Published on: 2026-08-24
Source: Moscow Exchange –
An important disclaimer is at the bottom of this article.
To the participants of the bidding
We inform you that in accordance with Part I. General Provisions of the Rules for conducting trading on the stock market, deposit market, and credit market of PJSC “Moscow Exchange MICEX-RTS”, approved by the decision of the Supervisory Board of PJSC Moscow Exchange on May 15, 2026 (Protocol No. 17), and based on the redemption notice received from PJSC AFK “SISTEMA”, the following form, time, term, and procedure for the acquisition of bonds of PJSC AFK “SISTEMA” in the trading mode “Redemption: Directed orders” have been established:
| Name of the Issuer | PJSC AFK “SISTEMA” | ||
| Full name of the securities (appearance and type) |
exchange bonds interest non-convertible bearer with centralized recording of rights series 001P-15 | ||
| Registration number of the issue | 4B02-15-01669-A-001P | ||
| Trade code | RU000A1023K1 | ||
| ISIN | RU000A1023K1 | ||
| Acquisition information (Trading mode, form of acquisition) |
With preliminary collection of targeted applications with activation date in the trading mode “Buyback: Targeted applications.” (Settlements: Ruble) | ||
| Settlement code | T0 | ||
| Acquisition price | 100% of the Bond’s nominal value | ||
| Name of the Agent purchasing the bonds | PJSC Sovcombank (trading system identifier – MC0253800000) |
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| Lot size | 1 Bond | ||
| Application start date | 25.08.2026 | ||
| Application deadline | 31.08.2026 | ||
| Date of application activation and transaction conclusion | 03.09.2026 | ||
| Application submission time during the application collection period | Application submission date | Application start time | Application deadline |
| 25.08.2026 | 10:00 | 18:00 | |
| 26.08.2026 | 10:00 | 18:00 | |
| 27.08.2026 | 10:00 | 18:00 | |
| 28.08.2026 | 10:00 | 18:00 | |
| 31.08.2026 | 10:00 | 18:00 | |
| Application activation time | 13:00 | ||
| Trading time during the order fulfillment period | Date of application approval | Start time of satisfaction applications |
Time of completion of request fulfillment |
| 03.09.2026 | 13:05 | 18:00 | |
| Additional conditions | Withdrawal of applications is allowed during the application collection period. The guarantee control procedure for an application submitted during the application collection period is carried out at the moment of activation of such application. Applications for the sale of Bonds must be submitted with the following mandatory details: – activation date (this application field is filled in automatically in the format “DDMMYYYY” by the Trading System); – the number of securities in lots (the maximum number of securities that the potential seller would like to sell); – settlement code; – price, as a percentage of the nominal value of the Bonds; – other mandatory details established by the Trading Rules. |
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Please note; This information is raw content obtained directly from the information source. It represents an accurate report of what the source claims and does not necessarily reflect the position of MIL-OSI or its clients.