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FINANCIERA PARAGUAYO JAPONESA S.A.E.C.A.

FINANCIERA PARAGUAYO JAPONESA S.A.E.C.A.

PYJAP03F0009

BonoGuaraníes (G$)A
11.00%
Nominal annual rate

Instrument details

Currency
Guaraníes
Term
1 year 6m
Total amount
Gs. 30.000.000.000
Issue date
24 February 2026
Maturity date
27 August 2027
Principal payment
Al vencimiento
Interest payment
Trimestral

Summary

The FINANCIERA PARAGUAYO JAPONESA S.A.E.C.A. bono (ISIN PYJAP03F0009) pays a nominal annual rate of 11.00% in guaraníes over a term of 18 months. It was issued on 24 February 2026 for a total amount of Gs. 30.000.000.000 and matures on 27 August 2027. 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 in line with the Paraguayan market median for instruments of the same type and currency, currently 11.00%.

Data updated on 27 April 2026View the original BVA listing

Returns Simulator

Invested capital

Gs. 5.000.000

Term

1 year 6m

Annual rate

11.00%

Annual return

Gs. 550.000

Period return

Gs. 825.000

Capital + Period return

Gs. 5.825.000

*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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