27.10.2025
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Corporate action information |
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Corporate action reference |
739563 |
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Corporate action type code |
INTR |
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Corporate action type |
Interest Payment |
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Information on the discharge by the issuer of its payment obligations |
Payment of interest (coupon) yield on bonds |
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Corporate action date (plan) |
October 27, 2025 |
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Corporate action date (calc.) |
October 25, 2025 |
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Record date |
October 24, 2025 |
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Security details (Bond details) |
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Security name |
Registration number |
Registering authority |
Date of registration |
ISIN/NSD code |
Nominal |
Unredeemed principal per item |
Nominal currency |
|
PPK Fond razvitiya territoriy 3 29/09/47 |
4-09-00013-T-001P |
The Central Bank of the Russian Federation (Bank of Russia) |
August 22, 2022 |
RU000A1058T8 |
1000 |
1000 |
RUB |
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Additional information on securities (Bond details) |
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Issuer full name |
Issuer short name |
Registered address |
Redemption date |
Coupon period |
Planned payment date |
Bond issue series No. |
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Estimated |
Scheduled |
Start date |
End date |
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publichno-pravovaya kompaniya "Fond razvitiya territoriy" |
PPK Fond razvitiya territoriy |
bld. 5, room 23, Sharikopodshipnikovskaya street, Moscow,115088 |
September 29, 2047 |
September 30, 2047 |
July 25, 2025 |
October 25, 2025 |
October 27, 2025 |
001P-09 |
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Current payment |
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|
Amount payable per security |
Date when cash funds were credited to NSD account |
Date when NSD account was debited in favor of depositor`s account |
|
7.56 |
October 23, 2025 |
October 27, 2025 |
If you have any questions related to this communication, please contact your account managers at NSD by telephone: +7 495 956-27-90 or +7 495 956-27-91.