security Information

Security No. 150343 Security Name Jordan Mortgage Refinance Bonds 297
Reuter Code MR297 ISIN JO3110561045
CFI Code
DBFSGR
D =  Debt Instruments  
B =  Bonds  
F =  Fixed Rate  
S =  Secured  
G =  Fixed maturity with call feature  
R =  Registered  
FISN JO MTG/4.00 CORP BD 20260216 JT
Security Type Bonds Security Category Corporate Bonds Security Status Non-traded
Issue No. 297 Nominal Value 1,000.00 Issue Date 16-02-2021
No. of Interest Payments 2 Interest Rate 4.000 % Maturity Date 16-02-2026
No. of issued securities 5,000 Total value of issued securities 5,000,000
No. of redeemed securities 0 Redeemed value of issuance 0
No. of active securities 5,000 Value of outstanding issuance 5,000,000
Traded Securities 0 Trading Currency Jordanian Dinar
    Average Price   
   Close Price   
Share Book Nationality Analysis
Nationality Shareholders Securities
Deposited Non-Deposited Total Deposited Non-deposited Total
No. % No. % No. % No. % No. % No. %
Deposited Share Book Category & Nationality Analysis
Investor Category Jordanian Arab Foreign Total
Shareholders Securities Shareholders Securities Shareholders Securities Shareholders Securities
Institutions 1 5,000 0 0 0 0 1 5,000
total 1 5,000 0 0 0 0 1 5,000
Major Investors Who Own More Than 1%
Serial Investor Name Nationality %
1 المؤسسة العامة للضمان الاجتماعي Jordanian 100.000
Share