Main settings
ISIN | RU000A107UA7 |
Валюта | rub |
Выплата купона, дн | 91 |
Годовой купон | 136.64 руб |
Дата оферты | 04-06-2027 |
Дата погашения | 21-02-2034 |
Дата размещения | 05-03-2024 |
Дата след. выплаты | 02-09-2025 |
Дох. купона, годовых от ном | 13.70% |
Доходность | 16.51% |
Дюрация, дней | 609 |
Имя облигации | ГПБ (АО) БО 005Р-03Р |
Кредитный рейтинг | AA+ |
Купон | 34.16 руб |
НКД | 15.39 руб |
Номинал | 1000 |
Объем выпуска, млн руб | 22 209 |
Объем день, млн руб | 0.3 |
Объем день, штук | 286 |
С амортизацией | no |
Сектор | Банки |
Текущая доходность купона | 14.13% |
Тип купона | Fixed |
Только для квалов | Нет |
Уровень листинга | 3 |
Частота купона, раз в год | 4.01 |
Change per day | +0.3726% (966.1) |
Change per week | +0.0929% (968.8) |
Change per month | +1.86% (952) |
Change per 3 month | +7.73% (900.1) |
Change per half year | +9.53% (885.3) |
Change per year | +5.99% (914.9) |
Change per year to date | +11.46% (870) |
Other bonds Газпромбанк
Title | Profitability coupon from current price, % | Yield to maturity, % | Price, % | Payout frequency | Posting date | Date of offer | Maturity date |
![]() RU000A10AZ78
|
0.0111 | 6.42 | 89.91 | 365 | 31-03-2025 | — | 31-03-2027 |
![]() RU000A10AXZ7
|
20.6 | 19.02 | 104.39 | 30 | 28-03-2025 | — | 26-03-2034 |
![]() RU000A10AG30
|
0.0154 | 32.04 | 65 | 365 | 31-01-2025 | — | 31-01-2027 |
![]() RU000A109EG4
|
0.0125 | 18.76 | 80 | 365 | 31-10-2024 | — | 31-10-2026 |
![]() RU000A109R19
|
0 | 25.39 | 98 | 91 | 08-10-2024 | — | 24-10-2027 |
![]() RU000A109DK8
|
0.0112 | 10.09 | 89 | 365 | 30-09-2024 | — | 30-09-2026 |
![]() RU000A1094P1
|
0.0095 | -4.5 | 105.35 | 365 | 30-08-2024 | — | 30-08-2026 |
![]() RU000A1097S8
|
0 | 25.29 | 96.34 | 91 | 13-08-2024 | — | 08-02-2028 |
![]() RU000A108UM0
|
0.01 | 0.02 | 99.99 | 365 | 31-07-2024 | — | 31-07-2026 |
![]() RU000A108VL0
|
20.81 | 0 | 98.49 | 31 | 01-07-2024 | — | 01-02-2028 |
![]() RU000A108LS6
|
0.0116 | 17.18 | 85.9 | 365 | 28-06-2024 | — | 28-06-2026 |
![]() RU000A108CG0
|
0.0116 | 8.4 | 85.95 | 365 | 31-05-2024 | — | 31-05-2027 |
![]() RU000A1084F3
|
0.0118 | 9.55 | 85 | 365 | 26-04-2024 | — | 26-04-2027 |
![]() RU000A1087C3
|
4.94 | 4.24 | 101.33 | 183 | 09-04-2024 | — | 09-04-2027 |
![]() RU000A107VZ2
|
0.013 | 16.56 | 77 | 365 | 29-03-2024 | — | 29-03-2027 |
![]() RU000A107UA7
|
14.13 | 16.51 | 96.97 | 91 | 05-03-2024 | 04-06-2027 | 21-02-2034 |
![]() RU000A107Q95
|
0.0122 | 12.97 | 82.01 | 365 | 29-02-2024 | — | 28-02-2027 |
![]() RU000A107GG3
|
0.0119 | 11.93 | 84 | 365 | 31-01-2024 | — | 30-01-2027 |
![]() RU000A107AS1
|
0.0128 | 18.29 | 78.33 | 365 | 28-12-2023 | — | 27-12-2026 |
![]() RU000A107F49
|
20.6 | 24.18 | 97.1 | 30 | 20-12-2023 | — | 20-06-2027 |
![]() RU000A107A28
|
13.24 | 16.74 | 96.3 | 92 | 28-11-2023 | — | 28-11-2026 |
![]() RU000A106YH6
|
12.85 | 13.78 | 93.4 | 184 | 27-09-2023 | — | 27-09-2033 |
![]() RU000A104YG3
|
0.0071 | -100 | 140 | 730 | 31-07-2023 | 30-07-2025 | 30-07-2025 |
![]() RU000A1064G3
|
10.79 | 17.29 | 92.66 | 183 | 18-04-2023 | 21-10-2026 | 18-04-2033 |
![]() RU000A105GW4
|
16.5 | 15.37 | 106.04 | 184 | 24-11-2022 | 29-05-2028 | 24-11-2032 |
![]() RU000A104B46
|
15.87 | 16.01 | 102.39 | 183 | 27-12-2021 | 02-07-2029 | 27-12-2031 |
![]() RU000A101EQ0
|
5.46 | 12.32 | 59.5 | 365 | 26-11-2021 | — | 24-05-2032 |
![]() RU000A102GJ8
|
13.46 | 16.66 | 94.73 | 183 | 11-12-2020 | 16-06-2027 | 11-12-2030 |
![]() RU000A102DB2
|
22.52 | 17.15 | 102.15 | 184 | 20-11-2020 | 25-11-2025 | 20-11-2030 |
![]() RU000A103K38
|
6.24 | 10.53 | 72.13 | 182 | — | 14-05-2032 |
Similar bonds
Description of the bond ГПБ005P03P
The bond is currently worth 969.7 ₽ (96.97%). The bond will mature on 21-02-2034. Coupon yield is 13.7%, the next coupon payment will be 02-09-2025 in the amount of 34.16 ₽.
Bond yield is 16.51% per annum, paid 4 times per year. Coupon income has already accumulated 15.39 ₽.
Bond yield is 16.51% per annum, paid 4 times per year. Coupon income has already accumulated 15.39 ₽.