Buy bonds Positive Group 001P-04 (RU000A10FV10) — price, yield
              Moscow Exchange

              Bond Positive Group 001P-04

              Exchange bondRU000A10FV10

              Exchange bond Positive Group 001P-04 last trade price 100.3% of par value. The current par value is 1000 RUB. Maturity date (fully due for repayment at par value): 27.02.2029, term to maturity: 870 days.

              Online Data

              Last Trade Yield
              16.43 %
              Z-Spread based on Last Trade Price
              1.69

              Key Parameters

              Maturity Date
              02.27.2029
              Offer Date
              -
              Coupon Type
              Key rate
              Coupon Payment Frequency
              12
              Coupon Rate
              —

              Price Dynamics

              Exchange bond
              RU000A10FV10
              Trading data is displayed with a delay of 15 minutes.
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              Bond Overview

              End-of-Day Data
              Summary
              ISIN Code
              RU000A10FV10
              Date of listing
              08.12.2026
              Maturity date
              02.27.2029
              Coupon date
              11.10.2026
              Issue Size
              5,000,000
              Face value
              1,000
              Face value currency
              RUB
              Trade settle date
              10.13.2026
              Face value for settledate
              1,000
              Accrued interest for settledate, in settlement currency
              0.85
              Last Transaction Price of Previous Trading Day, percent of face value
              100.3
              Yield based on Weighted Average Price of Previous Trading Day
              16.4%
              Additional Parameters
              Trading start date on Moscow Exchange
              08.12.2026
              List level
              2
              Number of placed securities in issue
              5,000,000
              Days to redemption
              870
              Qualified investors
              No
              Amortised
              No
              Structured
              No
              Subordinated
              No
              Cal-option date
              -
              Bond type
              Floater
              Bond sub-type
              Till maturity
              Issuance Details
              Security name
              биржевые облигации процентные неконвертируемые бездокументарные серии 001Р-04
              Full name
              Positive Group 001P-04
              Short name
              Positive Group 001P-04
              State registration number
              4B02-04-85307-H-001P
              Date of state registration of the security
              07.30.2026
              Security type
              Exchange bond

              More About the Issuer

              Issuer Profile

              Name
              PJSC Positive Group
              Taxpayer ID
              9718077239
              Company website
              Issuer Documents
              Corporate Actions

              Issuer Credit Rating

              Name of Credit Rating Agency
              Outlook
              Press release
              Expert RA
              ruAA
              06.11.2026
              Stable
              ACRA
              AA(RU)
              09.23.2026
              Stable
              Expert RA
              Rating
              ruAA
              Rating date
              06.11.2026
              Outlook
              Stable
              Press release
              ACRA
              Rating
              AA(RU)
              Rating date
              09.23.2026
              Outlook
              Stable
              Press release
              The data provided by
              www.acra-ratings.ru
              ...
              View
              The data provided by
              www.raexpert.ru

              Financials

              Parameter
              Net profit (loss) attributable to owners of the parent
              Interest Income
              Assets
              Equity
              ROA
              Debt/EBITDA
              2025
              2024
              2023
              7,275,484 тыс. руб.
              3,662,039 тыс. руб.
              9,696,212 тыс. руб.
              2,178,887 тыс. руб.
              -
              244,961 тыс. руб.
              61,020,792 тыс. руб.
              52,718,993 тыс. руб.
              28,364,134 тыс. руб.
              24,339,481 тыс. руб.
              17,059,782 тыс. руб.
              13,200,288 тыс. руб.
              11.922959%
              6.946337%
              34.184763%
              1.906771
              3.957559
              0.488614
              Net profit (loss) attributable to owners of the parent
              2025
              7,275,484 тыс. руб.
              2024
              3,662,039 тыс. руб.
              2023
              9,696,212 тыс. руб.
              Interest Income
              2025
              2,178,887 тыс. руб.
              2024
              -
              2023
              244,961 тыс. руб.
              Assets
              2025
              61,020,792 тыс. руб.
              2024
              52,718,993 тыс. руб.
              2023
              28,364,134 тыс. руб.
              Equity
              2025
              24,339,481 тыс. руб.
              2024
              17,059,782 тыс. руб.
              2023
              13,200,288 тыс. руб.
              ROA
              2025
              11.922959%
              2024
              6.946337%
              2023
              34.184763%
              Debt/EBITDA
              2025
              1.906771
              2024
              3.957559
              2023
              0.488614

              Data is provided by the Corporate Information Center with a delay of up to 24 hours (excluding weekends and holidays).

              All information about securities and issuers is provided as part of the Corporate Information Center products

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