The issue was completed on 24 April 2008 (Notes) with an additional issue on 23 May 2008 (New Notes).
| Issuer | EVRAZ Group S.A. |
| Issue | 9.50% Notes due 2018 |
| Amount | US$550,000,000 9.50% Notes to be consolidated with US$150,000,000 9.50% New Notes |
| 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 | The Notes bear interest from and including 24 April 2008 at a rate of 9.50% per annum payable semi-annually in arrear on 24 April and 24 October in each year, commencing on 24 October 2008 |
| Form and Denomination | The Notes are issued in registered form, in the denomination of U.S.$100,000 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: |
| Common Code 035938133
ISIN XS03593811331 | |
| CUSIP L33634 AC7 | |
| Rule 144A Notes: | |
| Common Code 035938362 | |
| ISIN US30050AAB98 | |
| CUSIP 30050A AB9 | |
| Use of proceeds | For general corporate purposes, including funding of capital expenditures and, possibly, acquisitions |
| Prospectus | Prospectus
|
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- Ботвиновский Григорий
- Вице-президент
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- Баус Скотт
- Вице-президент
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