03.04.2025

(CHAN) Notification on Corporate Action "Change - Interest Rate fixing for coupons" for UC RUSAL, IPJSC ITN 3906394938 (bonds 4B02-12-16677-A-001P / ISIN RU000A10B784)

Corporate Action Information
Corporate Action Reference 1022959
Corporate Action Type Code CHAN
Corporate Action Type Change - Interest Rate fixing for coupons
Earliest payment date 27 march 2025

Security Details
Corporate Action Security Reference Issuer Registration Number Date of Registration Сategory NSD Code ISIN Nominal value Current Nominal value Nominal Currency
1022959X84181 UC RUSAL, IPJSC 4B02-12-16677-A-001P 14 feb 2025 bonds RU000A10B784 RU000A10B784 1000 1000 CNY

Interest Payment
Coupon number Interest payment date Record date Interest rate (% per annum) Interest Payment Amount per 1 item in Currency of payment Currency of payment
Calculated Planned
1 27 april 2025 28 april 2025 25 april 2025 10.90000 8.96000 CNY
2 27 may 2025 27 may 2025 26 may 2025 10.90000 8.96000 CNY
3 26 june 2025 26 june 2025 25 june 2025 10.90000 8.96000 CNY
4 26 july 2025 28 july 2025 25 july 2025 10.90000 8.96000 CNY
5 25 aug 2025 25 aug 2025 22 aug 2025 10.90000 8.96000 CNY
6 24 sep 2025 24 sep 2025 23 sep 2025 10.90000 8.96000 CNY
7 24 oct 2025 24 oct 2025 23 oct 2025 10.90000 8.96000 CNY
8 23 nov 2025 24 nov 2025 21 nov 2025 10.90000 8.96000 CNY
9 23 dec 2025 23 dec 2025 22 dec 2025 10.90000 8.96000 CNY
10 22 jan 2026 22 jan 2026 21 jan 2026 10.90000 8.96000 CNY
11 21 feb 2026 24 feb 2026 20 feb 2026 10.90000 8.96000 CNY
12 23 march 2026 23 march 2026 20 march 2026 10.90000 8.96000 CNY

Linked Corporate Actions
Corporate Action Type Code Corporate Action Reference
INTR 1022889
INTR 1022888
INTR 1022887
INTR 1022886
INTR 1022885
INTR 1022884
INTR 1022883
INTR 1022882
INTR 1022881
INTR 1022880
INTR 1022879
INTR 1022878

Hereby we inform you that NDC received information provided by the issuer of securities in accordance with CBRF Regulation No. 751-P of January 1, 2021 "On the list of information concerning the implementation of the rights of securities provided by issuers to the central depository, the order and its times provisions, and also about requirements to the order of providing the access to such information by the central depository"

20.10 Information on the determination of the amount of interest (coupon) on the bonds

If you have any questions related to this communication, please contact your account managers at NSD by telephone: +7 495 956-27-90 or +7 495 956-27-91.

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