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Financial News: On the Commencement of Trading of Securities on August 31, 2026

Financial News: On the Commencement of Trading of Securities on August 31, 2026

Published on: 2026-08-31

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 28.08.2026:

1. Define:

  • 31.08.2026 as the trading start date in the placement process,
  • 31.08.2026 as the start date of trading in the process of circulation after full payment of the following securities
Name of the security structured interest-bearing discount non-documentary non-convertible bonds secured by collateral series CIB-SN-IND-001S-307
Full name of the organization Joint Stock Company “Sberbank CIB”
Type of securities Corporate bond
Intended for qualified investors Yes
Registration number and registration date 6-307-01793-A-001P dated 09/23/2025
Nominal value 1,000
Nominal value currency Ruble
Number of securities in the issue 1,200,000 units
Maturity Date 27.12.2029
Trading Code RU000A10D129
ISIN code RU000A10D129
Listing level Third level
Placement method Closed subscription
Placement price 100% of nominal value
Scheduled end date of placement 01.09.2026
Underwriter
Name JSC “Sberbank CIB”
Trading Participant Identifier in the Trading System of PJSC Moscow Exchange MC0005500000
Short name in the Trading System of PJSC Moscow Exchange Sberbank CIB

2. Define:

  • 31.08.2026 as the trading start date in the placement process,
  • 31.08.2026 as the start date of trading during the circulation process after full payment for the following securities
Name of the security bonds structured interest-bearing discount bearer non-convertible secured series CIB-SN-BND-001S-637
Full name of the organization Joint Stock Company “Sberbank CIB”
Type of securities Corporate bond
Intended for qualified investors Yes
Registration number from the date of registration 6-637-01793-A-001P dated 22.04.2026
Nominal value 1,000
Currency of nominal value Ruble
Number of securities in the issue 1,000,000 pieces
Maturity Date 09.03.2027
Trade Code RU000A10F298
ISIN code RU000A10F298
Listing level Third level
Placement method Closed subscription
Placement price 100% of the face value
Scheduled placement end date 01.09.2026
Underwriter
Name JSC “Sberbank CIB”
Participant Identifier in the Trading System of PJSC Moscow Exchange MC0005500000
Short name in the PJSC Moscow Exchange Trading System Sberbank CIB

3. Define:

  • 08/31/2026 as the start date of trading in the placement process,
  • 31.08.2026 as the start date of trading during circulation after full payment of the following securities
Name of the security structural non-convertible bearer bonds with interest discounts of series C-1-1721
Full name of the organization VTB Bank (public joint-stock company)
Type of securities Corporate bond
Designed for qualified investors Yes
Registration number from the date of registration 6-1721-01000-B-001P dated 05.03.2026
Nominal value 1,000
Nominal value currency Ruble
Number of securities in the issue 3,000,000 pieces
Maturity date 18.09.2031
Trade code RU000A10EGK6
ISIN code RU000A10EGK6
Listing level Third level
Placement method Closed subscription
Listing price 54% of the nominal value
Scheduled end date of the placement The maturity date for the Bonds is the earliest of the following dates: a) September 10, 2026; b) the issuance date of the last Bond of the issue.
Underwriter
Name VTB Bank (PJSC)
Trading 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:

  • 31.08.2026 as the trading start date in the placement process,
  • 31.08.2026 as the start date of trading in the circulation process after full payment of the following securities
Name of the security Exchange-traded discount non-convertible uncertificated bonds series KS-4-1277
Full name of the organization VTB Bank (public joint-stock company)
Type of securities Exchange bond
Registration number from the date of registration 4B02-1277-01000-B-005P dated 15.07.2026
Nominal value 1,000
Nominal value currency Ruble
Number of securities in the issue 100,000,000 pieces
Maturity date 01.09.2026
Trade code RU000A10FZ99
ISIN code RU000A10FZ99
Listing level Third level
Placement method Open subscription
Placement price The authorized management body of the issuer 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 placement The start date and the end date of placing exchange 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

