Kuap. Ru - Bonds and eurobonds of the bank РУССКИЙ СТАНДАРТ, emissions parameters and data

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RUSSKIY STANDART

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Central Bank of Russia registration number: 2289  retail lendingCB RF representativecomplies with 214-FZ (equity construction)complies with 213-FZ (work with state companies)complies with 185-FZ (work with housing and utilities infrastructure)

On this page you can find parameters of bonds and eurobonds issued by the bank. Emissions are sorted by issuance date (descending), deals active on April 1st, 2013 are shown.

Банк Русский стандарт, 2015 (LPN), CNY, XS0886631281   (get additional information on cbonds.info)

Emission volume: 1 250 000 000 CNY, issue date: 13 March 2013, maturity date: 14 February 2015
Coupon: 8,00%, payment 2 times a year. Listed on Ирландская ФБ.
Organizers: BNP Paribas & HSBC


Банк Русский стандарт, БО-04, RU000A0JTPL0   (get additional information on cbonds.info)

Emission volume: 3 000 000 000 RUR, issue date: 27 February 2013, maturity date: 27 February 2016
Coupon: 1-4 купоны - 10% годовых, 5-6 купоны - ставка определяется эмитентом, payment 2 times a year. Listed on ОАО Московская Биржа, RU000A0JTPL0 (Внесписочные ц.Initial yield on issuance:10,25%.
Organizers: Организаторы - ВТБ Капитал, Райффайзенбанк, Промсвязьбанк


Банк Русский стандарт, БО-03, RU000A0JTPJ4   (get additional information on cbonds.info)

Emission volume: 3 000 000 000 RUR, issue date: 27 February 2013, maturity date: 27 February 2016
Coupon: 1-3 купоны - 9.8% годовых, 4-6 купоны - ставка определяется эмитентом, payment 2 times a year. Listed on ОАО Московская Биржа, RU000A0JTPJ4 (Внесписочные ц.Initial yield on issuance:10,04%.
Organizers: Организаторы - ВТБ Капитал, Райффайзенбанк, Промсвязьбанк


Банк Русский стандарт, 2017 (LPN), XS0802648955   (get additional information on cbonds.info)

Emission volume: 525 000 000 USD, issue date: 7 November 2012, maturity date: 11 July 2017
Coupon: 9,25%, payment 2 times a year. Listed on Ирландская ФБ.Initial yield on issuance:9,25%.
Organizers: Citigroup, JP Morgan


Банк Русский стандарт, 2018 (LPN), XS0841677387   (get additional information on cbonds.info)

Emission volume: 350 000 000 USD, issue date: 3 October 2012, maturity date: 10 April 2018
Coupon: 10,75%, payment 2 times a year. Listed on Ирландская ФБ.
Organizers: Goldman Sachs, UBS, ВТБ Капитал


 Банк Русский стандарт, БО-06, RU000A0JS7N6   (get additional information on cbonds.info)

Emission volume: 5 000 000 000 RUR, issue date: 3 May 2012, maturity date: 3 May 2015
Coupon: 1 -3 купоны - 9,4% годовых, 4-6 купоны - ставку определяет эмитент., payment 2 times a year. Listed on ММВБ, RU000A0JS7N6 (Внесписочные ценные бумаги).
Organizers: Организаторы: Банк ОТКРЫТИЕ, Газпромбанк, Россельхозбанк


 Банк Русский стандарт, 2013 (zero, ECP), XS0770203817   (get additional information on cbonds.info)

Emission volume: 150 000 000 USD, issue date: 3 April 2012, maturity date: 9 April 2013
Coupon: 0,00%. Listed on Внебиржевой рынок.
Organizers: UBS, ВТБ Капитал


 Банк Русский стандарт, БО-02, RU000A0JS5P5   (get additional information on cbonds.info)

Emission volume: 5 000 000 000 RUR, issue date: 27 March 2012, maturity date: 24 March 2015
Coupon: 1-2 купоны - 9% годовых, 3-6 купоны - ставку определяет эмитент, payment 2 times a year. Listed on ММВБ, RU000A0JS5P5 (Внесписочные ценные бумаги).
Organizers: Организаторы - Райффайзенбанк, Россельхозбанк и ИК «Тройка Диалог» Со-организатор - НОМОС-БАНК Андеррайтеры - Промсвязьбанк, Углеметбанк, РОН Инвест


 Банк Русский стандарт, БО-01, RU000A0JRVZ2   (get additional information on cbonds.info)

Emission volume: 5 000 000 000 RUR, issue date: 11 November 2011, maturity date: 7 November 2014
Coupon: 1, 2 купоны - 11% годовых, 3-6 купоны - ставку определяет эмитент, payment 2 times a year. Listed on ММВБ, RU000A0JRVZ2 (Б).
Organizers: Организаторы - "ВТБ Капитал", Райффайзенбанк, Газпромбанк и "Банк Русский Стандарт"


 Банк Русский стандарт, 2016 (LPN), XS0275728557   (get additional information on cbonds.info)

Emission volume: 200 000 000 USD, issue date: 22 November 2006, maturity date: 1 December 2016
Coupon: 9,75%, payment 2 times a year. Listed on London S.E..
Organizers: Citigroup и ING


 Банк Русский стандарт, 2017-A (ABS, FRN), XS0274571859   (get additional information on cbonds.info)

Emission volume: 133 750 000 EUR, issue date: 8 November 2006, maturity date: 17 November 2017
Coupon: 1M EURIBOR + 1,15%, payment monthly. Listed on Irish S.E..
Organizers: HVB, JP Morgan


 Банк Русский стандарт, 2017-B (ABS, FRN), XS0274572154   (get additional information on cbonds.info)

Emission volume: 35 000 000 EUR, issue date: 8 November 2006, maturity date: 17 November 2017
Coupon: 1M EURIBOR + 1,55%, payment monthly. Listed on Irish S.E..
Organizers: HVB, JP Morgan


 Банк Русский стандарт, 2017-CSL (ABS, FRN), XS0274572402   (get additional information on cbonds.info)

Emission volume: 78 150 000 EUR, issue date: 8 November 2006, maturity date: 17 November 2017
Coupon: 1M EURIBOR + 3%, payment monthly. Listed on Irish S.E..
Organizers: HVB, JP Morgan


 Банк Русский стандарт, 2015 (LPN), XS0238091507   (get additional information on cbonds.info)

Emission volume: 200 000 000 USD, issue date: 13 December 2005, maturity date: 16 December 2015
Coupon: 8,88%, payment 2 times a year. Listed on London S.E..
Organizers: Barclays Capital