BCSALORLV3

Rentabilidade por seis meses: 0%
Categoria: bonds.types.2

Título reembolsado

ISIN XS2206912847
Валюта rub
Время посл. сделки 18:39:59
Выплата купона, дн 0
Годовой купон 0.00
Дата оферты
Дата погашения 31-08-2023
Дата размещения 14-07-2020
Дата след. выплаты 30-11--001
Дох. купона, годовых от ном nan%
Доходность 0%
Дюрация, дней 0
Имя облигации BCS SP Plc Series 2020-21
Код бумаги XS2206912847
Кредитный рейтинг A
Купон 0 руб
НКД 0 руб
Номинал 100000
Объем выпуска, млн руб 100
Объем день, млн руб 0.0
Объем день, штук 0
Сектор Финансы прочие
Текущая доходность купона 0.00%
Только для квалов Нет
Уровень листинга 3
Цена послед 91.5%
Частота купона, раз в год 0.00
Alteração de preço por dia: 0% (91500)
Alteração de preço por semana: 0% (91500)
Alteração de preço por mês: 0% (91500)
Alteração de preço em 3 meses: 0% (91500)
Mudança de preço em seis meses: 0% (91500)
Mudança de preço por ano: 0% (91500)
Mudança de preço desde o início do ano: 0% (91500)

