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Domestic bonds Zapsibkombank, 1
Print version

Issue information:

• Issuer, issue number: Zapsibkombank, 1
• Income calculation:
Date of trades
Price %
• Type of bond: Domestic bonds
• Issue status:outstanding
• Offering:public
• Par, currency of issue:RUR, 1000
• Amount:1 500 000 000
• Registration date:Sep 14 2007
• State registration number:40100918B
• ISIN:RU000A0JPZ76
• Start of placement:Sep 12 2008
• End of placement:Sep 12 2008
• Date of circulation start:Nov 18 2008
• Issue price:100
• Coupon:1 coupon - at auction. Coupons 2-6 - in accordance with issue documents
• Coupon frequency:2 time(s) per year
• Settlement date:Sep 12 2008
• Maturity date:Sep 15 2011
• Early redemption terms:in accordance with issue documents, at par,
date: 15.09.09, price: 100.
• Arrangers:Arranger - Raiffeisenbank
• Trading floor, listing category: MICEX
• Guarantors: Zapsib-Finance
• Additional information:Guarantor - OOO Zapsib-Finance
• Investment banks: Lead manager:
 Raiffeisen Bank

Borrower:

• Issuer: Zapsibkombank
• Full issuer name: Zapsibkombank
• Country:Russia
• Web site:http://www.zapsibkombank.ru/
• Issuer profile:OAO Zapsibkombank (West-Siberian Commercial Bank) was established in 1990. The bank has 29 branches: 28 in Tumen Region and 1 office in Moscow. ...
• Industry:Banks and financial institutions
Issuer ratings: » rating history

Standard&Poor's B/Developing Int. Scale (foreign curr.) 10/15/2008
Standard&Poor's B/Developing Int. Scale (loc. curr.) 10/15/2008
Standard&Poor's ruBBB+/Developing National Scale (Russia) 10/15/2008
Rus-Rating BB-/Stable National scale (Russia)

Complete profile

Financial accounting:

Quarterly FFMS Reports:

20081 Q.2 Q.3 Q.4 Q.
20071 Q.2 Q.3 Q.4 Q.
20061 Q.2 Q.3 Q.4 Q.
20051 Q.2 Q.3 Q.4 Q.

Trading info (MICEX, Dec 04 2008):

Quote bid/offer: 0/100
Yield to put bid/offer: 0%/12.29%

Trading info, archive >>>

Payment schedule:

Date Coupon, % p.a. Coupon size, RUR Par redemption, RUR Notes
13.03.2009 12 59.84
11.09.2009 12 59.84
12.03.2010 The rate is set by issuer
10.09.2010 The rate is set by issuer
11.03.2011 The rate is set by issuer
15.09.2011 1000 The rate is set by issuer




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