AVGRD-B0047

Full name of issuer
Закрытое акционерное общество "АВАНГАРД ЛИЗИНГ"
Kind of securities
Облигация
Биржевые облигации процентные
Type of bond yield
Процентный
Admission level
КЛ 2-го уровня
Market segment
Площадка "Рынок МСБ"
Date of last transaction 26.05.2025
Price, BYN
1.015.30 -501.20 -33.05%
Traded today
Yes / No
Indexing
Yes / No
Registration number
BCSE-00384
Registration date
9/29/2023
Maturity date
9/30/2033
Release code
BY1000403845
Nominal value
1000
nominal_currency_p
BYN
Volume of production, pcs.
2.000
Issue volume, in nominal value
2.000.000
Term of circulation, days
3.647
Date of admission to trading
10/6/2023
Lot size, unit
1
Coupon quantity, number
120
Current coupon number
21
Current coupon interest rate /Annual yield, %
0.00
Current coupon date
6/30/2025
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
5/15/2025 FT SCCP-T+N BYN 1.514.06 1.514.06 1.514.06 0 0 0 1 267 268.22 837 9
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
5/26/2025 FT SCCP-T+N BYN 1.015.30 1.015.30 1.015.30 0 0 0 535 063.1 527 1
5/16/2025 FT S-T+N BYN 1.008.06 1.008.06 1.008.06 0 0 0 214 716.78 213 1
5/15/2025 FT SCCP-T+N BYN 1.516.50 1.516.50 1.516.50 0 0 0 1 269 310.5 837 9
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