27.01.2016 16:44

Results of auction for placement of the Russian Federation government bonds, issue # 29011RMFS on January 27, 2016

Parameters of issue # 29011RMFS:

Maturity date: 29 January 2020.

Aggregate demand at par: 40995.475 mln. RUR.

Placed value at par: 14008.256 mln. RUR.

Minimal accepted price: 102.6550 %.

Yield at minimal accepted price: 14.0000 % per annum.

Weighted average price: 102.6930 %.

Yield at weighted average price: 13.9800 % per annum.

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

Main news
02.02.16 Moscow Exchange Trading Volumes in January 2016
02.02.16 Moscow Exchange mandates Caderus Capital to develop relations with Chinese investors and issuers
01.02.16 Moscow Exchange Supervisory Board reappoints CFO Evgeny Fetisov to Management Board
29.01.16 The additional trading session starts later on 01, 17 and 18 February 2016
28.01.16 Revised Tick Size for 10 securities on the Equity & Bond Market from 1 February
27.01.16 Results of auction for placement of the Russian Federation government bonds, issue # 29011RMFS on January 27, 2016
27.01.16 Results of auction for placement of the Russian Federation government bonds, issue # 29006RMFS on January 27, 2016
26.01.16 Moscow Exchange to streamline Equity Market liquidity support program
22.01.16 U.S. dollar-denominated Eurobonds
All news