Main settings
Accrued coupon income | 0 руб |
Annual coupon | 0.00 руб |
Bond name | ФСК Россети(ПАО)-обл. сер.21 |
Coupon | 0 руб |
Coupon frequency, once a year | 2.01 |
Coupon income, annual from nom | — |
Coupon payment, days | 182 |
Coupon type | Fixed |
Credit rating | AAA |
Currency | rub |
Current coupon yield | — |
Duration, days | 0 |
ISIN | RU000A0JT7T2 |
Issue volume, million RUB | 10 000 |
Listing level | 2 |
Maturity date | 06-10-2027 |
Next payment date | 08-10-2025 |
Non-nominal | 1000 |
Offer date | 16-04-2025 |
Only for kvalov | Нет |
Placement date | 24-10-2012 |
Sector | Электроэнергетика |
Time of last transaction | 18:40:07 |
Volume daily, million rubles | 0.0 |
Volume daily, pieces | 0 |
With amortization | no |
Yield | -1.93% |
Change per day | 0% (1070.1) |
Change per week | 0% (1070.1) |
Change per month | 0% (1070.1) |
Change per 3 month | 0% (1070.1) |
Change per half year | +7% (1000.1) |
Change per year | +7.17% (998.5) |
Change per 3 year | +10.29% (970.3) |
Change per year to date | +7% (1000.1) |
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Description of the bond ФСК РС-21
The bond is currently worth 1070.1 ₽ (107.01%). The bond will mature on 06-10-2027. Coupon yield is 0%, the next coupon payment will be 08-10-2025 in the amount of 0 ₽.
Bond yield is -1.93% per annum, paid 2 times per year. Coupon income has already accumulated 0 ₽.
Bond yield is -1.93% per annum, paid 2 times per year. Coupon income has already accumulated 0 ₽.