On 19 June 2022, based on the contract concluded between the Central Registry and the issuer MUNICIPALITY OF PELAGIĆEVO, the Central Registry made a payment from a special purpose account to the accounts of the owners of the 2st annuity of issuer's bonds, with local designation OSPE-O-A.The total value of due obligations is in the amount of 48.150,96 KM for principal amount and 28.825,59 KM based on interest..Insight into the account balance for a special purpose on June  16, 2023, The Central Registry has established that  the issuer OpŠtina PELAGIĆEVO has paid the value of the 2th  annuity to the special purpose.