application for individuals
Type
Nominal coupon bonds
Nominal value of bonds
100 $
Total volume
5,000,000 $
Quantity
50 000 /fifty thousand/
Maturity
27 months
Date of issue
July 24, 2023
Start of the placement
July 24, 2023
End of placement
September 22, 2023
Date of redemption
October 24, 2025
Annual coupon interest rate
4.25%
Payout frequency
Quarterly
Issuer (name of the Issuer)
''IDBank'' CJSC

3rd issue of 2022

AMANLBB2KER0

27 months

Repayment period

$

Currency

3.75%

Annual coupon interest rate

From November 28, 2022 to February 24, 2023 inclusive, “ID Bank” CJSC will place nominal, coupon, non-documentary, non-convertible bonds through public offer under the abbreviation AMANLBB2KER0.

Below presented:
  • Final release conditions
  • The price of one bond during the placement period
  • Application for legal entities
  • Application for individuals
Type
Nominal coupon bonds
Nominal value of bonds
100 $
Total volume
5,000,000 $
Count
50,000
Term of circulation
27 months
Release Date
November 28, 2022
Start of placement
November 28, 2022
End of placement
February 24, 2023
Repayment date
February 28, 2025
Coupon annual yield
3.75%
Coupon payment frequency
Quarterly
Issuer
«ID Bank» CJSC

2nd issue of 2022

AMANLBB2JER2

27 months

Maturity period

AMD

Currency

9.5%

Coupon rate
Below presented:
  • Final release conditions
  • The price of one bond during the placement period
  • Application for legal entities
  • Application for individuals
Type
Nominal coupon bonds
Class
Nominal, coupon, non-documentary, non-convertible
Nominal value
AMD 10,000
Total volume
AMD 500,000,000
Quantity
50,000
Maturity
27 months
Date of issue
October 24, 2022
Start of the placement
October 24, 2022
End of the placement
January 23, 2023
Date of redemption
January 24, 2025
Annual coupon interest rate
9.5%
Payout frequency
Quarterly
Issuer (name of the Issuer)
«ID Bank» CJSC

1st issue of 2022

AMANLBB2IER4

27 months

Repayment period

$

Currency

3.75%

Annual coupon interest rate
Below presented:
  • Final release conditions
  • The price of one bond during the placement period
  • Application for legal entities
  • Application for individuals
Type
Nominal coupon bonds
Nominal value of bonds
100 $
Total volume
5,000,000 $
Count
50,000
Term of circulation
27 months
Release Date
October 24, 2022
Start of placement
October 24, 2022
End of placement
January 23, 2023
Repayment date
January 24, 2025
Coupon annual yield
3.75%
Coupon payment frequency
Quarterly
Issuer
«ID Bank» CJSC

3rd issue of 2022

AMANLBB2HER6

27 months

Repayment period

$

Currency

3.00%

Annual coupon interest rate

From April 5, 2022 to July 1, 2022 inclusive, “ID Bank” CJSC will place nominal, coupon, non-documentary, non-convertible bonds through public offer under the abbreviation AMANLBB2HER6.

Below presented:
  • Final release conditions
  • The price of one bond during the placement period
  • Application for legal entities
  • Application for individuals
Type
Nominal coupon bonds
Nominal value of bonds
100 $
Total volume
5,000,000 $
Count
50,000
Term of circulation
27 months
Release Date
April 5, 2022
Start of placement
April 5, 2022
End of placement
July 1, 2022
Repayment date
July 5, 2024
Coupon annual yield
3.00%
Coupon payment frequency
Quarterly
Issuer
"ID Bank" CJSC

2nd issue of 2022

AMANLBB2GER8

27 months

Maturity period

AMD

Currency

9.25%

Coupon rate

From February 25, 2022 to May 18, 2022 inclusive, “ID Bank” CJSC will place nominal, coupon, non-documentary, non-convertible bonds through public offer under the abbreviation AMANLBB2GER8.

