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ОФЗ 29022
ОФЗ 29009
ОФЗ 29025
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Price | 96.9 | 106.75 | 94.236 |
Yield to maturity | 23.94 | 10.87 | 24.62 |
Coupon yield | 23.2 | 11.6 | 23.2 |
Profitability coupon from current price | 23.94 | 10.87 | 24.62 |
Current yield on coupons with reinvestment | 26.18 | 11.16 | 26.99 |
Payout frequency | 91 | 182 | 91 |
NKD | 27.82 | 21.55 | 11.9 |
Rating |
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Duration | 0 | 1399 | 0 |
Posting date | 16-11-2022 | 31-12-2014 | 04-10-2023 |
Next payment date | 30-07-2025 | 12-11-2025 | 27-08-2025 |
Date of offer | — | — | — |
Maturity date | 20-07-2033 | 05-05-2032 | 12-08-2037 |
Category | Federal | Federal | Federal |
More functionality and data for company and portfolio analysis is available by subscription
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