Published on: 2026-04-02
Source: Moscow Exchange – Московская Биржа –
An important disclaimer is at the bottom of this article.
To the participants of the trade
We inform you that in accordance with Part I. General part of the Rules for conducting trading on the stock market, deposit market and credit market of PJSC “Moscow Exchange MMVB-RTS”, approved by the decision of the Supervisory Board on January 23, 2026 (Protocol No. 11), it is established that from April 3, 2026, Table 1-O (Only REPO transactions) “Trading modes available for bonds and securities upon conclusion of transactions in the Stock Market Section and REPO Market Section” of the appendix to the Additional conditions for conducting trading on the stock market, approved by Order No. MB-P-2026-954 dated March 16, 2026 (with amendments and additions) and Order No. MB-P-2026-1010 dated March 18, 2026.(with changes and additions), will be supplemented with the following content lines:
| № | Trading code | Name | Registration number | Conducting trades | Features | ||
|---|---|---|---|---|---|---|---|
| “REP from the CSC – Targeted Applications” | “REPO with CDC – Without address applications |
“Interdealer REPORT |
|||||
| Permissible calculation codes for individual trading modes | |||||||
| T0/Yn*,Y0/Yn*,Y1/Yn*,Y2/Yn* | Y0/Y1, Y0/Y1W | S0-S2, Rb, Z0 | |||||
| 1 | RU000A10CYU2 | Corporate bond of JSC “Sberbank KIB” | 6-379-01793-A-001P from 25.09.2025 | RUB, CNY, KZT, BYN | RUB, CNY | – | 1; Acceptable are calculation codes that provide for a REPO transaction term of up to 1 trading day |
| 2 | RU000A109W61 | Corporate bond of LLC “SFO BCS Structured Notes” | 6-51-00508-R from 18.10.2024 | RUB, CNY, KZT, BYN | RUB, CNY | – | 1; NCD is not calculated; Allowable are calculation codes that provide for the REPPO transaction term up to 1 trading day |
*-The meaning of “n” is defined as follows:https://fs.moex.com/files/20211
1 – Trading is not conducted on the bond maturity date.
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