АВНГРДБ1P2

MOEX
RU000A1007Q1
Bond
BB+
Yield to maturity: -51.92%
Profitability coupon from current price: 0.009%
Category: Corporate
en.porti.ru1140114011101110108010801050105010201020990990Sep '24Sep '24Oct '24Oct '24Nov '24Nov '24Dec '24Dec '2420252025Feb '25Feb '25Mar '25Mar '25Apr '25Apr '25May '25May '25Jun '25Jun '25Jul '25Jul '25Aug '25Aug '25Sep '25Sep '25
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Main settings

Accrued coupon income 0 руб
Annual coupon 0.11 руб
Bond name АВАНГАРД АКБ ПАО БО-001P-02
Coupon 0.01 руб
Coupon frequency, once a year 11.77
Coupon income, annual from nom 0.01%
Coupon payment, days 31
Coupon type Fixed
Credit rating BB+
Currency rub
Current coupon yield 0.01%
Duration, days 0
ISIN RU000A1007Q1
Issue volume, million RUB 3 000
Listing level 3
Maturity date 28-02-2029
Next payment date 28-02-2025
Non-nominal 1000
Offer date 22-01-2025
Only for kvalov Нет
Placement date 28-03-2019
Sector Банки
Time of last transaction 18:40:07
Volume daily, million rubles 0.0
Volume daily, pieces 0
With amortization no
Yield -51.92%
Change per day 0% (1110)
Change per week 0% (1110)
Change per month 0% (1110)
Change per 3 month 0% (1110)
Change per half year 0% (1110)
Change per year +11% (1000)
Change per 3 year +11.01% (999.9)
Change per year to date 0% (1110)

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ВТБ Б1-377
ВТБС1-1014
ВТБС1-1501
ВТБС1-1551
ВТБС1-1490
ВТБ С1-662
ВТБС1-1502
ВТБС1-1475
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ВТБС1-1011
ВТБС1-1471
ВТБ Б1-372
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ВТБС1-1455
ВТБС1-1422
ВТБ Б1-370
ВТБ Б1-371
ВТБС1-1421
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Description of the bond АВНГРДБ1P2

The bond is currently worth 1110 ₽ (111%). The bond will mature on 28-02-2029. Coupon yield is 0.01%, the next coupon payment will be 28-02-2025 in the amount of 0.01 ₽.
Bond yield is -51.92% per annum, paid 12 once per year. Coupon income has already accumulated 0 ₽.