[{"data":1,"prerenderedAt":-1},["ShallowReactive",2],{"catalog-bonds-list":3},{"data":4,"meta":195,"status":199},[5,13,19,30,39,49,57,65,72,77,81,92,101,107,113,120,126,138,147,156,164,173,180,185,190],{"analysisSnippet":6,"couponType":7,"createdAt":8,"creditRating":6,"isClosed":9,"maturity":6,"name":10,"price":11,"profitabilityScore":6,"recommendation":6,"riskScore":6,"ticker":12,"yieldToMaturity":6},null,"Плавающий","2026-09-04T00:44:14.177213Z",false,"Альфа-Банк 2030 USD",1050.5,"ALFA0430",{"analysisSnippet":6,"couponType":14,"createdAt":15,"creditRating":6,"isClosed":9,"maturity":6,"name":16,"price":17,"profitabilityScore":6,"recommendation":6,"riskScore":6,"ticker":18,"yieldToMaturity":6},"Фиксированный","2026-09-04T00:44:11.792781Z","Bahrain 5.25 2033 USD",907.3,"BHRN0133",{"analysisSnippet":20,"couponType":14,"createdAt":21,"creditRating":6,"isClosed":9,"maturity":22,"name":23,"price":24,"profitabilityScore":25,"recommendation":26,"riskScore":27,"ticker":28,"yieldToMaturity":29},"Облигация Республика Беларусь-331 — замещающая (USD) с погашением 29.06.2027. Кредитные рейтинги эмитента: Moody's C (преддефолтный), S&P отозван после SD (выборочный дефолт) в 2022, Fitch RD\u002FC. Стран...","2026-06-26T10:10:09.666377Z","29.06.2027","Республика Беларусь 331 29.06.2027",1004.895,15,"sell",88,"BYM000001818",7.1,{"analysisSnippet":31,"couponType":14,"createdAt":32,"creditRating":6,"isClosed":9,"maturity":33,"name":34,"price":35,"profitabilityScore":25,"recommendation":26,"riskScore":36,"ticker":37,"yieldToMaturity":38},"РЕСПУБЛИКА БЕЛАРУСЬ — суверенный эмитент с кредитным рейтингом Moody's C (подтверждён апрель 2026), Fitch RD (ограниченный дефолт, июль 2022), S&P NR (отозван). Страна под блокирующими санкциями, откл...","2026-06-26T10:10:09.963594Z","24.02.2031","Республика Беларусь 335 24.02.2031",1038,92,"BYM000001925",5.69,{"analysisSnippet":40,"couponType":14,"createdAt":41,"creditRating":6,"isClosed":9,"maturity":42,"name":43,"price":44,"profitabilityScore":45,"recommendation":26,"riskScore":46,"ticker":47,"yieldToMaturity":48},"Облигация Республика Беларусь 336 (BYM000001941) — суверенный выпуск, номинированный в USD, с погашением 28.02.2030 (дюрация ~3.3 года). Доходность 6.28% годовых. Спред к ключевой ставке ЦБ РФ (14.25%...","2026-06-26T10:10:10.044652Z","28.02.2030","Республика Беларусь 336 28.02.2030",1031,22,68,"BYM000001941",5.23,{"analysisSnippet":50,"couponType":14,"createdAt":51,"creditRating":6,"isClosed":9,"maturity":22,"name":52,"price":53,"profitabilityScore":25,"recommendation":26,"riskScore":54,"ticker":55,"yieldToMaturity":56},"Облигация Республики Беларусь серии 340 с погашением 29.06.2027 (дюрация ~1 год) оценена по цене 100.50% с YTM 12.03%. Ключевой риск — катастрофическое кредитное качество эмитента: Moody's рейтинг 'C'...","2026-06-26T10:10:09.987769Z","Республика Беларусь 340 29.06.2027",1000,82,"BYM000002154",6.72,{"analysisSnippet":58,"couponType":14,"createdAt":59,"creditRating":6,"isClosed":9,"maturity":33,"name":60,"price":61,"profitabilityScore":62,"recommendation":26,"riskScore":63,"ticker":64,"yieldToMaturity":48},"Ключевая ставка ЦБ РФ 14.25%, YTM облигации 6.47% — спред отрицательный (-7.78 п.п.), что является экстремальным сигналом: премия за риск отсутствует, доходность ниже безрисковой ставки. Аномалия связ...","2026-06-26T10:10:09.752123Z","Республика Беларусь 344 24.02.2031",1028.028,12,93,"BYM000002410",{"analysisSnippet":66,"couponType":14,"createdAt":67,"creditRating":6,"isClosed":9,"maturity":42,"name":68,"price":69,"profitabilityScore":62,"recommendation":26,"riskScore":36,"ticker":70,"yieldToMaturity":71},"Республика Беларусь — суверенный эмитент c кредитным рейтингом Moody's 'C' (стабильный, самый низкий уровень, фактически преддефолтный); S&P и Fitch отозвали