Series 31

Type of bonds Interest rate bonds
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 1000 RUR
Nominal amount outstanding 7 500 000 000
Date of corporate approval of issue 7 500 000 000
State registration date 18.03.2013
State registration number 4-36-00004-T
Notification on the placement results 24.12.2013
ISIN RU000A0JUBA1
Bloomberg ticker code (BBGID) BBG005NLJXW8
Order book opening 29.11.2013 (14:00)
Order book closure 29.11.2013 (15:30)
Placement beginning 03.12.2013
Placement ending 05.12.2013
Start of stock exchange trading 06.12.2013
Interest rate guidance -
Interest rate 1-28 coupons – 8.35% per year
Payment basis Quarterly
Interest commencement date 03.12.2013
Maturity date 24.11.2020
Day count fraction Actual/365 (Actual/365F)
Joint Lead Managers Manager: Sviaz-bank
Listing Moscow exchange(MOEX), RU000A0JUBA1
(Securities Admitted to Trading, 06.12.2013)
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 04.03.2014 8.35% 20.82
2 03.06.2014 8.35% 20.82
3 02.09.2014 8.35% 20.82
4 02.12.2014 8.35% 20.82
5 03.03.2015 8.35% 20.82
6 02.06.2015 8.35% 20.82
7 01.09.2015 8.35% 20.82
8 01.12.2015 8.35% 20.82
9 01.03.2016 8.35% 20.82
10 31.05.2016 8.35% 20.82
11 30.08.2016 8.35% 20.82
12 29.11.2016 8.35% 20.82
13 28.02.2017 8.35% 20.82
14 30.05.2017 8.35% 20.82
15 29.08.2017 8.35% 20.82
16 28.11.2017 8.35% 20.82
17 27.02.2018 8.35% 20.82
18 29.05.2018 8.35% 20.82
19 28.08.2018 8.35% 20.82
20 27.11.2018 8.35% 20.82
21 26.02.2019 8.35% 20.82
22 28.05.2019 8.35% 20.82
23 27.08.2019 8.35% 20.82
24 26.11.2019 8.35% 20.82
25 25.02.2020 8.35% 20.82
26 26.05.2020 8.35% 20.82
27 25.08.2020 8.35% 20.82
28 24.11.2020 8.35% 20.82 1 000