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Domestic bonds Shans Capital, 1
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Issue information:

• Issuer, issue number: Shans Capital, 1
• Income calculation:
Date of trades
Price %
• Type of bond: Domestic bonds
• Issue status:outstanding
• Offering:public
• Par, currency of issue:RUR, 1000
• Amount:1 000 000 000
• Registration date:Sep 20 2007
• State registration number:4-01-36296-R
• ISIN:RU000A0JPTZ0
• Start of placement:Jun 25 2008
• End of placement:Jun 26 2008
• Date of circulation start:Jul 02 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:Jun 25 2008
• Maturity date:Jun 22 2011
• Early redemption terms:in accordance with issue documents, at par,
date: 02.07.09, price: 100.
• Arrangers:East Capital
• Trading floor, listing category: MICEX (B)
• Guarantors: 
 Shans Group
• Additional information:Guarantor - ZAO Shans Group, OOO Shans-Tekhnotorg
• Investment banks: Lead manager:
 East Kommerts

Co-underwriter(s):
Adecta
 Alfa Bank
Rublev Bank

Sarovbusinessbank
MezhTopEnergoBank
UTRADE.RU

Borrower:

• Issuer: Shans Capital
• Full issuer name: SHANS CAPITAL
• Country:Russia
• Web site:http://www.shans.su/
• Issuer profile:Founded in 1993, Shans Group operates on the appliances retail market of central Russia. ...
• Industry:Trade

Complete profile

Financial accounting:

RAS
2007 1Q. 2Q. 3Q. 4Q.

Quarterly FFMS Reports:

20081 Q.2 Q.3 Q.4 Q.
20071 Q.2 Q.3 Q.4 Q.

Trading info (MICEX, Dec 04 2008):

Quote bid/offer: 0/43
Yield to put bid/offer: 0%/431.86%

Trading info, archive >>>

Payment schedule:

Date Coupon, % p.a. Coupon size, RUR Par redemption, RUR Notes
24.12.2008 16 79.78
24.06.2009 16 79.78
23.12.2009 The rate is set by issuer
23.06.2010 The rate is set by issuer
22.12.2010 The rate is set by issuer
22.06.2011 1000 The rate is set by issuer

COMMENTS:

24.06.08  Bank of Moscow: Local market:
Quotes continue in downward spin
Default ranks have swollen
New issues from 3rd tier
Global markets:
Relative stillness on the threshold of FOMC
EURO|BONDS|MM




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