Source: Moscow Exchange –
An important disclaimer is at the bottom of this article.
In accordance with the Listing Rules of PJSC Moscow Exchange, the following decisions were made by the Chairman of the Management Board on 21.05.2026:
1.Define:
- 22.05.2026 as the start date of trading in the placement process,
- 22.05.2026 as the date of the start of trading in the process of circulation after full payment of the following securities
| Name of the security |
Exchange-traded bonds interest non-convertible documentary-free series 002P-01 |
| Full name of the organization |
Limited Liability Company “L-Start” |
| Type of security |
Exchange bond |
| Intended for qualified investors |
Yes |
| Registration number from the registration date |
4B02-01-00235-L-002P dated 08.05.2026 |
| Nominal value |
1,000 |
| Currency of nominal value |
Sub |
| Number of securities in the issue |
100,000 pieces |
| Maturity date |
28.10.2030 |
| Information about partial early repayment |
| Date of partial early repayment |
Volume (%) |
| 02.12.2029 |
8.33 |
| 01.01.2030 |
8.33 |
| 31.01.2030 |
8.33 |
| 03/02/2030 |
8.33 |
| 01.04.2030 |
8.33 |
| 01.05.2030 |
8.33 |
| 31.05.2030 |
8.33 |
| 30.06.2030 |
8.33 |
| 30.07.2030 |
8.33 |
| 29.08.2030 |
8.33 |
| 28.09.2030 |
8.33 |
| 28.10.2030 |
8.37 |
|
| Trade Code |
RU000A10F7K2 |
| ISIN code |
RU000A10F7K2 |
| Listing level |
Third level |
| Sector |
High Investment Risk Sector Companies |
| Method of placement |
Closed subscription |
| Placement price |
100% of the face value |
| Scheduled end date of placement |
05.06.2026 |
| Underwriter |
| Name |
LLC IC “Ivolga Capital” |
| Trader Identifier in the Trading System of PJSC Moscow Exchange |
MC0478600000 |
| Short name in the Trading System of PJSC Moscow Exchange |
IVOlGAKAP |
2.Define:
- 22.05.2026 as the date of the start of trading in the placement process,
- 22.05.2026 as the start date of trading in the process of circulation after full payment of the following securities
| Name of the security |
Exchange-traded discount non-convertible bearer bond series KS-4-1207 |
| Full name of the organization |
VTB Bank (public joint-stock company) |
| Type of security |
Exchange bond |
| Registration number from the registration date |
4B02-1207-01000-B-005P dated 30.04.2026 |
| Nominal value |
1,000 |
| Currency of nominal value |
Rubles |
| Number of securities in the issue |
100,000,000 pieces |
| Maturity date |
23.05.2026 |
| Trade code |
RU000A10F7M8 |
| ISIN code |
RU000A10F7M8 |
| Listing level |
Third level |
| Placement method |
Open subscription |
| Placement price |
The authorized body of the issuer’s management makes a decision on the placement price before the start of the placement of exchange bonds. The placement price is uniform for all purchasers of exchange bonds. |
| Scheduled end date of posting |
The start date and end date of the placement of exchange-traded bonds coincide. |
| Underwriter |
| Name |
VTB Bank (PJSC) |
| Participant Identifier in the Trading System of PJSC Moscow Exchange |
MC0003300000 |
| Short name in the Trading System of PJSC Moscow Exchange |
VTB RF |
3.Determine:
- 22.05.2026 as the start date of trading in the placement process,
- 22.05.2026 as the date of the start of trading in the process of circulation after full payment for the following securities
| Name of the security |
Bonds of the state loan of the Republic of Sakha (Yakutia) in the form of registered documentary securities with mandatory centralized accounting with a fixed coupon yield and amortization of the debt |
| Full name of the organization |
Ministry of Finance of the Republic of Sakha (Yakutia) |
| Type of security |
Subfederal bond |
| Registration number from the registration date |
RU34006RSY0 from 30.04.2026 |
| Nominal value |
1,000 |
| Currency of nominal value |
Sub |
| Number of securities in the issue |
8,700,000 pieces |
| Maturity Date |
06.05.2029 |
| Information about partial early repayment |
| Date of partial early repayment |
Volume (%) |
| 14.09.2027 |
10 |
| 13.12.2027 |
10 |
| 09.08.2028 |
15 |
| 07.11.2028 |
15 |
| 07.03.2029 |
25 |
| 06.05.2029 |
25 |
|
| Trade code |
RU000A10F7J4 |
| ISIN code |
RU000A10F7J4 |
| Listing level |
First level |
| Placement method |
Open subscription |
| Placement price |
The placement price of the security is set equal to 1,000 (One thousand) rubles per bond, which corresponds to 100 (One hundred) percent of its nominal value. Starting from the second day of the bond placement, the bondholder, in addition to the placement price, also pays the accrued coupon income. |
| Scheduled end date of placement |
The date of termination of the Placement of Bonds is the date of sale of the last Bond to the first owners, but no later than the maturity date of the Bonds. |
