Bond repaid
ISIN | RU000A0JT965 |
---|---|
Валюта | rub |
Время посл. сделки | 18:40:02 |
Выплата купона, дн | 0 |
Годовой купон | 0.00 |
Дата оферты | — |
Дата погашения | 17-10-2022 |
Дата размещения | 29-10-2012 |
Дата след. выплаты | 30-11--001 |
Дох. купона, годовых от ном | nan% |
Доходность | 0% |
Дюрация, дней | 0 |
Имя облигации | ПАО НК Роснефть обл.05 |
Код бумаги | RU000A0JT965 |
Кредитный рейтинг | AAA |
Купон | 0 руб |
НКД | 0 руб |
Номинал | 1000 |
Объем выпуска, млн руб | 10 000 |
Объем день, млн руб | 0.0 |
Объем день, штук | 0 |
Сектор | Нефтегазовая отрасль |
Только для квалов | Нет |
Уровень листинга | 1 |
Цена послед | 100% |
Change price per day: | 0% (1000) |
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Change price per week: | 0% (1000) |
Change price per month: | +0.04% (999.6) |
Change price per 3 month: | 0% (1000) |
Change price per half year: | +0.321% (996.8) |
Change price per year: | -0.01% (1000.1) |
Change price per year to date: | +0.03% (999.7) |
Title | Code | Coupon yield, % | Yield to maturity, % | Price, % | Payout frequency | Posting date | Next payment date | Date of offer | Maturity date |
---|---|---|---|---|---|---|---|---|---|
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RU000A10A125 | 12.00% | 19.86% | 96.51 | 182 | 11-11-2024 | 12-05-2025 | — | 30-10-2034 |
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RU000A1057S2 | 9.00% | -0.35% | 103.72 | 182 | 20-09-2022 | 16-09-2025 | 20-09-2024 | 07-09-2032 |
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RU000A103FC3 | 6.70% | 6.57% | 0 | 182 | 23-07-2021 | 18-07-2025 | 24-07-2024 | 11-07-2031 |
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RU000A102EF1 | 15.00% | 12.92% | 101.3 | 182 | 26-11-2020 | 22-05-2025 | 26-11-2024 | 14-11-2030 |
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RU000A102EE4 | 15.00% | 12.92% | 101.3 | 182 | 26-11-2020 | 22-05-2025 | 26-11-2024 | 14-11-2030 |
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RU000A101SF3 | 5.80% | 22.55% | 98.36 | 91 | 10-06-2020 | 04-06-2025 | 09-06-2025 | 29-05-2030 |
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RU000A100YQ0 | 9.00% | 14.75% | 83.61 | 91 | 24-10-2019 | 17-07-2025 | 23-04-2024 | 11-10-2029 |
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RU000A100KY3 | 9.00% | 15.27% | 82.52 | 182 | 15-07-2019 | 07-07-2025 | 11-07-2024 | 02-07-2029 |
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RU000A1008P1 | 9.00% | 17.06% | 79.75 | 91 | 05-04-2019 | 27-06-2025 | 03-04-2024 | 23-03-2029 |
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RU000A1008Q9 | 9.00% | 0% | 0 | 91 | 05-04-2019 | 27-06-2025 | 03-04-2024 | 23-03-2029 |
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RU000A0ZYVU5 | 9.00% | 17.06% | 83.79 | 182 | 02-03-2018 | 22-08-2025 | 28-02-2024 | 18-02-2028 |
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RU000A0ZYT40 | 14.00% | 19.91% | 96.42 | 182 | 15-02-2018 | 07-08-2025 | 11-02-2025 | 03-02-2028 |
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RU000A0ZYLG5 | 9.30% | 20.75% | 94 | 182 | 21-12-2017 | 12-06-2025 | 20-12-2022 | 09-12-2027 |
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RU000A0ZYJH7 | 15.00% | 12.99% | 101.3 | 182 | 06-12-2017 | 28-05-2025 | 02-12-2024 | 24-11-2027 |
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RU000A0ZYJJ3 | 15.00% | 12.99% | 101.3 | 182 | 06-12-2017 | 28-05-2025 | 02-12-2024 | 24-11-2027 |
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RU000A0ZYCP5 | 12.00% | 12.32% | 100 | 182 | 12-10-2017 | 02-10-2025 | 08-10-2024 | 30-09-2027 |
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RU000A0JXXD3 | 16.00% | 16.5% | 100.01 | 182 | 26-07-2017 | 16-07-2025 | 20-01-2025 | 14-07-2027 |
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RU000A0JXXE1 | 16.00% | 16.5% | 100.01 | 182 | 26-07-2017 | 16-07-2025 | 20-01-2025 | 14-07-2027 |
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RU000A0JXR68 | 8.60% | 0% | 0 | 91 | 18-05-2017 | 08-05-2025 | — | 08-05-2025 |
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RU000A0JXQK2 | 9.00% | 16.33% | 88.87 | 182 | 04-05-2017 | 24-04-2025 | 02-05-2024 | 22-04-2027 |
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RU000A0JX413 | 9.50% | 0% | 0 | 182 | 29-12-2016 | 19-06-2025 | — | 17-12-2026 |
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RU000A0JX355 | 15.00% | 21.72% | 96.71 | 182 | 23-12-2016 | 13-06-2025 | 18-12-2024 | 11-12-2026 |
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RU000A0JX132 | 15.00% | 13.36% | 103.2 | 91 | 07-12-2016 | 28-05-2025 | 02-12-2024 | 25-11-2026 |
The bond is currently worth 1000 rub (100%). The bond will mature on 17-10-2022. Coupon yield is 0%, the next coupon payment will be 30-11--001 in the amount of 0 rub.
Bond yield is 0% per annum, paid 0 once per year. Coupon income has already accumulated 0 rub.
Bond yield is 0% per annum, paid 0 once per year. Coupon income has already accumulated 0 rub.