Published on: 2026-09-08
Source: Moscow Exchange –
An important disclaimer is at the bottom of this article.
To auction participants
We inform you that based on a letter from the Bank of Russia and in accordance with Part I. General Part and Part II. Stock Market Section of the Rules for trading on the stock market, deposit market, and credit market of PJSC Moscow Exchange, an order has established the form, time, term, and procedure for conducting auctions for the placement and trading of the following federal loan bonds:
1.
| Name of the Issuer | Ministry of Finance of the Russian Federation |
| Name of the security | Federal loan bonds with a fixed coupon income |
| State registration number of the release | 26218RMFS of 23.10.2015 |
| Auction date | September 9, 2026 |
| Information about placement (Trading mode, form of placement) | The Placement of Bonds will be carried out in the Trading Mode “Placement: Auction” by conducting an Auction to determine the placement price. BoardId: PACT (Calculations: Ruble) |
| Trade code | SU26218RMFS6 |
| ISIN code | RU000A0JVW48 |
| Settlement code | B01 |
| Additional placement conditions |
|
| Trading time | Trading time:
|
2.
| Issuer Name | Ministry of Finance of the Russian Federation |
| Name of the security | federal loan bonds with fixed coupon income |
| State registration number of the issue | 26230RMFS dated 03.06.2019 |
| Auction date | September 9, 2026 |
| Placement information (Trading mode, placement form) | Placement of the Bonds will be carried out in the trading mode “Placement: Auction” by conducting an Auction to determine the placement price. BoardId: PACT (Calculations: Ruble) |
| Trade code | SU26230RMFS1 |
| ISIN code | RU000A100EF5 |
| Settlement code | B01 |
| Additional placement conditions |
|
| Trading time | Trading time:
|
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.