Post

Financial News: On the commencement of trading securities on June 26, 2026.

Financial News: On the commencement of trading securities on June 26, 2026.

Published on: 2026-06-25

Source: Moscow Exchange –

An important disclaimer is at the bottom of this article.

In accordance with the Listing Rules of PJSC Moscow Exchange, the Chairman of the Management Board made the following decisions on 25.06.2026:

1.Define:

  • 26.06.2026 as the starting date of trading in the placement process,
  • 26.06.2026 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-bearing, non-convertible, uncertificated series BO-01
Full name of the organization Closed joint-stock company “PROGRESS”
Type of security Exchange bond
Intended for qualified investors Yes
Registration number from the date of registration 4B02-01-63968-J dated 11.06.2026
Nominal value 1,000
Currency of nominal value Publishing
Number of securities in the issue 100,000 pieces
Repayment date 31.05.2031
Trade Code RU000A10FJ08
ISIN code RU000A10FJ08
Listing level Third level
Sector Sector Rost
Method of placement Closed subscription
Placement price 100% of the nominal value
Scheduled end date of placement 03.07.2026
Underwriter
Name LLC IC “Ivolga Capital”
Trade Participant Identifier in the Trading System of PJSC Moscow Exchange MC0478600000
Short name in the Trading System of PJSC Moscow Exchange IVOLGAKAP

2.Define:

  • 26.06.2026 as the start date of trading in the placement process,
  • 26.06.2026 as the start date of trading during the circulation process after full payment for the following securities
Name of the security structured interest-bearing discount non-documentary non-convertible bonds secured by collateral of series CIB-SN-BND-001S-629
Full name of the organization Joint-stock company “Sberbank CIB”
Type of security Corporate bond
Intended for qualified investors Yes
Registration number from the date of registration 6-629-01793-A-001P of 22.04.2026
Nominal value 1,000
Currency of nominal value Субль
Number of securities in the issue 2,000,000 pieces
Maturity Date 05.07.2027
Trade Code RU000A10EYD4
ISIN code RU000A10EYD4
Listing level Third level
Placement method Closed subscription
Placement price 100% of the nominal value
Scheduled completion date of placement 29.06.2026
Underwriter
Name JSC “Sberbank CIB”
Identifier of the Trading Participant in the Trading System of PJSC Moscow Exchange MC0005500000
Short name in the Trading System of PJSC Moscow Exchange Sberbank CIB

3.Define:

  • 26.06.2026 as the start date of trading in the placement process,
  • 26.06.2026 as the start date of trading in the process of circulation after full payment of the following securities
Name of the security Structured interest discount non-convertible unsecured bonds series S-1-1739
Full name of the organization VTB Bank (public joint-stock company)
Security type Corporate bond
Designed for qualified investors Yes
Registration number from the date of registration 6-1739-01000-B-001P from 05.03.2026
Nominal value 1,000
Currency of nominal value The Subtle
Number of securities in the issue 3,000,000 pieces
Maturity Date 21.07.2031
Trade code RU000A10EH35
ISIN code RU000A10EH35
Listing level Third level
Placement method Closed subscription
Posting price 57.4% of nominal value
Scheduled completion date of posting The bond placement end date is the earliest of the following dates: a) July 13, 2026; b) the placement date of the last bond issue.
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

4.Define:

  • 26.06.2026 as the start date of trading in the placement process,
  • 26.06.2026 as the date of the start of trading during the circulation process after full payment of the following securities
Name of the security Exchange-traded interest non-convertible bearer bond series 002P-08
Full name of the organization Joint-stock company “J-Grupp”
Security type Exchange bond
Registration number from the registration date 4B02-08-10609-P-001P dated 17.06.2026
Nominal value 1,000
Currency of nominal value Subtle
Number of securities in the issue 2,000,000 pieces
Maturity date 10.06.2029
Trade Code RU000A10FGG1
ISIN code RU000A10FGG1
Listing level Second level
Placement method Open subscription
Placement price 100% of the nominal value
Scheduled completion date of placement 01.07.2026
Underwriter
Name JSC Bank Sinara
Participant Identifier in the Trading System of PJSC Moscow Exchange EC0106000000
Short name in the Trading System of PJSC Moscow Exchange BankSinara

5.Define:

