Central Registry performed clearing of due obligations upon maturity of the bond with the following data:
 
Security code
OSPE-O-A
Coupon/annuity number
6
Issuer
Opština Pelagićevo
Due date
16.6.2025
Date of clearing
16.6.2025
Term of the payment to the account of CR
30.6.2025
Value of due obligations (BAM):
Principal
53.149,65
Interest
23.826,89
Total
76.976,54