ВТБ С1-713

Yield per half year: 4.66%
Category: Corporate

ISIN RU000A0NTYA7
Валюта rub
Выплата купона, дн 1092
Годовой купон 0.00 руб
Дата оферты
Дата погашения 25-09-2026
Дата размещения 29-09-2023
Дата след. выплаты 25-09-2026
Дох. купона, годовых от ном 0.01%
Доходность 28.71%
Дюрация, дней 492
Имя облигации Банк ВТБ (ПАО) С-1-713
Код бумаги RU000A0NTYA7
Кредитный рейтинг AAA
Купон 0.3 руб
НКД 0.16 руб
Номинал 1000
Объем выпуска, млн руб 428
Объем день, млн руб 0.2
Объем день, штук 332
С амортизацией no
Сектор Банки
Текущая доходность купона 0.01%
Тип купона Fixed
Только для квалов Да
Уровень листинга 3
Цена послед 71.17%
Частота купона, раз в год 0.33
Change price per day: -3.37% (736.5)
Change price per week: -0.3221% (714)
Change price per month: -2.43% (729.4)
Change price per 3 month: +14.33% (622.5)
Change price per half year: +4.66% (680)
Change price per year: -28.84% (1000.1)
Change price per year to date: +2.55% (694)

Title Code Coupon yield, % Yield to maturity, % Price, % Payout frequency Posting date Next payment date Date of offer Maturity date
ВЭБ2Р-К598 RU000A10ADB0 20.50% 0% 0 364 15-05-2025 14-05-2026 14-05-2026
ВЭБ2Р-К604 RU000A10B5X3 20.74% 22.84% 100 21 15-05-2025 05-06-2025 05-06-2025
ВЭБ2Р-К615 RU000A10B685 20.77% 22.83% 100 28 14-05-2025 11-06-2025 11-06-2025
ВЭБ2Р-К614 RU000A10B677 20.81% 0% 0 28 07-05-2025 04-06-2025 04-06-2025
ВЭБ2Р-К504 RU000A107XG8 21.10% 0% 0 364 28-04-2025 27-04-2026 27-04-2026
ВЭБ2Р-К611 RU000A10B644 20.90% 0% 0 28 25-04-2025 23-05-2025 23-05-2025
ВЭБ2Р-50 RU000A10B8D9 0% 100.48 91 08-04-2025 08-07-2025 06-04-2027
ВЭБ2Р-49 RU000A10B3C2 0% 100.45 30 17-03-2025 15-06-2025 07-03-2027
ВЭБ2Р-К601 RU000A10AYN1 21.26% 19.03% 102.59 30 24-02-2025 25-05-2025 19-02-2026
ВЭБ2Р-К600 RU000A10AUY6 21.30% 20.83% 101.2 30 12-02-2025 12-06-2025 16-12-2025
ВЭБ2Р-48 RU000A10ACF3 0% 100.12 30 18-12-2024 16-06-2025 08-12-2026
ВЭБP-47 RU000A10A7F7 0% 0 30 03-12-2024 01-06-2025 23-11-2026
ВЭБ2P-К503 RU000A107XF0 22.65% 0% 0 364 01-11-2024 31-10-2025 31-10-2025
ВЭБP-43 RU000A107XC7 0% 99.24 91 26-09-2024 26-06-2025 20-09-2029 20-09-2029
ВЭБP-42 RU000A107XB9 0% 99.25 91 05-08-2024 04-08-2025 30-07-2029 30-07-2029
ВЭБP-41 RU000A107XA1 0% 96 91 25-07-2024 24-07-2025 20-07-2028 20-07-2028
ВЭБP-40 RU000A107X96 0% 91.2 91 09-04-2024 08-07-2025 30-03-2032 30-03-2032
sВЭБP-39 RU000A107AU7 0% 93.39 91 30-11-2023 29-05-2025 23-05-2030
ВТБ С1-713 RU000A0NTYA7 0.01% 28.71% 71.17 1092 29-09-2023 25-09-2026 25-09-2026
ВЭБP-38 RU000A106WW9 0% 97.93 91 19-09-2023 23-07-2025 18-07-2029
ВТБ С1-518 RU000A1069H0 0.01% 28.52% 72.79 1101 21-08-2023 26-08-2026 26-08-2026
ВЭБP-37 RU000A106LL5 0% 91.88 91 25-07-2023 04-06-2025 25-08-2032
ВЭБP-36 RU000A105YH8 0% 95.07 91 16-03-2023 25-06-2025 18-09-2030
ВЭБ1P-35 RU000A105M83 9.55% 20.15% 95.07 182 15-12-2022 12-06-2025 11-12-2025
ВЭБ1P-32 RU000A104Z63 10.20% 0% 0 182 22-07-2022 18-07-2025 14-01-2028 14-01-2028
sВЭБ2P-33 RU000A104Z48 10.20% 19.06% 86.18 182 21-07-2022 17-07-2025 15-07-2027
ВЭБP-31 RU000A1042W6 0% 97.54 91 23-11-2021 23-07-2025 18-10-2028
ВЭБ1P-29 RU000A1031Z2 7.97% 19.78% 90.92 182 07-05-2021 31-10-2025 01-05-2026
ВЭБ1P-28 RU000A1031Y5 7.97% 19.89% 90.89 182 05-05-2021 29-10-2025 29-04-2026
ВЭБ1P-24 RU000A1031S7 8.13% 0% 0 182 27-04-2021 21-10-2025 18-04-2028
ВЭБ1P-25 RU000A1031T5 8.13% 0% 0 182 27-04-2021 21-10-2025 18-04-2028
ВЭБ1P-26 RU000A1031U3 8.13% 17.86% 80 182 27-04-2021 21-10-2025 18-04-2028
ВЭБ1P-20 RU000A101WE8 6.40% 0% 0 182 17-11-2020 11-11-2025 11-11-2025
ВЭБ 1P-19 RU000A101TB0 6.59% 18.98% 80.86 182 18-06-2020 12-06-2025 10-06-2027
ВЭБ1P-18 RU000A1013P1 7.27% 19.82% 85.43 182 26-11-2019 18-11-2025 17-11-2026
ВЭБUSD1P-1 RU000A0JVNL1 3.09% 4.09% 0 182 30-07-2015 17-07-2025 17-07-2025
ВЭБ.РФ Б11 RU000A0JUTB1 9.75% 0% 0 91 04-09-2014 24-02-2022 16-08-2029
ВЭБ.РФ 19 RU000A0JT6B2 14.21% 19.57% 96.5 182 18-10-2012 02-10-2025 04-04-2026 23-09-2032
ВЭБ.РФ 18 RU000A0JT403 17.09% 17.21% 101 182 12-10-2012 26-09-2025 28-09-2027 17-09-2032
ВЭБ.РФ 21 RU000A0JS4Z7 19.15% 18.2% 102.99 182 13-03-2012 26-08-2025 27-02-2025 17-02-2032
ВЭБ1P-23В RU000A102K96 3.25% 3.91% 99.65 182 18-06-2025 17-12-2025
ВЭБ1P-30В RU000A103FY7 3.38% 5.78% 97.4 182 24-07-2025 23-07-2026

The bond is currently worth 711.7 rub (71.17%). The bond will mature on 25-09-2026. Coupon yield is 0.01%, the next coupon payment will be 25-09-2026 in the amount of 0.3 rub.
Bond yield is 28.71% per annum, paid 0 once per year. Coupon income has already accumulated 0.16 rub.