
IBI S.A.E.C.A.
PYIBI06F2902
Instrument details
- Currency
- Guaraníes
- Term
- 5 years 10m
- Total amount
- Gs. 2.000.000.000
- Issue date
- 08 January 2026
- Maturity date
- 02 October 2031
- Principal payment
- Al vencimiento

PYIBI06F2902
The IBI S.A.E.C.A. bono (ISIN PYIBI06F2902) pays a nominal annual rate of 11.60% in guaraníes over a term of 70 months. It was issued on 08 January 2026 for a total amount of Gs. 2.000.000.000 and matures on 02 October 2031. Principal is repaid al vencimiento and interest is paid trimestral. The issue carries a A credit rating, which is a rating agency's opinion on the issuer's ability to pay and not a guarantee of return. Its rate is above the Paraguayan market median for instruments of the same type and currency, currently 11.00%.
Invested capital
Gs. 5.000.000
Term
5 years 10m
Annual rate
11.60%
Annual return
Gs. 580.000
Period return
Gs. 3.383.333,333
Capital + Period return
Gs. 8.383.333,333
*Simulation for educational purposes only. Does not constitute financial advice.
The calculation uses simple interest on the nominal annual rate: it does not compound interest even when the instrument pays periodically, and it does not deduct withholding taxes, broker fees or the effect of inflation. Your net return will be lower.
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