BPSSB-B0103

Short name of issuer
Full name of issuer
Открытое акционерное общество "Сбер Банк"
Kind of securities
Облигация
Облигации процентные
Type of bond yield
Процентный
Admission level
Внесписочные
Market segment
Перечень внесписочных ценных бумаг
Date of last transaction 19.12.2024
Price, BYN
1.002.68 0.00 0.00%
Traded today
Yes / No
Indexing
Yes / No
Registration number
5-200-02-3962
Registration date
2/3/2020
Maturity date
12/3/2026
Release code
BY52802C6695
Nominal value
1000
nominal_currency_p
BYN
Volume of production, pcs.
60.000
Issue volume, in nominal value
60.000.000
Term of circulation, days
2.514
Date of admission to trading
2/12/2020
Lot size, unit
1
Coupon quantity, number
28
Current coupon number
21
Current coupon interest rate /Annual yield, %
11.00
Current coupon date
3/3/2025
Centralized calculation of indicators is carried out
Yes / No
Date
Trade mode
Payment code Pricing
currency
Price, pricing currency Yield Turnover Number of transactions
Min Max WAVG Min, % Max, % WAVG, % In pricing currency in securities
No data
Date
Trade mode
Payment code Pricing
currency
Price, pricing currency Yield Turnover Number of transactions
Min Max WAVG Min, % Max, % WAVG, % In pricing currency in securities
12/19/2024 FT S-T+N BYN 1.002.68 1.002.68 1.002.68 11.08 11.08 11.08 9 999 727.64 9973 1
Date
Trade mode
Payment code Pricing
currency
Price, pricing currency (1st transaction part) REPO rate Turnover Number of transactions Period
Min Max WAVG Min, % Max, % WAVG, % In pricing currency in securities
No data