Below presented:
  • Final release conditions
  • The price of one bond during the placement period
  • Application for legal entities
  • Application for individuals
Type
Nominal coupon bonds
Class
Nominal, coupon, non-documentary, non-convertible
Nominal value
AMD 10,000 (ten thousand)
Total volume
AMD 1,5,000,000 (one billion five hundred million)
Quantity
150,000 /one hundred fifty thousand/
Maturity
27 months
Date of issue
February 25, 2022
Start of the placement
February 25, 2022
End of the placement
May 18, 2022
Date of redemption
May 25, 2024
Annual coupon interest rate
9.25%
Payout frequency
Quarterly
Issuer (name of the Issuer)
«ID Bank» CJSC

1st issue of 2021

AMANLBB2CER7

30 months

Repayment period

$

Currency

5.00%

Annual coupon interest rate

IDBank has successfully placed the dollar bonds of the 2nd tranche issued in 2019. The total issue of the 2nd tranche is $ 5,000,000, the coupon annual income is 5%, the coupon will be paid on a quarterly basis, the term is 27 months. The placement is over on January 31. The funds attracted by the bonds are considered to be guaranteed bank deposits, guaranteed by the Deposit Guarantee Fund. The program prospectus of the bonds was registered in the Central Bank of the Republic of Armenia on June 5, 2020 by the Chairman of the Central Bank of the Republic of Armenia. By decision No. 1/291 A. The electronic version of the prospectus հիմնական the main terms of issue can be found on the official website of IDBank www.idbank.am.

Below presented:
  • Final release conditions
  • The price of one bond during the placement period
  • Application for legal entities
  • Application for individuals
  • Bond software prospectus 2020
  • About the bank software prospectus
  • Terms of gift cards provided to depositors and individuals purchasing bonds
Type
Nominal coupon bonds
Nominal value of bonds
100 $
Total volume
5,000,000 $
Count
50,000
Term of circulation
30 months
Release Date
January 21, 2021
Start of placement
April 21, 2021
End of placement
November 12, 2021
Repayment date
July 22, 2023
Coupon annual yield
5.00%
Coupon payment frequency
Quarterly
Issuer
"ID Bank" CJSC

2nd issue of 2020

AMANLBB2BER9

27 months

Repayment period

$

Currency

4․75%

Annual coupon interest rate

IDBank has successfully placed the dollar bonds of the 2nd tranche issued in 2019. The total issue of the 2nd tranche is $ 5,000,000, the coupon annual income is 5%, the coupon will be paid on a quarterly basis, the term is 27 months. The placement is over on January 31. The funds attracted by the bonds are considered to be guaranteed bank deposits, guaranteed by the Deposit Guarantee Fund. The program prospectus of the bonds was registered in the Central Bank of the Republic of Armenia on June 5, 2020 by the Chairman of the Central Bank of the Republic of Armenia. By decision No. 1/291 A. The electronic version of the prospectus հիմնական the main terms of issue can be found on the official website of IDBank www.idbank.am.

Below presented:
  • Final release conditions
  • The price of one bond during the placement period
  • Application for legal entities
  • Application for individuals
  • Bond software prospectus 2020
  • About the bank software prospectus
  • Terms of gift cards provided to depositors and individuals purchasing bonds
Type
Nominal coupon bonds
Nominal value of bonds
100 $
Total volume
5,000,000 $
Count
50,000
Term of circulation
27 months
Release Date
August 27, 2020
Start of placement
August 27, 2020
End of placement
November 26, 2020
Repayment date
November 27, 2020
Coupon annual yield
4․75%
Coupon payment frequency
Quarterly
Issuer
"ID Bank" CJSC

1st issue of 2020

AMANLBB2AER1

27 months

Repayment period

$

Currency

4․75%

Annual coupon interest rate
Below presented:
  • Final release conditions
  • The price of one bond during the placement period
  • Application for legal entities
  • Application for individuals
  • Bond software prospectus 2020
  • About the bank software prospectus
  • Terms of gift cards provided to depositors and individuals purchasing bonds
Type
Nominal coupon bonds
Nominal value of bonds
100 $
Total volume
5,000,000 $
Count
50,000
Term of circulation
27 months
Release Date
July 22, 2020
Start of placement
July 22, 2020
End of placement
October 20, 2020
Repayment date
October 22, 2020
Coupon annual yield
4․75%
Coupon payment frequency
Quarterly
Issuer
"ID Bank" CJSC

