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Bonds
Exchange bonds
Rosselkhozbank BO-02RIB-002P
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Bond Rosselkhozbank BO-02RIB-002P
Trading mode
Bonds - order-driven
REPO-M - negotiated
Bond description
Rosselkhozbank BO-02RIB-002P
Emitent
Russian Agricultural Bank
Status
not trading
Nominal volume
RUB 4,698,000
Placed volume
RUB 4,698,000
Date of listing
24.12.2020
Bond type
Exchange bonds
Maturity date
24.12.2023
Lot size
1 pcs.
Face value
RUB 1,000
Bond face value
Is substitute
No
Registration number
4B02-02-03349-B-002P
ISIN code
RU000A102KV5
Reliability
Coupon payment schedule
Coupon #
Date of payment
Coupon rate
Payment amount
% of face value
Face value
1
24.12.2021
0.01 %
RUB 0.1
0.010%
RUB 1,000
2
24.12.2022
0.01 %
RUB 0.1
0.010%
RUB 1,000
3
24.12.2023
0.01 %
RUB 0.1
0.010%
RUB 1,000
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