Eurobonds

Eurobond 8.875% due 2013


Issuer Evraz Group S.A.
Guarantor -
Issue 8.875% Notes due 2013
Amount at issue USD 1,300 million
Outstanding Amount USD 534 million
Issue Date 24 April 2008
Maturity Date 24 April 2013
Trustee BNY 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 8.875% per annum payable semi-annually on 24 April and 24 October
Listing London Stock Exchange
Credit Rating (S&P/Moody’s/Fitch) B+ / B1 / BB-
Security Codes Regulation S Notes:
ISIN XS0360055056
Common Code 036005505
CUSIP L33634 AD5
Rule 144A Notes:
ISIN US30050AAC71
Common Code 036007869
CUSIP 30050A AC7
Related documents Prospectus (pdf)

Eurobond 8.25% due 2015


Issuer Evraz Group S.A.
Guarantor Mastercroft Limited
Issue 8.25% Guaranteed Notes due 2015
Amount at issue USD 750 million
Outstanding Amount USD 577 million
Issue Date 10 November 2005
Maturity Date 10 November 2015
Trustee BNY 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 8.25% per annum payable semi-annually on 10 May and 10 November
Listing London Stock Exchange
Credit Rating (S&P/Moodys/Fitch) B+ / B1 / BB-
Security Codes Regulation S Notes:
ISIN XS0234987153 Common Code 023498715
Rule 144A Notes:
ISIN US30050AAA16 Common Code 23498723 CUSIP 30050A AA 1
Related documents Prospectus (pdf)

Eurobond 7.40% due 2017


Issuer Evraz Group S.A.
Guarantor -
Issue 7.40% Notes due 2017
Amount at issue USD 600 million
Outstanding Amount USD 600 million
Issue Date 24 April 2012
Maturity Date 24 April 2017
Trustee BNY Mellon Corporate Trustee Services Limited
Principal Paying Agent,
Registrar, Transfer Agent(s)
The Bank of New York Mellon, London Branch;
The Bank of New York Mellon (Luxembourg) S.A.
Interest 7.40% per annum payable semi-annually on 24 October and 24 April
Listing London Stock Exchange
Credit Rating (S&P/Moodys/Fitch) B+ / B1 / BB-
Security Codes Regulation S Notes:
ISIN XS0652913558
Common Code 065291355
CUSIP L33634 AN3
Rule 144A Notes:
ISIN US30050AAE38
Common Code 061917276
CUSIP 30050A AE3
Related documents Prospectus (pdf)

Eurobond 9.50% due 2018


Issuer Evraz Group S.A.
Guarantor -
Issue 9.50% Notes due 2018
Amount at issue USD 700 million
Outstanding Amount USD 509 million
Issue Date 24 April 2008
Maturity Date 24 April 2018
Trustee BNY 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 9.50% per annum payable semi-annually on 24 April and 24 October
Listing London Stock Exchange
Credit Rating (S&P/Moodys/Fitch) B+ / B1 / BB-
Security Codes Regulation S Notes:
ISIN XS03593811331
Common Code 035938133
CUSIP L33634 AC7
Rule 144A Notes:
ISIN US30050AAB98
Common Code 035938362
CUSIP 30050A AB9
Related documents Prospectus (pdf)

Eurobond 6.75% due 2018


Issuer Evraz Group S.A.
Guarantor -
Issue 6.75% Notes due 2018
Amount at issue USD 850 million
Outstanding Amount USD 850 million
Issue Date 27 April 2011
Maturity Date 27 April 2018
Trustee BNY 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 6.75% per annum payable semi-annually on 27 October and 27 April
Listing London Stock Exchange
Credit Rating (S&P/Moodys/Fitch) B+ / B1 / BB-
Security Codes Regulation S Notes:
ISIN XS0618905219
Common Code 061890521
CUSIP 0618905219
Rule 144A Notes:
ISIN US30050AAD54
Common Code 062063190
CUSIP 30050AAD5
Related documents Prospectus (pdf)