5. Determine:

  • 31.08.2026 as the start date of trading in the placement process,
  • 31.08.2026 as the start date of trading during circulation after full payment of the following securities
Name of the security exchange-traded housing bonds, interest-bearing, non-convertible, uncertificated, with mortgage coverage, secured by a guarantee, series BO-001P-69
Full name of the organization Limited Liability Company “DOM.RF Mortgage Agent”
Type of securities Exchange-traded bond
Registration number from the date of registration 4B02-67-00307-R-001P dated 10.08.2026
Nominal value 1,000
Currency of nominal value Ruble
Number of securities in the issue 10,205,692 pieces
Maturity date 28.08.2057
Trading code RU000A10FZB2
ISIN code RU000A10FZB2
Listing level First level
Placement method Open subscription
Listing Price The issue price of 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 bond placement, the bond purchaser pays, in addition to the issue price, the accrued coupon income.
Scheduled end date of posting The end date for the placement of Bonds shall be the earlier of the following dates: (i) the placement date of the last Bond, or (ii) the third business day from the Placement Start Date, where a business day means a day on which the Exchange conducts organized trading on the stock market.
Underwriter
Name LLC VTB Capital Trading
Trading Participant Identifier in the Trading System of PJSC Moscow Exchange MC0569600000
Short name in the Trading System of PJSC Moscow Exchange VTBCapTrade

6. Define:

  • 31.08.2026 as the trading start date during the placement process,
  • 31.08.2026 as the date of commencement of trading in the circulation process after full payment for the following securities
Name of the security Non-convertible interest-bearing non-documentary bonds secured by cash claims, class A9 series 02
Full name of the organization Limited Liability Company “Specialized Financial Society VTB RKS Olymp”
Type of securities Corporate bond
Registration number from the date of registration 4-13-00968-R-001P dated 23.07.2026
Nominal value 1,000
Currency of nominal value Ruble
Number of securities in the issue 6,000,000 pieces
Maturity date 07/04/2033
Trade code RU000A10FU78
ISIN code RU000A10FU78
Listing level Third level
Placement method Open subscription
Listing price 100% of the nominal value
Scheduled end date of placement 30.09.2026
Underwriter
Name LLC VTB Capital Trading
Trading Participant Identifier in the Trading System of PJSC Moscow Exchange MC0569600000
Short name in the trading system of PJSC Moscow Exchange VTBCapTrade

7. Define:

  • 31.08.2026 as the start date of trading during the placement process,
  • 31.08.2026 as the start date of trading in the circulation process after full payment of the following securities
Name of the security Exchange-traded bonds, non-convertible interest-bearing, uncertificated, series IOS-RMFS-BNR-5Q-001R-814R
Full name of the organization Public Joint Stock Company “Sberbank of Russia”
Type of securities Exchange-traded bond
Registration number from the date of registration 4B02-843-01481-B-001P dated 27.07.2026
Nominal value 1,000
Currency of nominal value Ruble
Number of securities in the issue 1,000,000 pieces
Maturity date 30.11.2027
Trade code RU000A10FRP9
ISIN code RU000A10FRP9
Listing level Third level
Placement method Open subscription
Placement price 100% of the nominal value
Scheduled end date of placement 31.08.2026
Underwriter
Name JSC “Sberbank CIB”
Participant Identifier in the Trading System of PJSC Moscow Exchange MC0005500000
Short name in the PJSC Moscow Exchange Trading System Sberbank CIB

8. Define:

  • August 31, 2026 as the start date of trading in the placement process,
  • 31.08.2026 as the date of the start of trading in the circulation process after full payment of the following securities
Name of the security Exchange bonds interest non-convertible non-documentary series IOS-MOEXFN-BNR_MEM-5Q-001R-815R
Full name of the organization Public Joint Stock Company “Sberbank of Russia”
Type of securities Exchange-traded bond
Registration number from the date of registration 4B02-844-01481-B-001P dated 13.08.2026
Nominal value 1,000
Currency of nominal value Ruble
Number of securities in the issue 300,000 pieces
Maturity date 31.08.2029
Trade Code RU000A10FVL0
ISIN code RU000A10FVL0
Listing level Third tier
Placement method Open subscription
Listing price 100% of the nominal value
Scheduled end date of placement 31.08.2026
Underwriter
Name JSC “Sberbank CIB”
Trading Participant Identifier in the PJSC Moscow Exchange Trading System MC0005500000
Short name in the Trading System of PJSC Moscow Exchange Sberbank CIB
Contact information for the media
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PR@moex.com

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