рейтинги. АКРА присвоило 'BBB(RU)' по росс...","2026-06-26T10:10:09.712659Z","Республика Беларусь346 28.02.2030",1029.924,"BYM000002469",5.8,{"analysisSnippet":6,"couponType":14,"createdAt":15,"creditRating":6,"isClosed":9,"maturity":73,"name":74,"price":75,"profitabilityScore":6,"recommendation":6,"riskScore":6,"ticker":76,"yieldToMaturity":6},"2027-06-29","Belarus 7.625 2027 USD",997.5010000000001,"BYM000003053",{"analysisSnippet":6,"couponType":14,"createdAt":15,"creditRating":6,"isClosed":9,"maturity":6,"name":78,"price":79,"profitabilityScore":6,"recommendation":6,"riskScore":6,"ticker":80,"yieldToMaturity":6},"Egypt 7.053 2032 USD",866.3,"EGPT0132",{"analysisSnippet":82,"couponType":14,"createdAt":83,"creditRating":6,"isClosed":9,"maturity":84,"name":85,"price":86,"profitabilityScore":87,"recommendation":88,"riskScore":89,"ticker":90,"yieldToMaturity":91},"Облигация EGPT0329 — суверенный евробонд Египта в USD ($2 млрд, senior unsecured) с погашением 01.03.2029 (дюрация ~2.5 года). Кредитный рейтинг: S&P B\u002Fстабильный, Moody's Caa1\u002Fпозитивный — глубоко сп...","2026-06-26T10:10:09.750919Z","01.03.2029","The Arab Republic of Egypt",950,40,"hold",70,"EGPT0329",10.205535536124783,{"analysisSnippet":93,"couponType":14,"createdAt":94,"creditRating":6,"isClosed":9,"maturity":95,"name":96,"price":6,"profitabilityScore":97,"recommendation":26,"riskScore":98,"ticker":99,"yieldToMaturity":100},"Еврооблигация Египта (EGPT0431, ISIN XS1980255936) с фиксированным купоном 6.375% в EUR, погашение 11.04.2031, YTM 6.35%. Кредитные рейтинги эмитента (суверен): S&P B (стабильный), Fitch B (стабильный...","2026-06-26T10:10:09.829532Z","11.04.2031","ARAB REPUBLIC",28,62,"EGPT0431",6.349146898835994,{"analysisSnippet":6,"couponType":14,"createdAt":102,"creditRating":6,"isClosed":9,"maturity":6,"name":103,"price":104,"profitabilityScore":6,"recommendation":6,"riskScore":6,"ticker":105,"yieldToMaturity":106},"2026-06-26T10:10:10.002262Z","Газпром выпуск 007 USD",700,"GAZP0837",6.9806761483661885,{"analysisSnippet":108,"couponType":14,"createdAt":109,"creditRating":6,"isClosed":9,"maturity":6,"name":110,"price":6,"profitabilityScore":111,"recommendation":88,"riskScore":89,"ticker":112,"yieldToMaturity":6},"Облигация Брусника 001P-01 (тикер ISSUANCEBRUS) — старший необеспеченный выпуск эмитента ООО «Брусника. Строительство и девелопмент» с фиксированным купоном, без амортизации и субординации. Эмитент им...","2026-06-26T10:10:09.952179Z","Брусника 001P-01",50,"ISSUANCEBRUS",{"analysisSnippet":114,"couponType":14,"createdAt":115,"creditRating":6,"isClosed":9,"maturity":6,"name":116,"price":6,"profitabilityScore":117,"recommendation":88,"riskScore":118,"ticker":119,"yieldToMaturity":6},"Облигация РЕСО-Лизинг БО-П-03 (ISIN RU000A101ST4) выпущена 11.06.2020 и полностью погашена 08.06.2023 — на текущую дату выпуск НЕ обращается, все обязательства исполнены. Эмитент (ООО «РЕСО-Лизинг») и...","2026-06-26T10:10:09.862899Z","РЕСО-Лизинг БО-П выпуск 03",25,10,"ISSUANCERESO",{"analysisSnippet":121,"couponType":14,"createdAt":122,"creditRating":6,"isClosed":9,"maturity":6,"name":123,"price":6,"profitabilityScore":124,"recommendation":88,"riskScore":117,"ticker":125,"yieldToMaturity":6},"Выпуск Самолет БО-П08 (ISSUANCESAMO) погашен 28.02.2023 — эмитент исполнил обязательства. Для текущего инвестора выпуск не является инвестиционно доступным. Кредитный профиль ГК «Самолет»: рейтинг АКР...","2026-06-26T10:10:10.021482Z","Самолет БО-П08",5,"ISSUANCESAMO",{"analysisSnippet":127,"couponType":14,"createdAt":128,"creditRating":129,"isClosed":9,"maturity":130,"name":131,"price":132,"profitabilityScore":133,"recommendation":134,"riskScore":135,"ticker":136,"yieldToMaturity":137},"## Доходность и спред к ставке\n\nКлючевая ставка ЦБ: **14%**. Доходность к погашению MGKL1P1: **55,76%**.