ГПБ004Р15

MOEX
RU000A10AG30
Bond
AA+
Yield to maturity: 34.63%
Profitability coupon from current price: 0.0154%
Category: Corporate
en.porti.ru8008006006004004002002000015 Apr15 AprMay '25May '2515 May15 MayJun '25Jun '2515 Jun15 JunJul '25Jul '2515 Jul15 JulAug '25Aug '2515 Aug15 Aug
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Main settings

Accrued coupon income 0.06 руб
Annual coupon 0.10 руб
Bond name ГПБ (АО) БО 004Р-15
Coupon 0.1 руб
Coupon frequency, once a year 1.00
Coupon income, annual from nom 0.01%
Coupon payment, days 365
Coupon type Fixed
Credit rating AA+
Currency rub
Current coupon yield 0.02%
Duration, days 0
ISIN RU000A10AG30
Issue volume, million RUB 169
Listing level 3
Maturity date 31-01-2027
Next payment date 31-01-2026
Non-nominal 1000
Offer date
Only for kvalov Нет
Placement date 31-01-2025
Sector Банки
Volume daily, million rubles 0.0
Volume daily, pieces 0
With amortization no
Yield 34.63%
Change per day 0% (650)
Change per week 0% (650)
Change per month 0% (650)
Change per 3 month 0% (650)

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en.porti.ru29.329.323.423.417.617.611.711.75.95.900Coupon yieldМОНОП 1P07ВЭБ2Р-К634ЭконЛиз2Р1РЖД 1Р-45RРесБел 340ВЭБ2Р-К636О'КЕЙ Б1Р8СлавЭКО1Р4СЗА БО-03iКарРус1P7Сплит ПВ-1ГПБ004Р150.010.010.45960.45960.90930.90931.41.41.81.82.32.32.72.73.23.23.63.64.14.14.54.555Duration
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МОНОП 1P07
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ЭконЛиз2Р1
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ВЭБ2Р-К636
О'КЕЙ Б1Р8
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en.porti.ru41.641.69.29.2-23.1-23.1-55.4-55.4-87.7-87.7-120-120Yield to maturityМОНОП 1P07ВЭБ2Р-К634ЭконЛиз2Р1РЖД 1Р-45RРесБел 340ВЭБ2Р-К636О'КЕЙ Б1Р8СлавЭКО1Р4СЗА БО-03iКарРус1P7Сплит ПВ-1ГПБ004Р150.010.010.45960.45960.90930.90931.41.41.81.82.32.32.72.73.23.23.63.64.14.14.54.555Duration
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Description of the bond ГПБ004Р15

The bond is currently worth 650 ₽ (65%). The bond will mature on 31-01-2027. Coupon yield is 0.01%, the next coupon payment will be 31-01-2026 in the amount of 0.1 ₽.
Bond yield is 34.63% per annum, paid 1 once per year. Coupon income has already accumulated 0.06 ₽.