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Rouble bonds 12.95% due 2025/put 2019
Issuer EvrazHolding Finance
Guarantor Evraz Group S.A.
Issue Rouble bonds with put/call options
Amount at issue RUB15 billion
Outstanding amount RUB15 billion
Issue date 1 July 2015
Maturity date 18 June 2025
Put/call date 26 June 2019
Principal paying agent National Settlement Depository, http://www.nsd.ru/en/
Interest 12.95% per annum payable semi-annually commencing on the 182nd day from the placement date
Listing The Moscow Exchange
Issuer credit rating (S&P) BB-
Security codes 4-08-36383-R
Related documents Only available in Russian on the issuer’s websites
http://disclosure.skrin.ru/disclosure/7707710865
http://www.evrazholdingfinance.ru 
Rouble bonds 12.60% due 2021
Issuer EvrazHolding Finance
Guarantor Evraz Group S.A.
Issue Rouble exchange-traded bonds
Amount at issue RUB15 billion
Outstanding amount RUB15 billion
Issue date 29 March 2016
Maturity date 21 March 2021
Principal paying agent National Settlement Depository, http://www.nsd.ru/en/
Interest 12.60% per annum payable semi-annually commencing on the 182nd day from the placement date
Listing The Moscow Exchange
Issuer credit rating (S&P) BB-
Security codes 4B02-01-36383-R-001P
Related documents Only available in Russian on the issuer’s websites:
http://disclosure.skrin.ru/disclosure/7707710865
http://www.evrazholdingfinance.ru 
Eurobond 8.25% due 2021
Issuer EVRAZ plc
Issue 8.25% notes due 2021
Amount at issue US$750 million
Outstanding amount US$750 million
Issue date 17 December 2015
Maturity date 28 January 2021
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 8.25% per annum payable semi-annually on 28 January and 28 July, except that the first payment of interest in respect of the period from and including 17 December 2015 to but excluding 28 July 2016, will be made on 28 July 2016.
Listing Irish Stock Exchange
Credit rating (S&P/Moody’s/Fitch) BB+ / - / BB+
Security codes Regulation S Notes:
ISIN XS1319822752
Common Code 131982275
CFI Code: DYFXXR
Related documents Prospectus (pdf)
Eurobond 6.75% due 2022
Issuer EVRAZ plc
Issue 6.75% notes due 2022
Amount at issue US$500 million
Outstanding amount US$500 million
Issue date 16 June 2016
Maturity date 31 January 2022
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 6.75% per annum payable semi-annually on 31 January and 31 July, except that the first payment of interest in respect of the period from and including 16 June 2016 to but excluding 31 January 2017, will be made on 31 January 2017.
Listing Irish Stock Exchange
Credit rating (S&P/Moody’s/Fitch) BB+ / - / BB+
Security codes Regulation S Notes:
ISIN XS1405775377
Common Code 140577537
CFI Code: DYFXXR
Related documents Prospectus (pdf)
Eurobond 5.375% due 2023
Issuer EVRAZ plc
Issue 5.375% notes due 2023
Amount at issue US$750 million
Outstanding amount US$750 million
Issue date 20 March 2017
Maturity date 20 March 2023
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, New York Branch;
The Bank of New York Mellon (Luxembourg) S.A.
Interest 5.375% per annum payable semi-annually in on 20 March and 20 September
Listing Irish Stock Exchange
Credit rating (S&P/Moody’s/Fitch) BB+ / Ba2 / BB+
Security codes Regulation S Notes:
ISIN XS1533915721
Common Code 153391572
CFI Code DYFXXR
Rule 144A Notes:
ISIN US30050AAG85
Common Code 111731110
CUSIP 30050A AG8
Related documents Prospectus (pdf)
Eurobond 5.25% due 2024
Issuer EVRAZ plc
Issue 5.25% notes due 2024
Amount at issue US$700 million
Outstanding amount US$700 million
Issue date 2 April 2019
Maturity date 2 April 2024
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, New York Branch;
The Bank of New York Mellon (Luxembourg) S.A.
Interest 5.25% per annum payable semi-annually on 2 April and 2 October
Listing Irish Stock Exchange
Credit rating (S&P/Moody’s/Fitch) BB+ / Ba2 / BB+
Security codes Regulation S Notes:
ISIN XS1843443273
Common Code 184344327
CFI Code DYFXXR
Rule 144A Notes:
ISIN US30052KAA79
Common Code 111730776
CUSIP 30052KAA7
Related documents Prospectus (pdf)