ОФЗ 46023

Yield per half year: 2.16%
Category: Federal

Profitability chart

Yield to maturity chart compared to ОФЗ 26230

Yield to maturity

  • Denomination: 200 rub
  • Price % of denomination: 94.5 %
  • NKD: 6.93 rub
  • Yield to maturity: 16.18%
  • Coupon yield: 8.16%
  • Profitability coupon from current price: 8.63%
  • Current yield on coupons with reinvestment: 8.82%
  • Coupon: 8.14 rub
  • Coupon once of year: 2.01

Grade

  • Quality: 10/10
    BQ = (R(ROE) + R(NetDebt/Equity) + R(Earnings variability)) / 3
  • Liquidity index: 10/10
    Li = (Lbasei - min(Lbase)) / (max(Lbase) - (min(Lbase))
    Lbasei = (𝑉𝑖 / 𝑉)^2, where
    Li - final value of the liquidity index
    𝑉𝑖 - average daily trading volume for the i-th instrument for the previous 30 trading days
    𝑉 - average daily trading volume for all instruments for the previous 30 trading days
    Li = (1.3455526074401 - 0.89181219521965) / (1.1312414855832 - 0.89181219521965)

Credit rating

  • Credit rating Эксперт: ruAAA