15.04.2025

(CHAN) Notification on Corporate Action "Change - Interest Rate fixing for coupons" for "Gazprom capital LLC" ITN 7726588547 (bonds 4B02-12-36400-R-001P / ISIN RU000A10BBW8)

Corporate Action Information
Corporate Action Reference 1028845
Corporate Action Type Code CHAN
Corporate Action Type Change - Interest Rate fixing for coupons
Earliest payment date 11 april 2025

Security Details
Corporate Action Security Reference Issuer Registration Number Date of Registration Сategory NSD Code ISIN Nominal value Current Nominal value Nominal Currency
1028845X84324 "Gazprom capital LLC" 4B02-12-36400-R-001P 08 april 2025 bonds RU000A10BBW8 RU000A10BBW8 1000 1000 EUR

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 15 may 2025 15 may 2025 14 may 2025 7.75000 6.37000 EUR
2 14 june 2025 16 june 2025 13 june 2025 7.75000 6.37000 EUR
3 14 july 2025 14 july 2025 11 july 2025 7.75000 6.37000 EUR
4 13 aug 2025 13 aug 2025 12 aug 2025 7.75000 6.37000 EUR
5 12 sep 2025 12 sep 2025 11 sep 2025 7.75000 6.37000 EUR
6 12 oct 2025 13 oct 2025 10 oct 2025 7.75000 6.37000 EUR
7 11 nov 2025 11 nov 2025 10 nov 2025 7.75000 6.37000 EUR
8 11 dec 2025 11 dec 2025 10 dec 2025 7.75000 6.37000 EUR
9 10 jan 2026 13 jan 2026 30 dec 2025 7.75000 6.37000 EUR
10 09 feb 2026 09 feb 2026 06 feb 2026 7.75000 6.37000 EUR
11 11 march 2026 11 march 2026 10 march 2026 7.75000 6.37000 EUR
12 10 april 2026 10 april 2026 09 april 2026 7.75000 6.37000 EUR
13 10 may 2026 12 may 2026 08 may 2026 7.75000 6.37000 EUR
14 09 june 2026 09 june 2026 08 june 2026 7.75000 6.37000 EUR
15 09 july 2026 09 july 2026 08 july 2026 7.75000 6.37000 EUR
16 08 aug 2026 10 aug 2026 07 aug 2026 7.75000 6.37000 EUR
17 07 sep 2026 07 sep 2026 04 sep 2026 7.75000 6.37000 EUR
18 07 oct 2026 07 oct 2026 06 oct 2026 7.75000 6.37000 EUR
19 06 nov 2026 06 nov 2026 05 nov 2026 7.75000 6.37000 EUR
20 06 dec 2026 07 dec 2026 04 dec 2026 7.75000 6.37000 EUR
21 05 jan 2027 13 jan 2027 31 dec 2026 7.75000 6.37000 EUR
22 04 feb 2027 04 feb 2027 03 feb 2027 7.75000 6.37000 EUR
23 06 march 2027 09 march 2027 05 march 2027 7.75000 6.37000 EUR
24 05 april 2027 05 april 2027 02 april 2027 7.75000 6.37000 EUR
25 05 may 2027 05 may 2027 04 may 2027 7.75000 6.37000 EUR
26 04 june 2027 04 june 2027 03 june 2027 7.75000 6.37000 EUR
27 04 july 2027 05 july 2027 02 july 2027 7.75000 6.37000 EUR
28 03 aug 2027 03 aug 2027 02 aug 2027 7.75000 6.37000 EUR
29 02 sep 2027 02 sep 2027 01 sep 2027 7.75000 6.37000 EUR
30 02 oct 2027 04 oct 2027 01 oct 2027 7.75000 6.37000 EUR
31 01 nov 2027 01 nov 2027 29 oct 2027 7.75000 6.37000 EUR
32 01 dec 2027 01 dec 2027 30 nov 2027 7.75000 6.37000 EUR
33 31 dec 2027 31 dec 2027 30 dec 2027 7.75000 6.37000 EUR
34 30 jan 2028 31 jan 2028 28 jan 2028 7.75000 6.37000 EUR
35 29 feb 2028 29 feb 2028 28 feb 2028 7.75000 6.37000 EUR
36 30 march 2028 30 march 2028 29 march 2028 7.75000 6.37000 EUR
37 29 april 2028 02 may 2028 28 april 2028 7.75000 6.37000 EUR

Linked Corporate Actions
Corporate Action Type Code Corporate Action Reference
INTR 1028842
INTR 1028841
INTR 1028840
INTR 1028839
INTR 1028838
INTR 1028837
INTR 1028836
INTR 1028835
INTR 1028834
INTR 1028833
INTR 1028832
INTR 1028831
INTR 1028830
INTR 1028829
INTR 1028828
INTR 1028827
INTR 1028826
INTR 1028825
INTR 1028824
INTR 1028823
INTR 1028822
INTR 1028821
INTR 1028820
INTR 1028819
INTR 1028818
INTR 1028817
INTR 1028816
INTR 1028815
INTR 1028814
INTR 1028813
INTR 1028812
INTR 1028811
INTR 1028810
INTR 1028809
INTR 1028808
INTR 1028807
INTR 1028806

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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