The Seligdar issuer will collect applications for two bond issues on October 10.

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22:46; 08 October 2025 year
ООО Региональные новости

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The issuer Seligdar will collect applications for two bond issues on October 10.

The Company plans to collect applications for exchange-traded bonds of the 001P-06 and 001P-07 series on October 10 from 11:00 to 15:00 Moscow time.

The technical placement of securities on the MICEX is scheduled for October 15, 2025.

The planned volume of the placement is at least 3 billion rubles. The nominal value of one security is 1,000 rubles. The coupon period is 30 days.

The benchmark of the 1st coupon rate is no higher than 18.50% per annum, which corresponds to a yield to maturity of no more than 20.15% per annum. The term of circulation of securities is 2.5 years.

Coupon yield on 001P-07 series bonds is defined as the amount of income for each day of the coupon period based on the key rate of the Bank of Russia + spread. The benchmark of the spread is no more than 450 bp. The term of circulation of securities is 2 years.

The organizers of the placement are Gazprombank, Alfa-Bank, VTB Capital Trading, Sovcombank. Gazprombank acts as the placement agent.

The review was presented by Alexey Grishchenko, Doctor of Economics, Professor of the Department of Operational and Industry Management at the Faculty of Higher School of Management at the Financial University under the Government of the Russian Federation.