  • 26.06.2026 as the trading start date during the placement process,
  • 26.06.2026 as the start date of trading in the process of circulation after full payment of the following securities
Name of the security Exchange-traded non-convertible interest-bearing bearer bonds series 002P-06
Full name of the organization Joint Stock Company Leasing Company “Rodelen”
Type of securities Exchange bond
Registration number from the date of registration 4B02-06-19014-J-002P dated 22.06.2026
Nominal value 1,000
Currency of nominal value Sub
Number of securities in issue 500,000 pieces
Maturity date 31.05.2031
Information on partial early repayment
Date of partial early repayment Volume (%)
16.02.2028 2.38
14.08.2028 2.38
10.02.2029 2.38
10.06.2029 2.38
08.10.2029 2.38
03.10.2030 2.38
17.01.2028 2.38
16.04.2028 2.38
06.05.2030 2.38
02.03.2031 2.38
17.03.2028 2.38
16.05.2028 2.38
15.06.2028 2.38
13.09.2028 2.38
06.01.2030 2.38
04.08.2030 2.38
15.07.2028 2.38
12.03.2029 2.38
03.09.2030 2.38
31.01.2031 2.38
13.10.2028 2.38
02.12.2030 2.38
01.04.2031 2.38
12.11.2028 2.38
11.04.2029 2.38
07.12.2029 2.38
07.03.2030 2.38
12.12.2028 2.38
08.09.2029 2.38
05.02.2030 2.38
02.11.2030 2.38
01.05.2031 2.38
11.01.2029 2.38
11.05.2029 2.38
10.07.2029 2.38
05.06.2030 2.38
09.08.2029 2.38
07.11.2029 2.38
06.04.2030 2.38
07/05/2030 2.38
01.01.2031 2.38
31.05.2031 2.42
Trade Code RU000A10FJ65
ISIN code RU000A10FJ65
Listing level Third level
Placement method Open subscription
Placement price 100% of the nominal value
Planned completion date of posting 10.07.2026
Underwriter
Name GPB Bank (JSC)
Trader Identifier in the Trading System of PJSC Moscow Exchange MC0009800000
Short name in the Trading System of PJSC Moscow Exchange GPB Bank

6.Define:

  • 26.06.2026 as the start date of trading in the listing process,
  • 26.06.2026 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 discounted non-convertible bearer series KS-4-1231
Full name of the organization VTB Bank (public joint-stock company)
Securities type Exchange bond
Registration number from the date of registration 4B02-1231-01000-B-005P dated 30.04.2026
Nominal value 1,000
Currency of nominal value Sub
The number of securities in the issue 100,000,000 pieces
Maturity date 27.06.2026
Trade code RU000A10FHX4
ISIN code RU000A10FHX4
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-traded bonds. The placement price is uniform for all buyers of exchange-traded bonds.
Scheduled end date of placement The start date and the end date of the placement of exchange-traded bonds coincide.
Underwriter
Name VTB Bank (PJSC)
Trader Identifier in the Trading System of PJSC Moscow Exchange MC0003300000
Short name in the Trading System of PJSC Moscow Exchange VTB RF

7.Define:

  • 26.06.2026 as the start date of trading in the placement process,
  • 26.06.2026 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 bonds with collateral, interest-bearing, non-convertible, bearer series BO-P13
Full name of the organization Limited Liability Company “VIS FINANCE”
Type of security Exchange bond
Registration number from the date of registration 4B02-13-00554-R-001P dated 19.06.2026
Nominal value 1,000
Currency of nominal value Rubles
Number of securities in the issue 1,250,000 pieces
Maturity Date 10.06.2029
Trade code RU000A10FJ16
ISIN code RU000A10FJ16
Listing level Second level
Placement Method Open subscription
Placement price 100% of the nominal value
Scheduled end date of placement 30.06.2026
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

8.Determine:

  • 26.06.2026 as the trading start date in the listing process,
  • 26.06.2026 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 non-convertible interest-bearing uncertificated bonds with mortgage coverage and security in the form of guarantees series BO-001P-66
Full name of the organization Limited Liability Company “DOM.RF Mortgage Agent”
Type of security Exchange-traded bond
Registration number from the date of registration 4B02-64-00307-R-001P dated 23.06.2026
Nominal value 1,000
Currency of nominal value Рубль
Number of securities in the issue 55,015,777 pcs
Maturity date 28.12.2056
Trade code RU000A10FJ24
ISIN code RU000A10FJ24
Listing level First level
Placement method Open subscription
Placement price The placement price of the securities is set at 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 purchaser of the bonds, in addition to the placement price, also pays the accrued coupon interest.
Scheduled end date of placement The end date for the placement of the Bonds is the earlier of the following dates: (i) the date of placement of the last Bond, or (ii) the third business day from the Start Date of placement, where a business day is understood to be a day when the Exchange holds organized trading on the stock market.
Underwriter
Name JSC “ALFA-BANK”
Trader Identifier in the Trading System of PJSC Moscow Exchange MC0000500000
Short name in the Trading System of PJSC Moscow Exchange Alpha

9.Define:

  • 26.06.2026 as the start date of trading in the process of circulation of the following securities
Name of the security Investment units of the Exchange Mutual Investment Fund of Market Financial Instruments “ATON – Dollar Currency Bonds”
Full name of the organization Limited Liability Company “Management Company Aton-Management”
Type of security Unit of an exchange-traded mutual fund (ETF)
Registration number from the registration date 7838 from 28.05.2026
Trade code AMVD
ISIN code RU000A10F9Y9
Listing level First level

