01.03.2017 16:30

Results of auction for placement of the Russian Federation government bonds, issue 26216RMFS on March 1, 2017

Parameters of issue # 26216RMFS:

Maturity date: 15 May 2019.

Aggregate demand at par: 27290.641 mln. RUR.

Placed value at par: 14999.999 mln. RUR.

Minimal accepted price: 96.5500 %.

Yield at minimal accepted price: 8.6200 % per annum.

Weighted average price: 96.5962 %.

Yield at weighted average price: 8.5900 % per annum.

For further information, please contact the Public Relations Department at (495) 363-3232.

Main news
07.03.17 Revised maximum quantity of Securities Eligible as Collateral in Derivatives Market
02.03.17 Moscow Exchange sets Annual General Meeting date for 27 April
02.03.17 Moscow Exchange Trading Volumes in February 2017
02.03.17 Moscow Exchange announces results for the full year 2016
01.03.17 Revised lists of the Moscow Exchange Indices announced
01.03.17 Results of auction for placement of the Russian Federation government bonds, issue 26216RMFS on March 1, 2017
01.03.17 Results of auction for placement of the Russian Federation government bonds, issue 26219RMFS on March 1, 2017
22.02.17 Results of auction for placement of the Russian Federation government bonds, issue 26220RMFS on February 22, 2017
22.02.17 Results of auction for placement of the Russian Federation government bonds, issue 26218RMFS on February 22, 2017
All news