Nome Código Rendimento do cupom, % Rendimento até o vencimento, % Preço, % Frequência de pagamento Data de postagem Próxima data de pagamento Data da oferta Data de vencimento
BCS06/25-C XS2446844321 0% 0 91 22-02-2022 18-12-2024 18-06-2025
BCS03/25-2 XS2406000138 0% 0 91 11-11-2021 14-12-2024 14-03-2025
BCS12/26-2 XS2388458403 0% 60.29 185 21-09-2021 02-01-2025 30-12-2026
BCS07/26-2 XS2321680998 8.50% 0% 96.7 182 23-03-2021 30-12-2024 01-07-2026
BCS GMf11 XS2269286345 8.98% 0% 103.1 183 03-12-2020 20-12-2024 20-12-2025
BCS12/25-7 XS2267886971 7.91% 0% 48.63 185 01-12-2020 02-01-2025 30-12-2025
BCS12/25-6 XS2244322322 8.90% 0% 70.44 185 16-10-2020 02-01-2025 30-12-2025
BCSGM PG4 XS2243038663 0% 101.5 183 15-10-2020 10-11-2021 10-11-2025
BCSGM PG3 XS2228213471 0% 100 183 08-09-2020 01-10-2021 01-10-2025
BCS12/25-4 XS2225424303 9.40% 0% 77.36 185 03-09-2020 02-01-2025 30-12-2025
BCS12/25-3 XS2225301725 4.00% 0% 0 185 01-09-2020 02-01-2025 30-12-2025
BCS GMf8 XS2215497830 9.57% 0% 98 183 11-08-2020 20-12-2024 20-06-2025
BCS12/25 XS2213664092 0% 130.66 91 07-08-2020 08-12-2021 08-12-2025
BCS06/25-9 XS2212035690 9.40% 0% 76 185 04-08-2020 02-01-2025 30-06-2025
BCS08/25 XS2210719485 0% 103 180 29-07-2020 28-08-2021 28-08-2025
BCS GMf7 XS2205319705 5.99% 0% 0 181 15-07-2020 25-03-2025 25-09-2025
BCS06/25-7 XS2194483769 9.89% 0% 72 185 23-06-2020 02-01-2025 30-06-2025
BCS GMf5 XS2189376911 11.97% 0% 91 183 10-06-2020 20-12-2024 20-06-2025
BCS10/25 XS2185963803 0% 69.99 92 10-06-2020 15-10-2024 15-10-2025
BCS06/25-5 XS2181436796 10.88% 0% 60.5 185 29-05-2020 02-01-2025 30-06-2025
BCS GMp5 XS2166995725 0% 0 184 30-04-2020 12-11-2021 12-05-2025
BCS06/25-4 XS2143253495 10.88% 0% 78.9 185 24-03-2020 02-01-2025 30-06-2025
BCS06/25-2 XS2125163688 9.92% 0% 104.98 92 26-02-2020 26-09-2020 26-06-2025
BCS 01/28 XS1762858428 6.10% 0% 0 184 30-01-2025 30-01-2028
BCS 02/28 XS1764143597 6.22% 0% 0 92 01-11-2024 01-02-2028
BCS 03/27 XS1571345583 0% 0 184 02-09-2021 02-03-2027
BCS 04/27 XS1590566193 0% 0 0 30-11--001 04-04-2027
BCS 04/28 XS1801889830 0% 0 0 30-11--001 11-04-2028
BCS GM8 XS2139466846 6.98% 0% 0 183 20-12-2024 20-06-2025
BCS GMf1 XS2139467901 6.98% 0% 84 183 20-12-2024 20-06-2025
BCS GMf10 XS2269280066 5.37% 0% 107.2 187 24-12-2024 20-12-2025
BCS GMf2 XS2121431113 5.98% 0% 75.01 183 20-12-2024 20-06-2025
BCS GMf3 XS2154338623 5.98% 0% 111.3 183 27-12-2024 27-06-2025
BCS GMf4 XS2189377562 8.48% 0% 96 183 20-12-2024 20-06-2025
BCS GMf6 XS2205545119 6.99% 0% 98 181 25-03-2025 25-09-2025
BCS GMf9 XS2260424580 4.99% 0% 105.7 184 20-11-2024 20-11-2025
BCS GMp1 XS2110115487 14.96% 0% 0 184 22-01-2025 22-01-2025
BCS GMp2 XS2116689972 0% 0 176 06-02-2025 06-02-2025
BCS GMp3 XS2128023012 13.46% 0% 0 92 25-09-2020 25-03-2025
BCS GMp4 XS2152970393 0% 0 183 08-10-2021 08-04-2025
BCS GMp6 XS2152970476 0% 101.5 90 11-03-2021 11-06-2025
BCS GOLD XS1708325748 0% 122.5 0 30-11--001 28-10-2027
BCS RTS XS1718466250 0% 116.76 0 30-11--001 15-11-2027
BCS01/27 XS2348717658 0% 80 185 06-01-2025 05-01-2027
BCS02/25 XS2357422331 0% 46.7 184 01-02-2025 01-02-2025
BCS02/26 XS2248577566 0% 92 92 28-11-2024 28-02-2026
BCS02/27-4 XS2423361190 0% 100 93 29-11-2024 28-02-2027
BCS03/25 XS2104929331 11.00% 0% 115.83 365 22-03-2025 22-03-2025
BCS04/26 XS2307308069 0% 60 183 08-10-2024 08-04-2026
BCS05/26 XS2290820518 0% 54 92 26-11-2024 26-05-2026
BCS05/26-2 XS2325702459 0% 39 184 08-11-2024 08-05-2026
BCS06/25 XS2114337798 0% 103.66 92 05-09-2020 05-06-2025
BCS06/25-3 XS2143253651 7.00% 0% 80 185 02-01-2025 30-06-2025
BCS06/25-6 XS2191043913 5.00% 0% 83 185 02-01-2025 30-06-2025
BCS06/25-8 XS2211859439 4.95% 0% 74.03 185 02-01-2025 30-06-2025
BCS06/25-B XS2439218640 0% 98.49 90 02-12-2024 02-06-2025
BCS07/25 XS2128490906 0% 107.4 92 09-01-2022 09-07-2025
BCS07/25-2 XS2143149834 0% 102 91 30-04-2024 30-07-2025
BCS07/26 XS2306607271 0% 40.51 92 08-10-2024 08-07-2026
BCS07/26-3 XS2321534310 3.50% 0% 102 182 30-12-2024 01-07-2026
BCS07/26-4 XS2325565369 0% 81 92 30-10-2024 30-07-2026
BCS07/26-5 XS2328381756 2.50% 0% 104.02 182 30-12-2024 01-07-2026
BCS09/25 XS2170362839 0% 122 90 18-03-2021 18-09-2025
BCS10/25-2 XS2184850811 0% 122 84 05-04-2021 05-10-2025
BCS11/25 XS2208853999 0% 96 92 24-11-2024 24-11-2025
BCS11/26 XS2332228449 0% 55.03 184 19-11-2024 19-11-2026
BCS11/26-2 XS2363070850 0% 80 92 13-11-2024 13-11-2026
BCS11/26-4 XS2369557371 0% 80.38 91 09-12-2024 08-12-2026
BCS12/24-8 XS2085844640 0% 100 375 08-01-2025 08-01-2025
BCS12/25-2 XS2213663797 0% 118.1 91 08-12-2021 08-12-2025
BCS12/25-5 XS2237422972 5.00% 0% 73 185 02-01-2025 30-12-2025
BCS12/25-8 XS2267887946 4.00% 0% 85 185 02-01-2025 30-12-2025
BCS12/26 XS2369574384 0% 58.77 91 13-12-2024 13-12-2026
BCSGM PG1 XS2147899228 0% 105.2 181 20-06-2021 20-06-2025
BCSGM PG2 XS2200171762 0% 82.18 184 25-09-2021 25-09-2025
BCSGM PG5 XS2252533075 0% 105 183 27-11-2024 27-11-2025

Atualmente, o título vale 91500 rub (91.5%).
Rendimento do título 0% ao ano, pago 0 uma vez por ano.