Central Registry performed clearing of due obligations upon maturity of the bond with the following data:
Security code
OSOD-O-A
Coupon/annuity number
31
Issuer
Opština Srbac
Due date
19.9.2025
Date of clearing
19.9.2025
Term of the payment to the account of CR
22.9.2025
Value of due obligations (BAM):
Principal
80.468,81
Interest
34.173,77
Total
114.342,58