Citymatic, BO-01 (FIGI BBG00D0KBBG2, 4B02-01-76600-H, СитиматБ1, RU000A0JWJF9)
国内债券, 浮动利率, 通货膨胀相关本金
国内债券, 浮动利率, 通货膨胀相关本金
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Citymatic JSC 在俄罗斯地区基于涉及私人养老金基金的特许协议,融资并实施综合市政固体废物处理项目。
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Bonds with indexed face valueNi = ...
Bonds with indexed face value Ni = Base *Ii; i - calendar date following the start date of the placement of Exchange-traded Bonds and before the end date of the third coupon period; Ii =INDEXi / INDEXbase; INDEXbase - consumer price index for goods and services in the Russian Federation to the average annual prices of 2000, calculated on the date of the start of the placement; INDEXi =REF_CPIm(i)-4 + (REF_CPIm(i)-3 - REF_CPI m(i)-4)*(n-1)/d(i); i - calendar date; n - ordinal number of calendar date i in the corresponding month (earlier and further - Billing month); M(i) - the serial number of the Billing month for date i; d (i) - the number of days in the Billing month of date i; REF_CPIM(i)-k is the consumer price index in the Russian Federation for goods and services to the average annual prices of 2000 for the month; (M(i)-k)M(i)-k is the serial number of the month for k (k=3, 4) months before the Billing month for dates i. For each date, starting from the start date of the fourth coupon period and up to the maturity date, the nominal value is calculated using the formula: N j = N 3 , where: j - calendar date, starting from the start date of the fourth coupon period and up to the maturity date; N3 is the nominal value of Exchange-traded Bonds at the end date of the third coupon period.
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