| Underwriter |
| Name |
PJSC “Sovcombank” |
| Trader Identifier in the Trading System of PJSC Moscow Exchange |
MC0253800000 |
| Short name in the Trading System of PJSC Moscow Exchange |
Sovcombank |
4.Define:
- 22.05.2026 as the start date of trading during the placement process,
- 22.05.2026 as the date of the start of trading in the process of circulation after full payment for the following securities
| Name of the security |
Exchange-traded bonds interest non-convertible bearer series 002P-08 |
| Full name of the organization |
Limited Liability Company “Brusnika. Construction and Development” |
| Type of security |
Exchange bond |
| Registration number from the registration date |
4B02-08-00492-R-002P from 15.05.2026 |
| Nominal value |
1,000 |
| Currency of nominal value |
Sub |
| Number of securities in the issue |
3,250,000 pcs |
| Repayment Date |
06.05.2029 |
| Trade code |
RU000A10F6Y5 |
| ISIN code |
RU000A10F6Y5 |
| Listing level |
Second level |
| Placement method |
Open subscription |
| Placement price |
100% of the nominal value |
| Scheduled completion date of placement |
26.05.2026 |
| Underwriter |
| Name |
JSC Bank Sinara |
| Trading Participant Identifier in the Trading System of PJSC Moscow Exchange |
EC0106000000 |
| Short name in the Trading System of PJSC Moscow Exchange |
Banksinara |
5.Determine:
- 22.05.2026 as the date of the start of trading in the placement process,
- 22.05.2026 as the date of the start of trading in the process of circulation after full payment of the following securities
| Name of the security |
Exchange-traded coupon non-convertible bearer bond series BO-I17 |
| Full name of the organization |
Public Joint-Stock Company “Sovcombank” |
| Security type |
Stock exchange bond |
| Registration number from the date of registration |
4B02-24-00963-B-001P from 04.03.2026 |
| Nominal value |
1,000 |
| Currency of nominal value |
Rubles |
| Number of securities in the issue |
200,000 pieces |
| Maturity date |
21.05.2028 |
| Trading Code |
RU000A10F6Z2 |
| ISIN code |
RU000A10F6Z2 |
| Listing level |
Third level |
| Placement method |
Open subscription |
| Placement price |
100% of the nominal value |
| Scheduled completion date of placement |
29.05.2026 |
| Underwriter |
| Name |
PJSC “Sovcombank” |
| Participant Identifier in the Trading System of PJSC Moscow Exchange |
MC0253800000 |
| Short name in the Trading System of PJSC Moscow Exchange |
Sovcombank |
6.Determine:
- 22.05.2026 as the start date of trading in the listing process,
- 22.05.2026 as the date of the start of trading in the process of circulation after full payment of the following securities
| Name of the security |
Exchange-traded bonds interest non-convertible bearer series 001P-12 |
| Full name of the organization |
Joint-stock company “Atomic Energy Industrial Complex” |
| Type of security |
Exchange bond |
| Registration number from the date of registration |
4B02-12-55319-E-001P dated 29.04.2026 |
| Nominal value |
1,000 |
| Currency of nominal value |
Rubel |
| Number of securities in the issue |
80,000,000 pieces |
| Maturity Date |
18.05.2029 |
| Trade code |
RU000A10F7L0 |
| ISIN code |
RU000A10F7L0 |
| Listing level |
Second level |
| Placement method |
Open subscription |
| Placement price |
100 % of the nominal value |
| Scheduled completion date of placement |
27.05.2026 |
| Underwriter |
| Name |
GPB Bank (JSC) |
| Participant Identifier in the Trading System of PJSC Moscow Exchange |
MC0009800000 |
| Short name in the Trading System of PJSC Moscow Exchange |
GPB Bank |
7.Define:
- 22.05.2026 as the start date of trading in the listing process,
- 22.05.2026 as the trading start date in the process of circulation after full payment for the following securities
| Name of the security |
Exchange-traded non-convertible interest-bearing bearer bond series 001P-13 |
| Full name of the organization |
Joint-stock company “Atomic Energy Industrial Complex” |
| Type of security |
Exchange bond |
| Registration number from the registration date |
4B02-13-55319-E-001P from 14.05.2026 |
| Nominal value |
1,000 |
| Currency of nominal value |
Sub |
| Number of securities in the issue |
25,000,000 pieces |
| Maturity date |
06.05.2029 |
| Trading code |
RU000A10F7N6 |
| ISIN code |
RU000A10F7N6 |
| Listing level |
Second level |
| Placement method |
Open subscription |
| Placement price |
100 % of the nominal value |
| Scheduled end date of placement |
27.05.2026 |
| Underwriter |
| Name |
JSC “Bank DOM.RF” |
| Participant Identifier in the Trading System of PJSC Moscow Exchange |
MC0034600000 |
| Short name in the trading system of PJSC Moscow Exchange |
BankDOMRF |
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