3rd issue of 2019

AMANLBB29ER7

27 months

Repayment period

֏

Currency

9.50%

Annual coupon interest rate

IDBank has successfully placed the dollar bonds of the 2nd tranche issued in 2019. The total issue of the 2nd tranche is $ 5,000,000, the coupon annual income is 5%, the coupon will be paid on a quarterly basis, the term is 27 months. The placement is over on January 31. The funds attracted by the bonds are considered to be guaranteed bank deposits, guaranteed by the Deposit Guarantee Fund. The program prospectus of the bonds was registered in the Central Bank of the Republic of Armenia on June 5, 2020 by the Chairman of the Central Bank of the Republic of Armenia. By decision No. 1/291 A. The electronic version of the prospectus հիմնական the main terms of issue can be found on the official website of IDBank www.idbank.am.

Below presented:
  • Final release conditions
  • The price of one bond during the placement period
  • Application for legal entities
  • Application for individuals
  • Bond software prospectus 2020
  • About the bank software prospectus
  • Terms of gift cards provided to depositors and individuals purchasing bonds
Type
Nominal coupon bonds
Nominal value of bonds
50,000 ֏
Total volume
250,000,000 ֏
Count
5,000 pieces
Term of circulation
27 months
Release Date
November 7, 2019
Start of placement
November 7, 2019
End of placement
January 31, 2020
Repayment date
February 7, 2022
Coupon annual yield
9.50%
Coupon payment frequency
Quarterly
Issuer
"ID Bank" CJSC

1st issue of 2022

AMANLBB2FER0

27 months

Repayment period

$

Currency

4.00%

Annual coupon interest rate

From February 7, 2022 to May 4, 2022 inclusive, “ID Bank” CJSC will place nominal, coupon, non-documentary, non-convertible bonds through public offer under the abbreviation AMANLBB2FER0.

Below presented:
  • Final release conditions
  • The price of one bond during the placement period
  • Application for legal entities
  • Application for individuals
Type
Nominal coupon bonds
Nominal value of bonds
100 $
Total volume
5,000,000 $
Count
50,000
Term of circulation
27 months
Release Date
07 February 2022
Start of placement
07 February 2022
End of placement
04 May 2022
Repayment date
07 May 2024
Coupon annual yield
4.00%
Coupon payment frequency
Quarterly
Issuer
"ID Bank" CJSC

3rd issue of 2021

AMANLBB2EER3

27 months

Repayment period

$

Currency

4.00%

Annual coupon interest rate

From December 21, 2021 to March 18, 2022 inclusive, “ID Bank” CJSC will place nominal, coupon, non-documentary, non-convertible bonds through public offer under the abbreviation AMANLBB2EER3.

Below presented:
  • Final release conditions
  • The price of one bond during the placement period
  • Application for legal entities
  • Application for individuals
Type
Nominal coupon bonds
Nominal value of bonds
100 $
Total volume
5,000,000 $
Count
50,000
Term of circulation
27 months
Release Date
21 December 2021
Start of placement
21 December 2021
End of placement
18 March 2022
Repayment date
21 March 2024
Coupon annual yield
4.00%
Coupon payment frequency
Quarterly
Issuer
"ID Bank" CJSC

2nd issue of 2019

AMANLBB28ER9

27 months

Repayment period

$

Currency

5.00%

Annual coupon interest rate

IDBank has successfully placed the dollar bonds of the 2nd tranche issued in 2019. The total issue of the 2nd tranche is $ 5,000,000, the coupon annual income is 5%, the coupon will be paid on a quarterly basis, the term is 27 months. The placement is over on January 31. The funds attracted by the bonds are considered to be guaranteed bank deposits, guaranteed by the Deposit Guarantee Fund. The program prospectus of the bonds was registered in the Central Bank of the Republic of Armenia on June 5, 2020 by the Chairman of the Central Bank of the Republic of Armenia. By decision No. 1/291 A. The electronic version of the prospectus հիմնական the main terms of issue can be found on the official website of IDBank www.idbank.am.

