Securities

Estimated date - the date calculated based on issue documents or set out expressly (weekends and public holidays excluded).

Scheduled date - the estimated date corrected in accordance with the calendar:
  • for Russian securities – taking into account the calendar of work days and holidays;
  • for foreign securities – taking into account business days.

Release profile - Bond

Issuer Name Issue Name
BROKERCREDITSERVICE CYPRUS LTD VAR 15/02/27


Information on the issuer
NSD CodeRPJN00000020
Full name"BrokerCreditService (Cyprus) Limited"
TIN9909167123
CRR775087001
Country of IncorporationКИПР
Registered address4004, Spyrou Kyprianou & 1 Oktovriou, 1, Vashiotis Kalande Offices, 1st floor, Mesa Geitonia, 4004, Limassol, Cyprus
Issuer's country code according to the All-Russian Classifier of Countries of the World (for reporting to the Bank of Russia)196
Information on the state registration of the legal entity 
Registration numberHE 154856
Date of state registration2004-12-07
Registration authorityРегистратор компаний Республики Кипр

Information on the securities issue
NSD CodeXS1556820519
ISINXS1556820519
CFIDBVXLR
Registrar codeCLEARSTREAM
Head DepositoryClearstream Banking S.A.
Issue Formcertificated registered
Issuer Full NameBROKERCREDITSERVICE CYPRUS LTD VAR 15/02/27
CurrencyUSD
StatusPlaced
Included in the Lombard list of the Bank of RussiaNo
Qualified InvestorsYes
Bank of Russia’s classificationBON7
Nominal value (in the nominal currency)1000.00
Face value1000.00
Maturity date (Estimated/Scheduled) [?]2027-02-15
Placement сommencement date2017-02-15
Placement end date2017-02-15
Min lot200000.00

Volume of the issue
  Number of securities in the issue (items) Volume of the issue at par Volume of the issue for the outstanding amount
Declared securities 200 000 200 000 000.00 200 000 000.00
Placed securities 200 000 200 000 000.00 200 000 000.00
Placed securities including additional issues 200 000 200 000 000.00 200 000 000.00
Redeemed securities000
Securities in circulation including additional issues and taking into account redeemed securities 200 000 200 000 000.00 200 000 000.00

Сoupons

General information on coupons

Corporate actionINTR Выплата купонного дохода
Coupon typeс переменной ставкой
Number of coupons20
Frequency of coupon paymentПолугодовой
Method of coupon income calculationA/360

Information on current and previous coupons

ParameterCurrent couponPrevious coupon
CA ref (INTR)272970272969
CA statusНе состоялосьСостоялось
Payment Date2018-08-16 (расч./план.)*2018-02-15 (расч./план.)*
Record Date2018-08-15 (расч./план.)*2018-02-14 (расч./план.)*
Interest coupon rate (% per annum)1.95583
Interest Payment Amount per security (in payment currency)9.942135
Payment CurrencyUSDUSD
Interest Payout Amount per security (in payment currency)9.942135
Payout CurrencyUSDUSD

Redemptions
Redemption type Payment date Record date Blocking date Redemption amount of the nominal value (in payment currency) Payment Currency Redemption type CA ref CA status CA reference (PRII)
REDM/BN 2027-02-15
(расч./план.)*
2027-02-14 (расч.)
2027-02-12 (план.)*
1 000.00 USD Погашение облигаций 272950 Не состоялось

Places of safekeeping
Securities code in the current place of safekeeping Place of safekeeping
XS1556820519 Клирстрим
XS1556820519 Евроклир

Second level places of safekeeping
Second level place of safekeeping Country of incorporation Tariff rate
BANK OF NEW YORK MELLON, LDN GB - СОЕДИНЕННОЕ КОРОЛЕВСТВО 1.00
Grand tariff rate** 1.00


** Tariff rate for securities with FX prefix amounts to 1 regardless of the place of safekeeping.

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