Financial news: Results of the issue of exchange bonds.

Translation. Region: Russian Federal

Source: Moscow Exchange – Moscow Exchange –

An important disclaimer is at the bottom of this article.

We inform you about the results of the placement of exchange bonds of the following issuers:

1. Gazprombank (Joint-Stock Company) (Location of the issuer of exchange bonds: Russian Federation, Moscow):

1.1. Registration number of the issue of exchange bonds: 4B02-22-00354-B-004P dated 12.03.2025.

Nominal value of exchange bonds: 1,000 (one thousand) rubles. Each.
The volume of exchange bonds at the nominal value: 492 809,000 (four hundred and ninety -two million eight hundred and nine thousand) rubles.
The start date of the placement of exchange bonds: 31.07.2025
The end of the placement of exchange bonds: 31.07.2025
The actual price of accommodation of exchange bonds: 1,000 rubles.
The number of exchange bonds placed: 492 809 pieces.
The proportion of placed and unreasonable exchange bonds: 61.6 %, 38.4 %
The total value of the property paid in payment for the placed exchange bonds, including:

cash in the currency of the Russian Federation: 492 809 000 rub.;
funds in foreign currency, expressed in the currency of the Russian Federation at the Bank of Russia rate at the time of entry: 0 rub.;
The value of other property, expressed in the currency of the Russian Federation: 0 rub.

Transactions recognized by federal laws by major transactions and transactions in which there is an interest and which are made in the process of placing securities (the information given in this paragraph is presented by the issuer): information on transactions recognized by federal laws by major transactions is disclosed by the issuer in the manner prescribed by the Regulation of the Bank of Russia dated 27.03.2020 N 714-p “about about disclosure of information to issuers of emission securities. ” Position ch. XI “Interesting in the implementation of the transaction” of the Federal Law of December 26, 1995 N 208-ФЗ “On Joint-Stock Companies”, the Regulation of Art. 45 “An interest in the implementation of the company” of the Federal Law of 08.02.1998 N 14-ФЗ “On Limited Liability Companies” does not apply to transactions for the placement of the company by opened bond subscription.

1.2. Registration number of the issue of exchange bonds: 4B02-23-00354-B-004P dated 12.03.2025.

Nominal value of exchange bonds: 1,000 (one thousand) rubles. Each.
The volume of exchange bonds at the nominal value: 762 707 000 (seven hundred and sixty -two million seven hundred and seven thousand) rubles.
The start date of the placement of exchange bonds: 31.07.2025
The end of the placement of exchange bonds: 31.07.2025
The actual price of accommodation of exchange bonds: 1,000 rubles.
The number of exchange bonds placed: 762 707 pieces.
The proportion of placed and unreasonable exchange bonds: 76.27 %, 26.73 %
The total value of the property paid in payment for the placed exchange bonds, including:

cash in the currency of the Russian Federation: 762 707 000 rub.;
funds in foreign currency, expressed in the currency of the Russian Federation at the Bank of Russia rate at the time of entry: 0 rub.;
The value of other property, expressed in the currency of the Russian Federation: 0 rub.

Transactions recognized by federal laws by major transactions and transactions in which there is an interest and which are made in the process of placing securities (the information given in this paragraph is presented by the issuer): information on transactions recognized by federal laws by major transactions is disclosed by the issuer in the manner prescribed by the Regulation of the Bank of Russia dated 27.03.2020 N 714-p “about about disclosure of information to issuers of emission securities. ” Position ch. XI “Interesting in the implementation of the transaction” of the Federal Law of December 26, 1995 N 208-ФЗ “On Joint-Stock Companies”, the Regulation of Art. 45 “An interest in the implementation of the company” of the Federal Law of 08.02.1998 N 14-ФЗ “On Limited Liability Companies” does not apply to transactions for the placement of the company by opened bond subscription.

2. VTB Bank (public joint-stock company) (Location of the issuer of exchange bonds: Russian Federation, city of Saint Petersburg):

2.1. Registration number of the issue of exchange bonds: 4B02-376-01000-B-001P dated 05/23/2025.

Nominal value of exchange bonds: 1,000 (one thousand) rubles. Each.
The volume of exchange bonds at the nominal value: 5,000,000,000 (five billion) rubles.
The start date of the placement of exchange bonds: 06/16/2025
The end of the placement of exchange bonds: 31.07.2025
The actual price of accommodation of exchange bonds: 1,000 rubles.
The number of exchange bonds placed: 5,000,000.
The share of placed and unremarkable exchange bonds: 100 %, 0 %
The total value of the property paid in payment for the placed exchange bonds, including:

cash in the currency of the Russian Federation: 5,000,000,000 rubles.;
funds in foreign currency, expressed in the currency of the Russian Federation at the Bank of Russia rate at the time of entry: 0 rub.;
The value of other property, expressed in the currency of the Russian Federation: 0 rub.

