The issue was completed on 27 April 2011

Issuer EVRAZ Group S.A.
Issue 6.75% Notes due 2018
Amount US$850,000,000
Maturity Date 27 April 2018
TrusteeBNY Corporate Trustee Services Limited
Principal Paying Agent,
Registrar, Transfer Agent(s)
The Bank of New York;
The Bank of New York (Luxembourg) S.A.
Interest The Notes bear interest from and including 27 April 2011 at a rate of 6.75% per annum payable semi-annually in arrear on 27 October and 27 April in each year, commencing on 27 October 2011
Form and Denomination The Notes are issued in registered form, in the denomination of U.S.$200,000 each and integral multiples of $1,000 in excess thereof
Listing The Notes are admitted to the Official List of the U.K. Listing Authority and to trading on the Regulated Market of the London Stock Exchange
Security Codes Regulation S Notes:

ISIN  XS0618905219
Common Code 061890521
CUSIP 0618905219

Rule 144A Notes:

ISIN US30050AAD54
Common Code 062063190
CUSIP 30050AAD5

Use of proceeds Refinancing of existing indebtedness
Prospectus

Prospectus
As of 21 April 2011 (882 kB)