ISIN | RU000A1034P7 |
---|---|
Валюта | rub |
Время посл. сделки | 18:03:49 |
Выплата купона, дн | 182 |
Годовой купон | 997 260.28 |
Дата оферты | — |
Дата погашения | — |
Дата размещения | 26-05-2021 |
Дата след. выплаты | 21-05-2025 |
Дох. купона, годовых от ном | 10.00% |
Доходность | 67.82% |
Дюрация, дней | 568 |
Имя облигации | Банк ВТБ ПАО СУБ-Т1-5 |
Код бумаги | RU000A1034P7 |
Кредитный рейтинг | - |
Купон | 498630.14 руб |
НКД | 224 657.53 руб |
Номинал | 10000000 |
Объем выпуска, млн руб | 87 500 |
Объем день, млн руб | 30.0 |
Объем день, штук | 6 |
С амортизацией | no |
Сектор | Банки |
Текущая доходность купона | 20.00% |
Тип купона | Fixed |
Только для квалов | Да |
Уровень листинга | 3 |
Цена послед | 50% |
Частота купона, раз в год | 2.01 |
Change price per day: | +0.02% (4999000) |
---|---|
Change price per week: | -2.91% (5150000) |
Change price per month: | -3.85% (5200000) |
Change price per 3 month: | +12.36% (4450000) |
Change price per half year: | -7.41% (5400000) |
Change price per year: | -29.38% (7080000) |
Change price per 3 year: | -17.22% (6040000) |
Change price per year to date: | +8.7% (4600000) |
Title | Code | Coupon yield, % | Yield to maturity, % | Price, % | Payout frequency | Posting date | Next payment date | Date of offer | Maturity date |
---|---|---|---|---|---|---|---|---|---|
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RU000A104JW1 | 24.75% | 49.82% | 75 | 91 | 17-02-2022 | 13-02-2025 | — | — |
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RU000A103SA0 | 7.35% | 9.14% | 0 | 182 | 04-10-2021 | 31-03-2025 | — | — |
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RU000A103SB8 | 10.00% | 62.81% | 47.01 | 182 | 04-10-2021 | 31-03-2025 | — | — |
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RU000A103SC6 | 22.75% | 43.76% | 76.75 | 182 | 04-10-2021 | 31-03-2025 | — | — |
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RU000A103S89 | 9.43% | 37.66% | 64 | 182 | 04-10-2021 | 31-03-2025 | — | — |
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RU000A103S97 | 3.75% | 66.52% | 38 | 182 | 04-10-2021 | 31-03-2025 | — | — |
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RU000A1034P7 | 10.00% | 67.82% | 50 | 182 | 26-05-2021 | 21-05-2025 | — | — |
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RU000A1034Q5 | 24.75% | 52.22% | 75 | 182 | 26-05-2021 | 21-05-2025 | — | — |
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RU000A102QJ7 | 5.00% | 86.32% | 44 | 182 | 08-02-2021 | 04-08-2025 | — | — |
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RU000A102QL3 | 3.75% | 106.82% | 37 | 182 | 08-02-2021 | 04-08-2025 | — | — |
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RU000A102QM1 | 8.84% | 57.8% | 60 | 182 | 08-02-2021 | 04-08-2025 | — | — |
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RU000A102QN9 | 6.74% | 169.11% | 27.5 | 182 | 08-02-2021 | 04-08-2025 | — | — |
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RU000A102879 | 7.60% | 59.99% | 64 | 182 | 14-10-2020 | 09-04-2025 | — | 02-04-2031 |
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RU000A102887 | 21.20% | 50% | 80 | 182 | 14-10-2020 | 09-04-2025 | — | 02-04-2031 |
The bond is currently worth 5000000 rub (50%). The bond will mature on —. Coupon yield is 10%, the next coupon payment will be 21-05-2025 in the amount of 498630.14 rub.
Bond yield is 67.82% per annum, paid 2 times per year. Coupon income has already accumulated 224 rub.
Bond yield is 67.82% per annum, paid 2 times per year. Coupon income has already accumulated 224 rub.