Information on bonds
Instrument ISIN Issue volume Coupon rate Date of placement Date of offer/maturity
Bond issues
001Р-01 RU000A100VX2 7 000 7,90% 09.10.2019 10.10.2022/26.09.2029
001Р-02 RU000A101RJ7 5 000 6,20% 15.06.2020 14.06.2024/03.06.2030
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