According to the prospectus of the bonds ISIN AZ2024008685, AZ2025008684, AZ2026008683 issued by the Azerbaijan Mortgage and Credit Guarantee Fund as at the date of payment of interest on the bonds, it is planned to pay a certain part of the bonds' nominal value (equal to the payment of the principal

  debt on the assets included in the pledge) together with the payment of interest.

 Mortgage and Guarantee Fund of the Republic of Azerbaijan provided information that on November 17th 2021, the issuer made the next payment of interest on AZ2024008685, AZ2025008684, AZ2026008683.

Respectively, as of November 17th, 2021, the nominal balance of these bonds is 700.94 AZN.

 In the next period, the interest payment rate of 3% will be calculated for 700.94 AZN.

 Baku Stock Exchange should take into account that the market price of the bond is 700.94 AZN when trading with ISIN AZ2024008685, AZ2025008684, AZ2026008683.