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Bond Issues: Domestic bonds Russian Agricultural Bank, 10 |
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Issue information:
| • Issuer, issue number: |
Russian Agricultural Bank, 10 |
| • Income calculation: |
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| • Type of debt instrument: |
Domestic bonds |
| • Type of bonds: |
Coupon bonds |
| • Form of issue: |
Documentary bearer bonds |
| • Auction type: |
Book building |
| • Placement type: |
Public offering |
| • Issue status: |
outstanding |
| • Type of placement: |
public |
| • Par, currency of issue: |
1000
RUR, 1 000
|
| • Amount: |
5 000 000 000 |
| • Registration date: |
Oct 16 2009 |
| • Report registration date: |
Feb 17 2010 |
| • State registration number: |
41003349B |
| • ISIN: |
RU000A0JQS09 |
| • DCC: |
RF0000015517 |
| • Day Count Fraction: |
Actual/365 (Actual/365F) |
| • Start of placement: |
Feb 10 2010 |
| • End of placement: |
Feb 10 2010 |
| • Date of circulation start: |
Feb 26 2010 |
| • Issue price: |
100 |
| • Coupon: |
Coupon 1 is set before placement, coupons 2-6 equal coupon 1, coupons 7-20: by the issuer
|
| • Coupon frequency: |
2 time(s) per year |
| • Settlement Date: |
Feb 10 2010 |
| • Maturity date: |
Jan 29 2020 |
| • Issue Managers: |
VTB |
| • Trading floor, listing category: |
MICEX, RU000A0JQS09 (A1, Jan 31 2011) RTS Board, rshb10 (Feb 27 2010) |
| • Issue ratings: (rating history) |
|
| • Additional information: |
book-building |
| • Investment banks: |
Bookrunner: VTB Capital
Co-lead manager(s): GLOBEXBANK Russ-Bank RONIN Deutche Bank Russia ALOR INVEST ING Commercial Banking Russia KB Citibank Promsvyazbank MDM Bank Bank of Khanty-Mansiysk
Co-underwriter(s): Petrocommerce Bank Bank Credit Suisse Natsinvestprombank NOVIKOMBANK Investtorgbank BrokerCreditService Consulting Bank Rossiya UBRD TransCreditBank Sobinbank Renaissance Capital NOMOS-BANK Loñko-Bank CREDIT EUROPE BANK SKB-Bank
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Borrower:
Consolidated IFRS reports:| 2012 | 1 Q.
| | 2011 | 1 Q.
| 2 Q.
| 3 Q.
| 4 Q.
| | 2010 | 1 Q.
| 2 Q.
| 3 Q.
| 4 Q.
| | 2009 | 1 Q.
| 2 Q.
| 3 Q.
| 4 Q.
| | 2008 | 1 Q.
| 2 Q.
| 3 Q.
| 4 Q.
| | 2007 | 1 Q.
| 2 Q.
| 3 Q.
| 4 Q.
| | 2006 | 1 Q.
| 2 Q.
| 3 Q.
| 4 Q.
| | 2005 | 1 Q.
| 2 Q.
| 3 Q.
| 4 Q.
| | 2004 | 1 Q.
| 2 Q.
| 3 Q.
| 4 Q.
|
Annual report:| 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | 2005 | 2004 |
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Trading info:
| Quote bid/offer: |
100.8/101.5
|
| Yield to put bid/offer: |
8.31%/7.54%
|
| Offert yield to put (Feb 08 2013), WA price: |
8.16%
|
- Archive review is available only for subscribers ""Cbonds-PRO CIS Eng", "Cbonds-Premium"".
Trading info, archive >>>
|
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Weighted average price (Feb 10 2012):
|
91.53
|
| Offert yield to put (Feb 08 2013), WA price: |
19.63%
|
- Archive review is available only for subscribers ""Cbonds-PRO CIS Eng", "Cbonds-Premium"".
Trading info, archive >>>
|
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Weighted average price (Feb 09 2012):
|
101.35
|
| Offert yield to put (Feb 08 2013), WA price: |
7.71%
|
- Archive review is available only for subscribers ""Cbonds-PRO CIS Eng", "Cbonds-Premium"".
Trading info, archive >>>
|
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Volume, m. (Jan 16 2012 - Jan 20 2012):
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***
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Number of deals:
|
***
|
- Archive review is available only for subscribers ""Cbonds-PRO CIS Eng", "Cbonds-Premium"".
- Search by the trading floor "NSD OTC Market" is available to subscribers of "Cbonds-PRO CIS Eng", "Cbonds-Premium" only.
Trading info, archive >>>
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Early redemption terms:
2nd business day of coupon period 7
| Date |
Type |
Price |
| 08.02.2013 |
put |
100 |
|
Payment schedule:
| # |
Date |
Nontrading period (MICEX) |
Coupon, % p.a. |
Coupon size, RUR |
Par redemption, RUR |
Notes |
| 1 |
11.08.2010 |
06.08.10 - 11.08.10 |
9 |
44.88 |
|
|
| 2 |
09.02.2011 |
04.02.11 - 09.02.11 |
9 |
44.88 |
|
|
| 3 |
10.08.2011 |
05.08.11 - 10.08.11 |
9 |
44.88 |
|
|
| 4 |
08.02.2012 |
03.02.12 - 08.02.12 |
9 |
44.88 |
|
|
| 5 |
08.08.2012 |
03.08.12 - 08.08.12 |
9 |
44.88 |
|
|
| 6 |
06.02.2013 |
|
9 |
44.88 |
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|
| 7 |
07.08.2013 |
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The rate is set by issuer |
| 8 |
05.02.2014 |
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The rate is set by issuer |
| 9 |
06.08.2014 |
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|
The rate is set by issuer |
| 10 |
04.02.2015 |
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The rate is set by issuer |
| 11 |
05.08.2015 |
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|
The rate is set by issuer |
| 12 |
03.02.2016 |
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The rate is set by issuer |
| 13 |
03.08.2016 |
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|
The rate is set by issuer |
| 14 |
01.02.2017 |
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|
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|
The rate is set by issuer |
| 15 |
02.08.2017 |
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The rate is set by issuer |
| 16 |
31.01.2018 |
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The rate is set by issuer |
| 17 |
01.08.2018 |
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The rate is set by issuer |
| 18 |
30.01.2019 |
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The rate is set by issuer |
| 19 |
31.07.2019 |
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The rate is set by issuer |
| 20 |
29.01.2020 |
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|
1 000.0 |
The rate is set by issuer |
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