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Financial News: Information on the Sale of Investment Units of the ICPF “Sinara” Managed by LLC “UK SGB” (RU000A10AN72).

Financial News: Information on the Sale of Investment Units of the ICPF “Sinara” Managed by LLC “UK SGB” (RU000A10AN72).

Published on: 2026-07-01

Source: Moscow Exchange –

An important disclaimer is at the bottom of this article.

Name of the Management CompanyLLC “Management Company SGB”

Type of securityinvestment shares of the Interval Unit Investment Combined Fund ‘Sinara’

Identification/registration number of the issue (PDU number)6761-SD

Trade codeRU000A10AN72

ISIN codeRU000A10AN72

SellerTrading system identifier – EC0106000000

Lot size1 share

Price step100 rub.

Price range
(applications with price indications that do not correspond to the specified range are not registered)

Selling price

Application start date01.07.2026

Application Deadline07.07.2026

Activation and transaction dates13.07.2026

Information about the sale (Trading mode, form of sale)With the preliminary collection of targeted applications with an activation date in the trading mode “Placement: Targeted Applications.”
(Calculations: Ruble, mode code: PSAU)

Permissible types of applications

  1. volume + “Counterparty Price”

indicating the amount of funds intended for the purchase of securities (the maximum amount of funds for the purchase, including all necessary commission fees) and the additional attribute “At the counterparty’s price”.

Settlement codeZ0

Submission of applications under the conditions of “Partial security/assignment”
(only possible with indication of the Trade-Clearing account T+ in the application)No

Application submission time during the application collection period (withdrawal of applications is allowed during the application collection period)10:00 AM – 7:00 PM from 07/01/2026 to 07/06/2026
10:00 AM – 3:00 PM 07.07.2026

Time of control and blocking of partial collateral
(preactivation)

Amount of partial collateral

Severance amount

Application activation time9:35 – 13.07.2026

Trading time during the order fulfillment period9:50 – 18:30 – 13.07.2026

Additional conditionsApplications accepted only from qualified investors

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