Below presented:
  • Final release conditions
  • The price of one bond during the placement period
  • Application for legal entities
  • Application for individuals
  • Bond software prospectus 2020
  • About the bank software prospectus
  • Terms of gift cards provided to depositors and individuals purchasing bonds
Type
Nominal coupon bonds
Nominal value of bonds
100 $
Total volume
5,000,000 $
Count
50,000
Term of circulation
27 months
Release Date
November 7, 2019
Start of placement
November 7, 2019
End of placement
January 31, 2020
Repayment date
November 27, 2022
Coupon annual yield
5.00%
Coupon payment frequency
Quarterly
Issuer
"ID Bank" CJSC

2nd issue of 2021

AMANLBB2DER5

27 months

Repayment period

$

Currency

4.00%

Annual coupon interest rate

IDBank has successfully placed the dollar bonds of the 2nd tranche issued in 2019. The total issue of the 2nd tranche is $ 5,000,000, the coupon annual income is 5%, the coupon will be paid on a quarterly basis, the term is 27 months. The placement is over on January 31. The funds attracted by the bonds are considered to be guaranteed bank deposits, guaranteed by the Deposit Guarantee Fund. The program prospectus of the bonds was registered in the Central Bank of the Republic of Armenia on June 5, 2020 by the Chairman of the Central Bank of the Republic of Armenia. By decision No. 1/291 A. The electronic version of the prospectus հիմնական the main terms of issue can be found on the official website of IDBank www.idbank.am.

Below presented:
  • Final release conditions
  • The price of one bond during the placement period
  • Application for legal entities
  • Application for individuals
  • Bond software prospectus 2020
  • About the bank software prospectus
  • Terms of gift cards provided to depositors and individuals purchasing bonds
Type
Nominal coupon bonds
Nominal value of bonds
100 $
Total volume
5,000,000 $
Count
50,000
Term of circulation
27 months
Release Date
August 20, 2021
Start of placement
August 20, 2021
End of placement
November 12, 2021
Repayment date
November 20, 2023
Coupon annual yield
4.00%
Coupon payment frequency
Quarterly
Issuer
"ID Bank" CJSC

1st issue of 2019

AMANLBB27ER1

30 months

Repayment period

$

Currency

5.25%

Annual coupon interest rate
Below presented:
  • Final release conditions
  • The price of one bond during the placement period
  • Application for legal entities
  • Application for individuals
  • Bond software prospectus 2019
  • Addendum to the Bond Program Prospectus 19.06.2019
  • Addendum to the Bond Program Prospectus 09.09.2019
  • Addendum to the Bond Program Prospectus 30.10.2019
  • About the bank software prospectus
  • Terms of gift cards provided to depositors and individuals purchasing bonds
Type
Nominal coupon bonds
Nominal value of bonds
100 $
Total volume
5,000,000 $
Count
50,000
Term of circulation
30 months
Release Date
February 20, 2019
Start of placement
February 20, 2019
End of placement
May 15, 2019
Repayment date
August 20, 2021
Coupon annual yield
5.25%
Coupon payment frequency
Quarterly
Issuer
"ID Bank" CJSC

Investment services

Securities operations and securities custody

Repo/reverse repo deals

Allocation of short-term funds

Forward contracts

Transactions at a pre-agreed exchange rate

Քարտ պատվիրելն այնքան հեշտ է
Փոխանցումներ հեռախոսահամարով
Բոլոր հաշիվներդ մեկ վայրում
Rocket Line անհատական սահմանաչափ

Currency rates

Currency converter

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1 USD
385
390
1 EUR
418
431
1 RUB
3.88
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1 AMD = 0.002564103 USD
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1 USD = 384 AMD

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Ներբեռնեք բջջային հավելվածը ու 24/7 փոխարկեք տարադրամը լավագույն պայմաններով։


*In case of concluding a transaction of more than AMD 50.000.000 or equivalent, the exchange rates are set on a contractual basis.
Updated at: 2024.10.10 10:48:02

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Information updated 10.10.2024 10:38
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