Published on: 2026-05-29
Source: Moscow Exchange –
An important disclaimer is at the bottom of this article.
To the participants of trading
We inform you that in accordance with Part I. General part of the Rules for conducting trades on the stock market, the deposit market, and the 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), and Part II.The section of the Rules for conducting trading on the stock market, the deposit market, and the credit market of PJSC Moscow Exchange, approved by the decision of the Supervisory Board of PJSC Moscow Exchange dated January 23, 2026 (Protocol No. 11), establishes the terms, format, and procedure for conducting trading for the repurchase of bonds, specified in Appendix No. 1 to this Notification (hereinafter referred to as Bonds):
The conduct of trades for the buyback of Bonds will be carried out in the trading mode “Buyback: Targeted Applications” in the order provided in Subsection 1.9 Conduct of trades for the acquisition of shares and buyback of bonds of Part II of the Trading Rules.
The buyer of the Bonds upon redemption is the Participant of the stock market 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 with respect to which terms, form, and procedure for conducting buy-back bond trading are determined
| № p/p | Redemption date | ISIN code of the security issue | Name of the security issue | Name of the trading participant – securities buyer | Participant identifier of the trade – purchaser of securities | Additional conditions for the acquisition of securities |
|---|---|---|---|---|---|---|
| 1 | 01.06.2026 | RU000A1014U9 | Exchange bond 001P-01R LLC “Trading Enterprise ‘Kirovskiy'” | JSC “Sberbank KIB” | MC0005500000 |
Trading time for bond acquisition:
The purchase price is 100%. |
| 2 | June 2, 2026 | RU000A100ET6 | Exchange bond 001Р-06R PJSC DOM.RF | PJSC DOM.RF | MC0159100000 |
Trading time for bond acquisition:
Purchase price 100%. |
| 3 | 02.06.2026 | RU000A0ZYJR6 | Exchange bond BO-05 of PJSC Sovcombank | PJSC “Sovcombank” | MC0253800000 |
Trading time for purchasing Bonds:
The acquisition price is 100%. |
| 4 | 02.06.2026 | RU000A100EV2 | Exchange-traded bond BO-P01 of JSC “PO “UOMZ” | JSC AKB “NOVIKOMBANK” | MC0076700000 |
Trading time for acquiring Bonds:
The purchase price is 100%. |
| 5 | 03.06.2026 | RU000A101590 | Exchange bond 001R-07R PJSC DOM.RF | PJSC DOM.RF | MC0159100000 |
Trading time for purchasing Bonds:
The purchase price is 100%. |
| 6 | 04.06.2026 | RU000A10B8L2 | Exchange bond B-1-375 Bank VTB (PJSC) | VTB Bank (PJSC) | MC0003300000 |
Trading hours for bond acquisition:
The purchase price is 100%. |
Please note; this information is raw content received directly from the source of information. It represents an accurate account of what the source claims and does not necessarily reflect the position of MIL-OSI or its clients.