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Bond Issues: Domestic bonds BrokBusinessBank, 1-Â

Issue information:

• Issuer, issue number: BrokBusinessBank, 1-Â
• Income calculation:

Date of trades
Price %
• Type of debt instrument: Domestic bonds
• Type of bonds: Coupon bonds
• Placement type: Public offering
• Issue status: outstanding
• Type of placement: public
• Par, currency of issue: UAH, 1 000
• Amount: 150 000 000
• Registration date: Jul 22 2008
• State registration number: 633/2/08
• ISIN: UA4000042857
• Day Count Fraction: Actual/365 (Actual/365F)
• Start of placement: Aug 04 2008
• End of placement: Aug 03 2009
• Coupon: 13%
• Coupon frequency: 4 time(s) per year
• Settlement Date: Aug 04 2008
• Maturity date: Aug 18 2013
• Issue Managers: By itself
• Trading floor, listing category: PFTS, OBROKB (Listing level 2)
• Issue ratings: (rating history)
Credit-Rating Withdrawn National Scale (Ukraine) 06.10.2011

Borrower:

• Issuer:BrokBusinessBank
• Full issuer name:Public joint-stock company "BROKBUSINESSBANK"
• Country:Ukraine
• Web site:http://www.bankbb.com
• Other issues of the issuer:  BrokBusinessBank, 1-A - Domestic bonds
• Industry:Banks and financial institutions
Issuer ratings: » rating history

Credit-Rating Withdrawn National Scale (Ukraine) 06.10.2011

Complete profile

Trading info:

PFTS

Weighted average price (Jan 27 2012): ***
Offert yield to put (Aug 15 2012), WA price: ***
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Trading info, archive >>>

Early redemption terms:

Included

Date Type Price Status
10.08.2010 put 100 Settled
13.08.2011 put 100 Settled
15.08.2012 put 100

Payment schedule:

# Date Coupon, % p.a. Coupon size, UAH Par redemption, UAH Notes
1 04.11.2008 13 32.77
2 04.02.2009 13 32.77
3 07.05.2009 13 32.77
4 07.08.2009 13 32.77
5 07.11.2009 13 32.77
6 07.02.2010 13 32.77
7 10.05.2010 13 32.77
8 10.08.2010 13 32.77
9 10.11.2010 13 32.77
10 10.02.2011 13 32.77
11 13.05.2011 13 32.77
12 13.08.2011 13 32.77
13 13.11.2011 11 27.73
14 13.02.2012 11 27.73
15 15.05.2012 11 27.73
16 15.08.2012 11 27.73
17 15.11.2012 The rate is set by issuer
18 15.02.2013 The rate is set by issuer
19 18.05.2013 The rate is set by issuer
20 18.08.2013 1 000.0 The rate is set by issuer




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