The issue was completed on 13 July 2009. The Bonds are traded on LSE since 10 September 2009.
| Issuer | EVRAZ Group S.A. |
| Issue | Senior Unsecured Convertible 7.25% Bonds due 2014 convertible into GDRs |
| Amount | US$650,000,000 |
| Maturity Date | 13 July 2014 |
| Trustee | BNY Corporate Trustee Services Limited |
|
Principal Paying, Transfer and Conversion Agent Registrar |
The Bank of New York Mellon
|
| Interest | The Bonds bear interest from and including 13 October 2009 at the rate of 7.25% per annum payable quarterly in arrear in equal instalments on 13 January, 13 April, 13 July and 13 October in each year, commencing on 13 October 2009 |
| Form and Denomination | The Bonds are in registered form, serially numbered, in principal amounts of U.S.$100,000 each and integral multiples thereof |
| Listing | The Bonds are admitted to the Official List of the U.K. Listing Authority and to trading on the Professional Securities Market on the London Stock Exchange |
| Security Codes | ISIN XS0439721035
Common Code 043972103 |
| Prospectus | Prospectus
As of 7 September 2009 Note: the information contained in the document is valid only at the date of publication |
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- 23.01.2012 | File
- Investor Presentation, January 2012
Download (PDF | 1.55Mb)
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- 31.01.2012 | News
- Voting Rights and Capital as at 31 January 2012
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- 27.01.2012 | News
- Moody's upgrades EVRAZ to Ba3, stable outlook