Transactions recognized by federal laws by major transactions and transactions in which there is an interest and which are made in the process of placing securities (the information given in this paragraph is presented by the issuer): information on transactions recognized by federal laws by major transactions is disclosed by the issuer in the manner prescribed by the Regulation of the Bank of Russia dated 27.03.2020 N 714-p “about about disclosure of information to issuers of emission securities. ” Position ch. XI “Interesting in the implementation of the transaction” of the Federal Law of December 26, 1995 N 208-ФЗ “On Joint-Stock Companies”, the Regulation of Art. 45 “An interest in the implementation of the company” of the Federal Law of 08.02.1998 N 14-ФЗ “On Limited Liability Companies” does not apply to transactions for the placement of the company by opened bond subscription.

2.2. Registration number of the issue of exchange bonds: 4B02-1009-01000-B-005P dated 07/09/2025.

Nominal value of exchange bonds: 1,000 (one thousand) rubles. Each.
The volume of exchange bonds at the nominal value: 14 138,000,000 (fourteen billion one hundred and thirty -eight million) rubles.
The start date of the placement of exchange bonds: 31.07.2025
The end of the placement of exchange bonds: 31.07.2025
The actual price of accommodation of exchange bonds: 999.52 rubles.
The number of exchange bonds placed: 14 138,000 pieces.
The share of placed and unremarkable exchange bonds: 14.14 %, 85.86 %
The total value of the property paid in payment for the placed exchange bonds, including:

cash in the currency of the Russian Federation: 14 131 213 760 rubles.;
funds in foreign currency, expressed in the currency of the Russian Federation at the Bank of Russia rate at the time of entry: 0 rub.;
The value of other property, expressed in the currency of the Russian Federation: 0 rub.

Transactions recognized by federal laws by major transactions and transactions in which there is an interest and which are made in the process of placing securities (the information given in this paragraph is presented by the issuer): information on transactions recognized by federal laws by major transactions is disclosed by the issuer in the manner prescribed by the Regulation of the Bank of Russia dated 27.03.2020 N 714-p “about about disclosure of information to issuers of emission securities. ” Position ch. XI “Interesting in the implementation of the transaction” of the Federal Law of December 26, 1995 N 208-ФЗ “On Joint-Stock Companies”, the Regulation of Art. 45 “An interest in the implementation of the company” of the Federal Law of 08.02.1998 N 14-ФЗ “On Limited Liability Companies” does not apply to transactions for the placement of the company by opened bond subscription.

3. State Development Corporation “VEB.RF” (Location of the issuer of exchange bonds: Russian Federation, Moscow):

3.1. Registration number of the issue of exchange bonds: 4B02-185-00004-T-002P dated 02.07.2025.

Nominal value of exchange bonds: 1,000 (one thousand) rubles. Each.
The volume of exchange bonds at the nominal value: 40,000,000,000 (forty billion) rubles.
The start date of the placement of exchange bonds: 31.07.2025
The end of the placement of exchange bonds: 31.07.2025
The actual price of accommodation of exchange bonds: 1,000 rubles.
The number of exchange bonds placed: 40,000,000.
The share of placed and unremarkable exchange bonds: 100 %, 0 %
The total value of the property paid in payment for the placed exchange bonds, including:

cash in the currency of the Russian Federation: 40,000,000,000 rubles.;
funds in foreign currency, expressed in the currency of the Russian Federation at the Bank of Russia rate at the time of entry: 0 rub.;
The value of other property, expressed in the currency of the Russian Federation: 0 rub.

Transactions recognized by federal laws by major transactions and transactions in which there is an interest and which are made in the process of placing securities (the information given in this paragraph is presented by the issuer): information on transactions recognized by federal laws by major transactions is disclosed by the issuer in the manner prescribed by the Regulation of the Bank of Russia dated 27.03.2020 N 714-p “about about disclosure of information to issuers of emission securities. ” Position ch. XI “Interesting in the implementation of the transaction” of the Federal Law of December 26, 1995 N 208-ФЗ “On Joint-Stock Companies”, the Regulation of Art. 45 “An interest in the implementation of the company” of the Federal Law of 08.02.1998 N 14-ФЗ “On Limited Liability Companies” does not apply to transactions for the placement of the company by opened bond subscription.

