20.08.2019
Corporate Action Information | |
---|---|
Corporate Action Reference | 434274 |
Corporate Action Type Code | CHAN |
Corporate Action Type | Change - Interest Rate fixing for coupons |
Earlier payment date | 20 aug 2019 |
Security Details | |||||||||
---|---|---|---|---|---|---|---|---|---|
Corporate Action Security Reference | Issuer | State registration Number | State registration Date | Сategory | NSD Code | ISIN | Nominal value | Current Nominal value | Nominal Currency |
434274X21091 | Joint-stock company "VEB-LEASING" | 4B02-06-43801-H | 06 nov 2013 | bonds | RU000A0JV9D8 | RU000A0JV9D8 | 1000 | 1000 | RUB |
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 | |||||
10 | 25 feb 2020 | 25 feb 2020 | 21 feb 2020 | 7.91000 | 39.44000 | RUB |
11 | 25 aug 2020 | 25 aug 2020 | 24 aug 2020 | 7.91000 | 39.44000 | RUB |
12 | 23 feb 2021 | 24 feb 2021 | 22 feb 2021 | 7.91000 | 39.44000 | RUB |
13 | 24 aug 2021 | 24 aug 2021 | 23 aug 2021 | 7.91000 | 39.44000 | RUB |
14 | 22 feb 2022 | 22 feb 2022 | 21 feb 2022 | 7.91000 | 39.44000 | RUB |
15 | 23 aug 2022 | 23 aug 2022 | 22 aug 2022 | 7.91000 | 39.44000 | RUB |
16 | 21 feb 2023 | 21 feb 2023 | 20 feb 2023 | 7.91000 | 39.44000 | RUB |
17 | 22 aug 2023 | 22 aug 2023 | 21 aug 2023 | 7.91000 | 39.44000 | RUB |
18 | 20 feb 2024 | 20 feb 2024 | 19 feb 2024 | 7.91000 | 39.44000 | RUB |
19 | 20 aug 2024 | 20 aug 2024 | 19 aug 2024 | 7.91000 | 39.44000 | RUB |
20 | 18 feb 2025 | 18 feb 2025 | 17 feb 2025 | 7.91000 | 39.44000 | RUB |
Linked Corporate Actions | |
---|---|
Corporate Action Type Code | Corporate Action Reference |
INTR | 178594 |
INTR | 178593 |
INTR | 178592 |
INTR | 178591 |
INTR | 178590 |
INTR | 178589 |
INTR | 178588 |
INTR | 178587 |
INTR | 178586 |
INTR | 178585 |
INTR | 178584 |
We hereby inform you that NDC received information provided by the issuer of securities in accordance with CBRF Regulation No. 546-P of June 1, 2016 "ON THE LIST OF INFORMATION CONCERNING THE IMPLEMENTATION OF THE RIGHTS OF SECURITIES PROVIDED BY ISSUERS TO THE CENTRAL DEPOSITORY, ORDER AND ITS LENGTHS PROVISIONS, AND ALSO ABOUT REQUIREMENTS TO THE PROCEDURE OF PROVIDING ACCESS TO SUCH INFORMATION BY THE CENTRAL DEPOSITORY ".
15.18. Information of the issuer on determining the amount of interest (coupon) on 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.