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Financial News: On the Conduct of Bond Buyback from August 24 to 28, 2026.

Financial News: On the Conduct of Bond Buyback from August 24 to 28, 2026.

Published on: 2026-08-21

Source: Moscow Exchange –

An important disclaimer is at the bottom of this article.

Auction participants

We inform you that, in accordance with Part I. General Part of the Rules for Trading on the Stock Market, Deposit Market, and Credit Market of PJSC Moscow Exchange, approved by the decision of the Supervisory Board of PJSC Moscow Exchange on May 15, 2026 (Protocol No. 17) and Part II. Stock Market Section of the Rules for Trading on the Stock Market, Deposit Market, and Credit Market of PJSC Moscow Exchange, approved by the decision of the Supervisory Board of PJSC Moscow Exchange on January 23, 2026 (Protocol No. 11), the following terms, form, and procedure for conducting the buyback trading of the bonds listed in Appendix No. 1 to this Notification (hereinafter – the Bonds) have been established:

The purchase of Bonds will be conducted in the Trading Mode “Buyback: Addressed Orders” in accordance with the procedure set forth in Subsection 1.9 Conducting Trades for the Purchase of Shares and Buyback of Bonds of Part II. Trading Rules.

The purchaser of the Bonds upon redemption is the Stock Market Trading Participant specified in Appendix No. 1 to this Notice.

The size of the standard lot in the trading mode “Buyout: Targeted Orders” is set equal to 1 (one) security.

Appendix No. 1

List of securities for which the terms, form, and procedure for conducting trading on bond buyback are determined

No. p/p Redemption date ISIN code of the security issue Name of the security issue Name of the trading participant – securities buyer Trading participant identifier – securities buyer Additional conditions for the acquisition of securities
1 26.08.2026 RU000A1004W6 Exchange-traded bond 001R-05R PAO DOM.RF PJSC DOM.RF MC0159100000 Trading time for acquiring Bonds:

  • application submission period: 11:00 – 13:00;
  • application satisfaction period: 14:00 – 18:00.

Purchase price 100%.
Settlement code T0.
Calculations: Russian ruble.

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