Bank of Russia Bond Operations on the Secondary Market
Data is available from 15.03.2007 to 14.12.2010, inclusive.
| Date | Type of the operation | Weighted Average Yield, % p.a. | Days to Redemption | Security Registered Number | Volume at market value, millions of rubles |
Volume at par value, millions of rubles |
Redemption Date |
|---|---|---|---|---|---|---|---|
| 08.12.2010 | buy | 3.75 | 97 | RU000A0JR0X1 | 495.067 | 500 | 15.03.2011 |
| 08.12.2010 | sale | 3.25 | 97 | RU000A0JR0X1 | 0.001 | 0.001 | 15.03.2011 |
| 14.12.2010 | buy | 3.77 | 91 | RU000A0JR0X1 | 1,950.515 | 1,968.871 | 15.03.2011 |
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Last updated on: 14.12.2010