CNY-denominated exchange-traded bonds
Exchange-traded bonds - CNY
Parameter БО-02-02 БО-01-05 ISIN RU000A10АХК9 RU000A10EER6 Series БО-02-02 БО-01-05 Issuer PJSC "PhosAgro" PJSC "PhosAgro" Currency CNY CNY Placement date 18.02.2025 03.03.2026 Maturity date 12.08.2026 29.05.2029 Coupon 10.4% 8% Coupon payment frequency 30 days 91 days Issue volume, CNY mln 1,000 1,500
PhosAgro Successfully Launches New Placement of Yuan-Denominated Bonds
PhosAgro Successfully Debuts on Russian Debt Market with Yuan-Denominated Bonds