MIL OSI – Source: Moscow Stock Exchange –
Headline: Results of auction for placement of the Russian Federation government bonds, issue # 26217RMFS on May 25, 2016
Parameters of issue # 26217RMFS:
Maturity date: 18 August 2021.
Aggregate demand at par: 10646.664 mln. RUR.
Placed value at par: 7080.970 mln. RUR.
Minimal accepted price: 93.8575 %.
Yield at minimal accepted price: 9.1900 % per annum.
Weighted average price: 93.9610 %.
Yield at weighted average price: 9.1700 % per annum.
For further information, please contact the Public Relations Department at (495) 363-3232.