Coupon payment for the seventh coupon period was fulfilled

On February 11, 2020, the coupon payment commitments for the seventh coupon period (commencement date of the coupon period: November 12, 2020; end date of the coupon period: February 10, 2021) were fulfilled with respect to exchange-traded non-convertible bearer bonds series 001Р-02 (identification number 4B02-02-00372-R-001P dated December 13, 2018). The amount of accrued interest on one exchange bond due for the seventh coupon period is 33 rubles 66 kopecks (13.5 % p.a.). The total amount of interest for the seventh coupon period due on the exchange bonds is 3,366,000 (three million three hundred sixty-six thousand) rubles 00 kopecks. Coupon income shall be paid in Russian rubles by bank transfer. The persons eligible to receive income on the issuer's securities were determined as of the end of the operating day preceding the date determined in accordance with the document certifying the rights secured by the exchange bonds, and on which the obligation to make payments on the exchange bonds is to be performed.

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