Bonds

IssueTotal value (RUR)Coupon rateInterest payment periodMaturity datePut option dateDate of placement
01 3,000,000,000 11.75% 182 day 3 March 2020 06 September 2018 12 March 2013
02 21,000 11.00% 182 day 3 March 2020 07 March 2019 12 March 2013
03 4,000,000,000 11.75% 182 day 25 February 2020 30 August  2018 5 March 2013
BO-03 538,465,000 7.25% 182 day 24 July 2025 01 February 2021 06 August 2015
BO-06 5,000,000,000 12.40% 182 day 28 August 2025 10 September 2018 10 September 2015
BO-001P-01 5,000,000,000 8.70% 182 day 26 May 2020 - 30 May 2017

Note: 02, BO-03 and BO-06 issues have 3-year put option, 01 and 03 issues have 2.5-year put option.

Information disclosure for bondholders