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Rambler's Top100







Domestic bonds Zhilsotsipoteka-Finance, 1
Print version

Issue information:

• Issuer, issue number: Zhilsotsipoteka-Finance, 1
• Income calculation: Enter issue price %
• Type of bond: Domestic bonds
• Issue status:redeemed
• Offering:public
• Par, currency of issue:RUR, 1000
• Amount:600 000 000
• Registration date:Sep 21 2006
• State registration number:4-01-36191-R
• ISIN:RU000A0JNS69
• Start of placement:Oct 26 2006
• End of placement:Oct 26 2006
• Date of circulation start:Dec 06 2006
• Issue price:100
• Coupon:1st coupon - at auction. 2nd coupon equals 1st coupon. Coupons 3-6 are set by issuer.
• Coupon frequency:2 time(s) per year
• Settlement Date:Oct 26 2006
• Maturity date:Oct 22 2009
• Early redemption terms:1 year, at par,
date: 06.11.07, price: 100.
• Issue Managers:Arranger - TransCreditBank
• Trading floor, listing category: MICEX
• Guarantors: Housing Social Mortgage Fund
• Additional information:Guarantor: Non-profit organization "Fund of Housing Social Mortgage" ("Fond Zhilishnaya Sotsialnaya Ipoteka").
• Issue conference: View
• Investment banks: Lead manager:
 TransCreditBank

Co-lead manager(s):
East Kommerts
 IC RUSS-INVEST

Co-underwriter(s):
Rublev Bank
RIGroup Finance
Russobank

Borrower:

• Issuer: Zhilsotsipoteka-Finance
• Full issuer name: Zhilsotsipoteka-Finance
• Country:Russia
• Web site:http://www.tcb.ru/corporative/investments/article1
•Other issues of the issuer:  Zhilsotsipoteka-Finance, 3 - Domestic bonds
 Zhilsotsipoteka-Finance, 2 - Domestic bonds
• Issuer profile:Zhilsotsipoteka-Finance was set up in June of 2006 to raise financing for a non-profit organization "Fond Zhilsotsipoteka", whoch holds 100% of its stock. Fond Zhilsotsipoteka acts as a construction i ...
• Industry:Banks and financial institutions

Complete profile

Financial accounting:

RAS
2006 1Q. 2Q. 3Q. 4Q.

• Финансовая отчетность поручителей: Housing Social Mortgage Fund

Trading info:

MICEX, Jun 29 2009:

Quote bid/offer: 0.01/ -
Trading info, archive >>>

Payment schedule:

Date Coupon, % p.a. Coupon size, RUR Par redemption, RUR Notes
26.04.2007 11.5 57.34
25.10.2007 11.5 57.34
24.04.2008 7 34.9 The rate is set by issuer
23.10.2008 7 34.9 The rate is set by issuer
23.04.2009 7 34.9 The rate is set by issuer
22.10.2009 7 34.9 1000 The rate is set by issuer

COMMENTS:

14.04.08  TransCreditBank: Фонд "Жилсоципотека": итоги 2007 года - Desk Note к новому купону по выпуску облигаций ООО "ЖИЛСОЦИПОТЕКА-ФИНАНС" серии 02. BONDS

09.04.07  TransCreditBank: Zhilsotsipoteka_desknote (Eng) BONDS

10.10.06  TransCreditBank: Desknote_Жилсоципотека: дебютный выпуск облигаций BONDS





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