Series BO-04

Type of bonds Interest rate bonds,
Exchange bonds (Issue admitted by Stock Exchange)
Form of issue Documentary bearer bonds
Auction type Book building
Placement method Open subscription
Issue status Outstanding
Placement type Public
Nominal/minimum settlement amount 1000 RUR
Aggregate nominal amount of the bonds 10 000 000 000
Nominal amount outstanding 10 000 000 000
Date of corporate approval of issue 18.03.2013
Date of assignment individual registration number 31.05.2013
Individual registration number 4B02-14-00004-T
Disclosure of placement results 08.10.2013
ISIN RU000A0JU6K0
Bloomberg ticker code (BBGID) BBG004BDMV61
Order book opening 26.09.2013
Order book closure 27.09.2013
Placement beginning 03.10.2013
Placement ending 07.10.2013
Start of stock exchange trading 08.10.2013
Interest rate guidance 8.0%-8.2%
Interest rate 1-20 coupons – 8.1% per year
Payment basis Quarterly
Interest commencement date 03.10.2013
Maturity date 27.09.2018
Day count fraction Actual/365 (Actual/365F)
Joint Lead Managers Managers: Sberbank CIB, Citibank, Renaissance Broker, VTB Capital
Listing Moscow exchange (MOEX), RU000A0JU6K0
(Securities Admitted to Trading, 08.10.2013)
Put option exercise period -
Put option exercise date -
Redemption of principal -


The Table Of the interest payments:

Interest
payment
date
Coupon rate,
%
Coupon
amount,
RUR
Redemption of
principal,
RUR
1 02.01.2014 8,10% 20.19
2 03.04.2014 8,10% 20.19
3 03.07.2014 8,10% 20.19
4 02.10.2014 8,10% 20.19
5 01.01.2015 8,10% 20.19
6 02.04.2015 8,10% 20.19
7 02.07.2015 8,10% 20.19
8 01.10.2015 8,10% 20.19
9 31.12.2015 8,10% 20.19
10 31.03.2016 8,10% 20.19
11 30.06.2016 8,10% 20.19
12 29.09.2016 8,10% 20.19
13 29.12.2016 8,10% 20.19
14 30.03.2017 8,10% 20.19
15 29.06.2017 8,10% 20.19
16 28.09.2017 8,10% 20.19
17 28.12.2017 8,10% 20.19
18 29.03.2018 8,10% 20.19
19 28.06.2018 8,10% 20.19
20 27.09.2018 8,10% 20.19 1000