The issue was completed on 13 July 2009. The Bonds are traded on LSE since 10 September 2009.

IssuerEVRAZ Group S.A.
IssueSenior Unsecured Convertible 7.25% Bonds due 2014 convertible into GDRs
AmountUS$650,000,000
Maturity Date13 July 2014
TrusteeBNY Corporate Trustee Services Limited

Principal Paying, Transfer and Conversion Agent

Registrar

The Bank of New York Mellon



The Bank of New York (Luxembourg) S.A.

InterestThe 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 DenominationThe Bonds are in registered form, serially numbered, in principal amounts of U.S.$100,000 each and integral multiples thereof
ListingThe 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 CodesISIN XS0439721035
Common Code 043972103
ProspectusProspectus
As of 7 September 2009
Note: the information contained in the document is valid only at the date of publication

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