4. Public Joint Stock Company “Sberbank of Russia” (Location of the issuer of exchange bonds: Russian Federation, Moscow):

4.1. Registration number of the issue of exchange bonds: 4B02-770-01481-B-001P dated July 28, 2025.

Nominal value of exchange bonds: 1,000 (one thousand) rubles. Each.
The volume of exchange bonds at the nominal value: 92,463,000 (ninety -two million four hundred and sixty -three thousand) rubles.
The start date of the placement of exchange bonds: 31.07.2025
The end of the placement of exchange bonds: 31.07.2025
The actual price of accommodation of exchange bonds: 960 rubles.
The number of exchange bonds placed: 92,463 pieces.
The share of placed and unremarkable exchange bonds: 30.82 %, 69.18 %
The total value of the property paid in payment for the placed exchange bonds, including:

cash in the currency of the Russian Federation: 88 764 480 rubles.;
funds in foreign currency, expressed in the currency of the Russian Federation at the Bank of Russia rate at the time of entry: 0 rub.;
The value of other property, expressed in the currency of the Russian Federation: 0 rub.

Transactions recognized by federal laws by major transactions and transactions in which there is an interest and which are made in the process of placing securities (the information given in this paragraph is presented by the issuer): information on transactions recognized by federal laws by major transactions is disclosed by the issuer in the manner prescribed by the Regulation of the Bank of Russia dated 27.03.2020 N 714-p “about about disclosure of information to issuers of emission securities. ” Position ch. XI “Interesting in the implementation of the transaction” of the Federal Law of December 26, 1995 N 208-ФЗ “On Joint-Stock Companies”, the Regulation of Art. 45 “An interest in the implementation of the company” of the Federal Law of 08.02.1998 N 14-ФЗ “On Limited Liability Companies” does not apply to transactions for the placement of the company by opened bond subscription.

5. Open Joint-Stock Company Russian Railways (Location of the issuer of exchange bonds: Moscow, Novaya Basmannaya St., 2/1, building 1):

5.1. Registration number of the issue of exchange bonds: 4B02-44-65045-D-001P dated July 28, 2025.

Nominal value of exchange bonds: 1,000 (one thousand) rubles. Each.
The volume of exchange bonds at the nominal value: 40,000,000,000 (forty billion) rubles.
The start date of the placement of exchange bonds: 31.07.2025
The end of the placement of exchange bonds: 31.07.2025
The actual price of accommodation of exchange bonds: 1,000 rubles.
The number of exchange bonds placed: 40,000,000.
The share of placed and unremarkable exchange bonds: 100 %, 0 %
The total value of the property paid in payment for the placed exchange bonds, including:

cash in the currency of the Russian Federation: 40,000,000,000 rubles.;
funds in foreign currency, expressed in the currency of the Russian Federation at the Bank of Russia rate at the time of entry: 0 rub.;
The value of other property, expressed in the currency of the Russian Federation: 0 rub.

Transactions recognized by federal laws by major transactions and transactions in which there is an interest and which are made in the process of placing securities (the information given in this paragraph is presented by the issuer): information on transactions recognized by federal laws by major transactions is disclosed by the issuer in the manner prescribed by the Regulation of the Bank of Russia dated 27.03.2020 N 714-p “about about disclosure of information to issuers of emission securities. ” Position ch. XI “Interesting in the implementation of the transaction” of the Federal Law of December 26, 1995 N 208-ФЗ “On Joint-Stock Companies”, the Regulation of Art. 45 “An interest in the implementation of the company” of the Federal Law of 08.02.1998 N 14-ФЗ “On Limited Liability Companies” does not apply to transactions for the placement of the company by opened bond subscription.

