Rouble bonds 12.60% due 2021 | |
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Issuer | EvrazHolding Finance |
Guarantor | Evraz Group S.A. |
Issue | Rouble exchange-traded bonds |
Amount at issue | RUB15 billion |
Outstanding amount | RUB15 billion |
Issue date | 29 March 2016 |
Maturity date | 21 March 2021 |
Principal paying agent | National Settlement Depository, http://www.nsd.ru/en/ |
Interest | 12.60% per annum payable semi-annually commencing on the 182nd day from the placement date |
Listing | The Moscow Exchange |
Issuer credit rating (S&P) | BB+ |
Security codes | 4B02-01-36383-R-001P |
Related documents | Only available in Russian on the issuer’s websites: http://disclosure.skrin.ru/disclosure/7707710865 http://www.evrazholdingfinance.ru |
Rouble bonds 7.95% due 2024 | |
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Issuer | EvrazHolding Finance |
Guarantor | EVRAZ plc |
Issue | Rouble exchange-traded bonds |
Amount at issue | RUB20 billion |
Outstanding amount | RUB20 billion |
Issue date | 5 August 2019 |
Maturity date | 29 July 2024 |
Principal paying agent | National Settlement Depository, http://www.nsd.ru/en/ |
Interest | 7.95% per annum payable semi-annually commencing on the 182nd day from the placement date |
Listing | The Moscow Exchange |
Issuer credit rating (S&P) | BB+ |
Security codes | 4B02-01-36383-R-002P |
Related documents | Only available in Russian on the issuer’s websites: http://disclosure.skrin.ru/disclosure/7707710865 http://www.evrazholdingfinance.ru |