Central Registry performed clearing of due obligations upon maturity of the bond with the following data:
 
Security code OSPE-O-A
Coupon/annuity number   3
Issuer Opština Pelagićevo
Due date 16.12.2023.
Date of clearing 18.12.2023
Term of the payment to the account of CR   28.12.2023
Value of due obligations (BAM):  
Principal 49.354,75
Interest 27.621,81
Total 76.976,56