6. Joint-Stock Company “Polyplast” (Location of the issuer of exchange bonds: Moscow):

6.1. Registration number of the issue of exchange bonds: 4B02-09-06757-A-002P dated 23.07.2025.

The nominal cost of exchange bonds: 100 (STO) Chinese yuan each.
The volume of exchange bonds placed at nominal value: 500,000,000 (five hundred million) Chinese yuan
The start date of the placement of exchange bonds: 31.07.2025
The end of the placement of exchange bonds: 31.07.2025
The actual price of accommodation of exchange bonds: 100 Chinese yuan
The number of exchange bonds placed: 5,000,000.
The share of placed and unremarkable exchange bonds: 100 %, 0 %
The total value of the property paid in payment for the placed exchange bonds, including:

cash in the currency of the Russian Federation: 3 127 531 876.17 rubles.;
Foreign funds expressed in the currency of the Russian Federation at the exchange rate of the Bank of Russia at the time of entry: 2 556 618 123.83 rubles.;
The value of other property, expressed in the currency of the Russian Federation: 0 rub.

Transactions recognized by federal laws by major transactions and transactions in which there is an interest and which are made in the process of placing securities (the information given in this paragraph is presented by the issuer): information on transactions recognized by federal laws by major transactions is disclosed by the issuer in the manner prescribed by the Regulation of the Bank of Russia dated 27.03.2020 N 714-p “about about disclosure of information to issuers of emission securities. ” Position ch. XI “Interesting in the implementation of the transaction” of the Federal Law of December 26, 1995 N 208-ФЗ “On Joint-Stock Companies”, the Regulation of Art. 45 “An interest in the implementation of the company” of the Federal Law of 08.02.1998 N 14-ФЗ “On Limited Liability Companies” does not apply to transactions for the placement of the company by opened bond subscription.

7. Limited Liability Company “Sovcombank Leasing” (Location of the issuer of exchange bonds: Russian Federation, Moscow):

7.1. Registration number of the issue of exchange bonds: 4B02-11-00303-R-001P dated 06/25/2025.

Nominal value of exchange bonds: 1,000 (one thousand) rubles. Each.
The volume of exchange bonds at the nominal value: 825,000,000 (eight hundred twenty -five million) rubles.
The start date of the placement of exchange bonds: 01.07.2025
The end of the placement of exchange bonds: 31.07.2025
The actual price of accommodation of exchange bonds: 1,000 rubles.
The number of exchange bonds placed: 825,000 pieces.
The share of placed and unremarkable exchange bonds: 55 %, 45 %
The total value of the property paid in payment for the placed exchange bonds, including:

cash in the currency of the Russian Federation: 825,000,000 rubles.;
funds in foreign currency, expressed in the currency of the Russian Federation at the Bank of Russia rate at the time of entry: 0 rub.;
The value of other property, expressed in the currency of the Russian Federation: 0 rub.

Transactions recognized by federal laws by major transactions and transactions in which there is an interest and which are made in the process of placing securities (the information given in this paragraph is presented by the issuer): information on transactions recognized by federal laws by major transactions is disclosed by the issuer in the manner prescribed by the Regulation of the Bank of Russia dated 27.03.2020 N 714-p “about about disclosure of information to issuers of emission securities. ” Position ch. XI “Interesting in the implementation of the transaction” of the Federal Law of December 26, 1995 N 208-ФЗ “On Joint-Stock Companies”, the Regulation of Art. 45 “An interest in the implementation of the company” of the Federal Law of 08.02.1998 N 14-ФЗ “On Limited Liability Companies” does not apply to transactions for the placement of the company by opened bond subscription.

8. Limited Liability Company “AgroDom” (Location of the issuer of exchange bonds: Russian Federation, Saratov Region, Saratov):

8.1. Registration number of the issue of exchange bonds: 4B02-01-00171-L dated 20.08.2024.

Nominal value of exchange bonds: 1,000 (one thousand) rubles. Each.
The volume of exchange bonds at the nominal value: 88 646 000 (eighty -eight million six hundred and forty -six thousand) rubles.
The start date of the placement of exchange bonds: 08/27/2024
The end of the placement of exchange bonds: 31.07.2025
The actual price of accommodation of exchange bonds: 1,000 rubles.
The number of exchange bonds placed: 88,646 pieces.
The proportion of placed and unreasonable exchange bonds: 44.32 %, 55.68 %
The total value of the property paid in payment for the placed exchange bonds, including:

cash in the currency of the Russian Federation: 88 646 000 rub.;
funds in foreign currency, expressed in the currency of the Russian Federation at the Bank of Russia rate at the time of entry: 0 rub.;
The value of other property, expressed in the currency of the Russian Federation: 0 rub.

