UAH5–10ySemi-annual couponОВГЗ
ISIN · UA4000226872
Ministry of Finance of Ukraine
UA4000226872 · 14.63% · due Nov 2034
Issued 24 Nov 2022 · pays a fixed 14.63% coupon semi-annually until redemption at par. Coupon income is exempt from personal income tax for Ukrainian residents; only the military levy applies.
Coupon
14.63%
2× per year
YTM
9.18%
at par price
Time to maturity
8.4y
5–10y
Nominal
₴1,000
per unit
Next payment
19 Nov 2026
154 days away
+₴128.80
Projected cashflow
Per unit, by calendar year · remaining ₴1,710.30 through maturity
Coupon paymentsPrincipal redemption
Payment schedule
0123 Nov 2023
₴243.80
Coupon
Paid
0221 Nov 2024
₴146.40
Coupon
Paid
0320 Nov 2025
₴146.30
Coupon
Paid
0419 Nov 2026
₴128.80
Coupon
Next
0518 Nov 2027
₴106.50
Coupon
Scheduled
0616 Nov 2028
₴85.00
Coupon
Scheduled
0715 Nov 2029
₴65.00
Coupon
Scheduled
0814 Nov 2030
₴65.00
Coupon
Scheduled
0913 Nov 2031
₴65.00
Coupon
Scheduled
1011 Nov 2032
₴65.00
Coupon
Scheduled
1110 Nov 2033
₴65.00
Coupon
Scheduled
1209 Nov 2034
₴65.00
Coupon
Scheduled
1309 Nov 2034
₴1,000.00
Principal
Scheduled
#
Date
Type
Amount / unit
Status
01
23 Nov 2023
Coupon
₴243.80
Paid
02
21 Nov 2024
Coupon
₴146.40
Paid
03
20 Nov 2025
Coupon
₴146.30
Paid
04
19 Nov 2026
Coupon
₴128.80
Next
05
18 Nov 2027
Coupon
₴106.50
Scheduled
06
16 Nov 2028
Coupon
₴85.00
Scheduled
07
15 Nov 2029
Coupon
₴65.00
Scheduled
08
14 Nov 2030
Coupon
₴65.00
Scheduled
09
13 Nov 2031
Coupon
₴65.00
Scheduled
10
11 Nov 2032
Coupon
₴65.00
Scheduled
11
10 Nov 2033
Coupon
₴65.00
Scheduled
12
09 Nov 2034
Coupon
₴65.00
Scheduled
13
09 Nov 2034
Principal
₴1,000.00
Scheduled
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FAQ · UA4000226872
About this bond
and what to expect
The coupon rate of UA4000226872 is 14.63% per year, paid semi-annually.
The face value of UA4000226872 is ₴1,000 per unit.
UA4000226872 matures on 09 Nov 2034.
UA4000226872 has 13 scheduled coupon and principal payments.
The remaining cashflow for UA4000226872 is ₴1,710.30 per unit through maturity.
The approximate yield to maturity of UA4000226872 at par price is 9.18% per year.
ISIN (International Securities Identification Number) is a unique 12-character code that identifies this bond globally. Ukrainian ОВГЗ ISINs typically begin with UA, followed by ten alphanumeric characters.
The issuer is the government or organization that issued the bond and is legally obligated to pay coupons on schedule and repay the face value at maturity.
The coupon is the annual interest the bond pays its holder, expressed as a percentage of the face value. For example, a 15% coupon on a 1,000 UAH nominal pays 150 UAH per year.
Most ОВГЗ pay coupons semi-annually — twice a year, every 6 months. The exact dates for this bond are listed in the payment schedule table.
A coupon payment is periodic interest (typically every 6 months). Principal redemption is the return of the bond's face value, paid at maturity.
Time to maturity is how many years remain until the bond matures and the issuer repays the face value. Shorter maturities are generally less sensitive to interest-rate changes.
The coupon rate is the fixed annual interest set when the bond was issued, expressed as a percentage of face value — it does not change over the bond's life. Yield to maturity (YTM) is the total annual return based on the bond's current market price, accounting for any premium or discount to face value plus all remaining coupon payments. When a bond trades below par, YTM is higher than the coupon rate; when it trades above par, YTM is lower.
The coupon dates and amounts for are fixed at issuance, so every payment is known in advance — which makes bonds easy to keep on top of. FIREkit brings this bond and the rest of your portfolio into one place, with payment schedules, cost-basis YTM, and tax-lot accounting so you always know what you'll receive and when.