Bond Rosselkhozbank BO-03-002P

Bond description
Rosselkhozbank BO-03-002P
Emitent
Status
trading
Nominal volume
RUB 42,000,000,000
Placed volume
RUB 42,000,000,000
Date of listing
09.02.2024
Bond type
Maturity date
29.01.2027
Lot size
1 pcs.
Face value
RUB 1,000
Is substitute
No
Registration number
4B02-11-03349-B-002P
ISIN code
RU000A107S10
Reliability
Yield calculation
Bond: Rosselkhozbank BO-03-002P
Face value: RUB 1,000
Price: 100.02% of face value = RUB 1,000.2
Broker commission, by default 0.057%: RUB 1,000.2 * 0.057% = RUB 0.57
Accrued interest: RUB 12.46
You will pay: RUB 1,000.2 + RUB 0.57 + RUB 12.46 = RUB 1,013.23 for 1 pcs.
By maturity date 29.01.2027 (in 504 days) you will receive coupons (inclusive of taxes 13%) RUB 248.47, as well as the body of the bond net of tax from the redemption of the bond RUB 1,000 total: RUB 1,248.47
Your profit* for all time will be: RUB 1,248.47 - RUB 1,013.23 = RUB 235.24 or 16.81% per annum.
* Provided that the last known coupon remains unchanged
Coupon payment schedule