Rouble bonds

Rouble Bonds 12.95% due 2025/put 2019
IssuerEvrazHolding Finance LLC
GuarantorEvraz Group S.A.
IssueRouble bonds with put/call options
Amount at issueRUB 15 billion
Outstanding AmountRUB 15 billion
Issue Date01 July 2015
Maturity Date18 June 2025
Put/Call Date26 June 2019
Principal Paying Agent National Settlement Depository, ttp://www.nsd.ru/en/
Interest12.95% per annum payable semi-annually commencing on the 182th day from the placement date
ListingThe Moscow Exchange
Issuer Credit rating (S&P)BB-
Security Codes4-08-36383-R
Related documentsOnly available in Russian on Issuer's websites:
http://disclosure.skrin.ru/disclosure/7707710865 or http://www.evrazholdingfinance.ru 
Rouble Bonds 12.60% due 2021
IssuerEvrazHolding Finance LLC
GuarantorEvraz Group S.A.
IssueRouble exchange-traded bonds
Amount at issueRUB 15 billion
Outstanding AmountRUB 15 billion
Issue Date29 March 2016
Maturity Date21 March 2021
Principal Paying Agent National Settlement Depository, ttp://www.nsd.ru/en/
Interest12.60% per annum payable semi-annually commencing on the 182th day from the placement date
ListingThe Moscow Exchange
Issuer Credit rating (S&P)BB-
Security Codes4B02-01-36383-R-001P
Related documentsOnly available in Russian on Issuer's websites:
http://disclosure.skrin.ru/disclosure/7707710865 or http://www.evrazholdingfinance.ru