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Bonds
Exchange bonds
CREDIT BANK OF MOSCOW P03
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Bond CREDIT BANK OF MOSCOW P03
Trading mode
Bonds - order-driven
Bond description
CREDIT BANK OF MOSCOW P03
Emitent
Credit Bank of Moscow
Status
not trading
Nominal volume
RUB 404,000
Placed volume
RUB 404,000
Date of listing
15.07.2019
Bond type
Exchange bonds
Maturity date
15.07.2022
Lot size
1 pcs.
Face value
RUB 1,000
Bond face value
Is substitute
No
Registration number
4B020301978B001P
ISIN code
RU000A100KT3
Reliability
Coupon payment schedule
Coupon #
Date of payment
Coupon rate
Payment amount
% of face value
Face value
1
15.07.2020
4.00 %
RUB 40.11
4.011%
RUB 1,000
2
15.07.2021
4.00 %
RUB 40
4.000%
RUB 1,000
3
15.07.2022
4.00 %
RUB 40
4.000%
RUB 1,000
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