\n\nСпред к ключевой ставке ЦБ составляет **41,76 п.п.** - очень высокий. Это означает, что инвест...","2026-06-26T10:10:09.879705Z","Эксперт РА: ruBB-","20.11.2030","МГКЛ 001PS-01",620.3,78,"buy",55,"MGKL1P1",54.1316726979866,{"analysisSnippet":139,"couponType":14,"createdAt":140,"creditRating":129,"isClosed":9,"maturity":141,"name":142,"price":143,"profitabilityScore":133,"recommendation":134,"riskScore":144,"ticker":145,"yieldToMaturity":146},"## Базовые параметры\nОблигация МГКЛ 001PS-02 (MGKL1P2) торгуется с **дисконтом 38,4%** к номиналу при цене **61,60%** от номинала. Номинал в RUB. Погашение - **08.02.2031**, горизонт дюрации **~4 года...","2026-06-26T10:10:09.827171Z","08.02.2031","МГКЛ 001PS-02",638.8,48,"MGKL1P2",52.44228282973617,{"analysisSnippet":148,"couponType":14,"createdAt":149,"creditRating":6,"isClosed":9,"maturity":150,"name":151,"price":152,"profitabilityScore":153,"recommendation":134,"riskScore":135,"ticker":154,"yieldToMaturity":155},"## Доходность и спред\n\nДоходность к погашению **51,24%** при ключевой ставке ЦБ **14%** gives spread of **37,24 п.п.** above the key rate. Это очень широкий спред, который сигнализирует о повышенном к...","2026-06-26T10:10:10.048126Z","21.05.2030","МГКЛ 001PS-03",729.6,75,"MGKL1P3",48.536852644032905,{"analysisSnippet":157,"couponType":14,"createdAt":158,"creditRating":6,"isClosed":9,"maturity":159,"name":160,"price":6,"profitabilityScore":161,"recommendation":26,"riskScore":46,"ticker":162,"yieldToMaturity":163},"Облигация МГКЛ СО-001 с датой погашения 10.03.2032 (дюрация ~5.5 лет) торгуется с доходностью к погашению 15.27%, что на 0.82 п.п. НИЖЕ текущей ключевой ставки ЦБ РФ (16.09%). Это отрицательный спред ...","2026-07-15T17:32:25.606527Z","10.03.2032","МГКЛ СО-001",35,"MGKLCO1",15.164800067039282,{"analysisSnippet":165,"couponType":14,"createdAt":166,"creditRating":6,"isClosed":9,"maturity":167,"name":168,"price":169,"profitabilityScore":170,"recommendation":88,"riskScore":87,"ticker":171,"yieldToMaturity":172},"Эмитент — Султанат Оман, суверенный заёмщик с инвестиционным рейтингом BBB-\u002FBaa3 (S&P\u002FMoody's\u002FFitch, стабильный прогноз). Кредитное качество высокое: долг\u002FВВП ~35%, бюджет близок к балансу, рейтинги п...","2026-06-26T10:10:10.017684Z","17.01.2028","Sultanate of Oman",1038.2,30,"OMA0128",2.562971436393125,{"analysisSnippet":174,"couponType":14,"createdAt":175,"creditRating":6,"isClosed":9,"maturity":176,"name":168,"price":6,"profitabilityScore":177,"recommendation":26,"riskScore":54,"ticker":178,"yieldToMaturity":179},"Облигация Султаната Оман (OMA0148) с погашением в 2048 г. и YTM 6.86% анализируется с позиции российского инвестора. Кредитный рейтинг эмитента — BBB-\u002FBaa3 (инвестиционный уровень) от S&P\u002FMoody's\u002FFitc...","2026-06-26T10:10:09.704130Z","17.01.2048",18,"OMA0148",6.857607050025492,{"analysisSnippet":6,"couponType":14,"createdAt":181,"creditRating":6,"isClosed":9,"maturity":6,"name":182,"price":183,"profitabilityScore":6,"recommendation":6,"riskScore":6,"ticker":184,"yieldToMaturity":6},"2026-09-04T00:44:12.160243Z","Oman 7.375 2032 USD",1127.7,"OMA1032",{"analysisSnippet":6,"couponType":14,"createdAt":186,"creditRating":6,"isClosed":9,"maturity":6,"name":187,"price":188,"profitabilityScore":6,"recommendation":6,"riskScore":6,"ticker":189,"yieldToMaturity":6},"2026-09-04T00:44:14.316695Z","Petrobras 2031 USD",1011.2,"PTBR0131",{"analysisSnippet":6,"couponType":7,"createdAt":181,"creditRating":6,"isClosed":9,"maturity":191,"name":192,"price":193,"profitabilityScore":6,"recommendation":6,"riskScore":6,"ticker":194,"yieldToMaturity":6},"2028-09-15","ДОМ.РФ серия А15",1074.5,"RU000A0JQAM6",{"page":196,"page_size":117,"total":197,"total_pages":198},1,2878,116,"success"]