10.Define:

  • 26.06.2026 as the date the trading began during the circulation of the following securities
Name of the security Investment units of the Exchange-traded mutual fund of market financial instruments “ATON – Currency bonds in yuan”
Full name of the organization Limited Liability Company “Managing Company ‘Aton-Management'”
Type of security Share of exchange-traded mutual fund
Registration number from the date of registration 7840 of 28.05.2026
Trade code AMVY
ISIN code RU000A10F9X1
Listing level First level

11.Define:

  • 26.06.2026 as the start date of trading during the placement process,
  • 26.06.2026 as the date for the start of trading in the process of circulation after full payment of the following securities
Name of the security Exchange bonds interest non-convertible bearer series 001P-03
Full name of the organization Limited Liability Company “EkoNiva”
Type of security Exchange bond
Registration number from the date of registration 4B02-03-00261-L-001P dated 15.06.2026
Nominal value 1,000
Currency of nominal value Sub
Number of securities in the issue 3,000,000 pieces
Maturity date 13.10.2028
Trade code RU000A10FHY2
ISIN code RU000A10FHY2
Listing level Second level
Placement method Open subscription
Placement price 100% of the nominal value
Scheduled end date of placement 29.06.2026
Underwriter
Name JSC “Rosselhozbank”
Trader Identifier in the Trading System of PJSC Moscow Exchange MC0134700000
Short name in the Trading System of PJSC Moscow Exchange Rosselhoz B

12.Define:

  • 26.06.2026 as the start date of trading in the placement process,
  • 26.06.2026 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 non-convertible interest-bearing bearer bond series IOS_RMFS-PRT-CS-3Y1M-001Ð -798R
Full name of the organization Public joint-stock company “Sberbank of Russia”
Security type Exchange bond
Registration number from the registration date 4B02-828-01481-B-001P dated 22.05.2026
Nominal value 1,000
Currency of nominal value Ruble
Number of securities in the issue 1,000,000 pieces
Maturity date 26.07.2029
Trading code RU000A10F835
ISIN code RU000A10F835
Listing level Third level
Placement Method Open subscription
Placement price 100% of the nominal value
Scheduled completion date of placement 26.06.2026
Underwriter
Name JSC “Sberbank KIB”
Participant Identifier in the Trading System of PJSC Moscow Exchange MC0005500000
Short name in the Trading System of PJSC Moscow Exchange Sberbank CIB

13.Determine:

  • 26.06.2026 as the starting date of trading in the placement process,
  • 26.06.2026 as the date of the start of trading during the circulation process after full payment of the following securities
Name of the security Exchange-traded bonds, non-convertible interest-bearing, non-documentary series IOS-NVTK-BNR-1Y-001Р-800R
Full name of the organization Public Joint Stock Company “Sberbank of Russia”
Type of security Exchange bond
Registration number from the date of registration 4B02-831-01481-B-001P from 26.05.2026
Nominal value 1,000
Currency of nominal value The Ruble
Number of securities in the issue 100,000 pieces
Maturity date 25.06.2027
Trading code RU000A10F8X3
ISIN code RU000A10F8X3
Listing level Third level
Placement method Open subscription
Placement price 100% of the nominal value
Scheduled completion date for placement 26.06.2026
Underwriter
Name JSC “Sberbank CIB”
Trader Identifier in the Trading System of PJSC Moscow Exchange MC0005500000
Short name in the Trading System of PJSC Moscow Exchange Sberbank CIB

14.Determine:

  • 26.06.2026 as the start date of trading in the placement process,
  • 26.06.2026 as the date of the start of trading in the course of circulation after full payment of the following securities
Name of the security Exchange-traded bonds interest non-convertible unsecured series IOS-USDRUB-PRT-CS-1Y-001P-807R
Full name of the organization Public Joint Stock Company “Sberbank of Russia”
Type of security Exchange bond
Registration number from the date of registration 4B02-836-01481-B-001P dated 22.06.2026
Nominal value 1,000
Currency of nominal value Рубль
Number of securities in issue 1,200,000 pieces
Repayment Date 01.07.2027
Trading code RU000A10FHK1
ISIN code RU000A10FHK1
Listing level Third level
Method of placement Open subscription
Placement price 100% of the nominal value
Scheduled date of placement completion 26.06.2026
Underwriter
Name JSC “Sberbank CIB”
Trader Identifier in the Trading System of PJSC Moscow Exchange MC0005500000
Short name in the Trading System of PJSC Moscow Exchange Sberbank CIB
Contact information for the media
+7 (495) 363-3232
PR@moex.com

Please note; This information is raw content directly obtained from the source. It represents an exact report of what the source claims and does not necessarily reflect the position of MIL-OSI or its clients.