(INTR) Information on receipt and transfer of payments on securities by the depository performing mandatory centralized custody / centralized recordkeeping of the issuer's securities Interest Payment for OOO "NZRM" (bonds issue RU000A1004Z9)
Corporate Action Information
Corporate Action Reference
399047
Corporate Action Type Code
INTR
Corporate Action Type
Interest Payment
Corporate Action Date
June 18, 2021
Record Date and Time
June 17, 2021 (end of operation day)
Security Details (Bond Details)
Issuer
Registration Number
Date of Registration
ISIN/NSD Code
Nominal
Unredeemed Principal per item
Nominal Currency
OBSHCHESTVO S OGRANICHENNOY OTVETSTVENNOST'YU "NOVOSIBIRSKIY ZAVOD REZKI METALLA"
4B02-01-00418-R-001P
February 28, 2019
RU000A1004Z9
10 000.0000
10 000.0000
RUB
Additional Information on Securities (Bond Details)
Issuer Short Name
Registered address
Registering Authority
Redemption Date
Securities Redemption Date Determination Procedure
PUBLIC JOINT-STOCK COMPANY "MOSCOW EXCHANGE MICEX-RTS"
August 12, 2022
August 12, 2022
March 01, 2019
1260
June 18, 2021
БО-П01
Information on Depository
Full Name
NATIONAL SETTLEMENT DEPOSITORY
Short Name
NSD
CSD of Russia
CSD status granted by FFMS of Russia (Order No.12-2761/PZ-I of November 06, 2012)
Registered address
12, Spartakovskaya St., Moscow 105066, Russia
Taxpayer Registration Number
7702165310
Main State Registration Number
1027739132563
Phone
(495) 956 09 30
Fax
(495) 956-09-38
e-mail
corp_info@nsd.ru
Link to the web-site used by the depository to disclose information
www.nsd.ru/en
Banking license
License number
3294
Date of issuance
August 04, 2016
License term
The license is not time-limited
Issuing body
THE CENTRAL BANK OF THE RUSSIAN FEDERATION (BANK OF RUSSIA)
License to engage in depositary activity
License number
045-12042-000100
Date of issuance
February 19, 2009
License term
The license is not time-limited
Issuing body
THE FEDERAL FINANCIAL MARKETS SERVICE
Interest Payment Details
Interest rate (% per annum)
13.5000
Interest Payment Amount in Currency
110.9600
Payment Currency
RUB
Payment Day
June 18, 2021
Start Day
May 19, 2021
End Day
June 18, 2021
Coupon Period
30
Interest payment date for previous coupon
May 19, 2021 (27 coupon)
Current Payment
Amount payable per security
Date when Cash Funds were credited to NSD account
Date when NSD account was debited in favor of depositor`s account
Unpaid Amount of Payment
Interest Payment
110.9600
June 18, 2021
June 18, 2021
Fully paid
Information on the discharge by the issuer of its payment obligations
Discharged on due date properly
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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