Transactions recognized by federal laws by major transactions and transactions in which there is an interest and which are made in the process of placing securities (the information given in this paragraph is presented by the issuer): information on transactions recognized by federal laws by major transactions is disclosed by the issuer in the manner prescribed by the Regulation of the Bank of Russia dated 27.03.2020 N 714-p “about about disclosure of information to issuers of emission securities. ” Position ch. XI “Interesting in the implementation of the transaction” of the Federal Law of December 26, 1995 N 208-ФЗ “On Joint-Stock Companies”, the Regulation of Art. 45 “An interest in the implementation of the company” of the Federal Law of 08.02.1998 N 14-ФЗ “On Limited Liability Companies” does not apply to transactions for the placement of the company by opened bond subscription.

9. NON-PUBLIC JOINT-STOCK COMPANY “FINANCIAL SYSTEMS” (Location of the issuer of exchange bonds: Russian Federation, Moscow):

9.1. Registration number of the issue of exchange bonds: 4B02-01-87071-H-001P dated 15.07.2024.

Nominal value of exchange bonds: 1,000 (one thousand) rubles. Each.
The volume of exchange bonds at the nominal value: 53 982 000 (fifty -three million nine hundred and eighty -two thousand) rubles.
The start date of the placement of exchange bonds: 31.07.2024
The end of the placement of exchange bonds: 31.07.2025
The actual price of accommodation of exchange bonds: 1,000 rubles.
The number of exchange bonds placed: 53 982 pieces.
The share of placed and unremarkable exchange bonds: 10.8 %, 89.2 %
The total value of the property paid in payment for the placed exchange bonds, including:

cash in the currency of the Russian Federation: 53 982 000 rub.;
funds in foreign currency, expressed in the currency of the Russian Federation at the Bank of Russia rate at the time of entry: 0 rub.;
The value of other property, expressed in the currency of the Russian Federation: 0 rub.

Transactions recognized by federal laws by major transactions and transactions in which there is an interest and which are made in the process of placing securities (the information given in this paragraph is presented by the issuer): information on transactions recognized by federal laws by major transactions is disclosed by the issuer in the manner prescribed by the Regulation of the Bank of Russia dated 27.03.2020 N 714-p “about about disclosure of information to issuers of emission securities. ” Position ch. XI “Interesting in the implementation of the transaction” of the Federal Law of December 26, 1995 N 208-ФЗ “On Joint-Stock Companies”, the Regulation of Art. 45 “An interest in the implementation of the company” of the Federal Law of 08.02.1998 N 14-ФЗ “On Limited Liability Companies” does not apply to transactions for the placement of the company by opened bond subscription.

10. Limited Liability Company “SKS Lombard” (Location of the issuer of exchange bonds: Republic of Bashkortostan, Ufa):

10.1. Registration number of the issue of exchange bonds: 4B02-01-00229-L dated 24.07.2025.

Nominal value of exchange bonds: 1,000 (one thousand) rubles. Each.
The volume of exchange bonds placed at nominal value: 100,000,000 (one hundred million) rubles.
The start date of the placement of exchange bonds: 31.07.2025
The end of the placement of exchange bonds: 31.07.2025
The actual price of accommodation of exchange bonds: 1,000 rubles.
The number of exchange bonds placed: 100,000 pieces.
The share of placed and unremarkable exchange bonds: 100 %, 0 %
The total value of the property paid in payment for the placed exchange bonds, including:

cash in the currency of the Russian Federation: 100,000,000 rubles.;
funds in foreign currency, expressed in the currency of the Russian Federation at the Bank of Russia rate at the time of entry: 0 rub.;
The value of other property, expressed in the currency of the Russian Federation: 0 rub.

Transactions recognized by federal laws by major transactions and transactions in which there is an interest and which are made in the process of placing securities (the information given in this paragraph is presented by the issuer): information on transactions recognized by federal laws by major transactions is disclosed by the issuer in the manner prescribed by the Regulation of the Bank of Russia dated 27.03.2020 N 714-p “about about disclosure of information to issuers of emission securities. ” Position ch. XI “Interesting in the implementation of the transaction” of the Federal Law of December 26, 1995 N 208-ФЗ “On Joint-Stock Companies”, the Regulation of Art. 45 “An interest in the implementation of the company” of the Federal Law of 08.02.1998 N 14-ФЗ “On Limited Liability Companies” does not apply to transactions for the placement of the company by opened bond subscription.

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