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On accrued yield on the issuer's equity securities

31 Jan 2018 16:11

RNS Number : 5304D
PJSC RusHydro
31 January 2018
 

Statement of material facton accrued yield on the issuer's equity securities

Insider information notice

 

1. General information

1.1. Full corporate name of the issuer (for non-profit organization - name)

Public Joint-Stock Company Federal Hydro-Generating Company - RusHydro

1.2. Abbreviated corporate name of the issuer

PJSC "RusHydro"

1.3. Issuer's location

Krasnoyarsk, Krasnoyarsk Krai

1.4. PSRN (Primary State Registration Number) of the Issuer

1042401810494

1.5. TIN (Taxpayer Identification Number) of the Issuer

2460066195

1.6. Unique code of the Issuer assigned by the registration body

55038-E

1.7. Address of the web page used by the issuer to disclose information

http://www.rushydro.ru,

http://www.e-disclosure.ru/portal/company.aspx?id=8580

2. Content of the notice

2.1. Type, category (class), series and other identification attributes of issuer's securities for which incomes are accrued: non-convertible interest-bearing documentary bearer bonds, series 08, with mandatory centralized custody, securities issuance state registration number 4-08-55038-E as of December 27, 2012, ISIN RU000A0JTMK9 (hereinafter referred to as "the Bonds").

 

2.2. State registration number of the securities issuance of the Issuer and the date of its state registration: 4-08-55038-E as of December 27, 2012

 

2.3. Management body of the Issuer that took a decision on determining the amount (procedure determining the amount) of interest (coupon) on the issuer's bonds:

The percentage rates were stipulated by the Order of the Sole executive body: Chairman of the Management Board - Chief Executive Officer (CEO)

Text of the decision adopted:

1. To stipulate the rate of the 11th (eleventh) coupon rate of the Bonds as 0.1% (one-tenth percent) per annum, which is equal to 50 (Fifty) kopecks per 1 (one) Bond.

2. To stipulate the rates of the following coupons of the Bonds: 12 (Twelfth), 13 (Thirteenth), 14 (Fourteenth), 15 (Fifteenth), 16 (Sixteenth), 17 (Seventeenth), 18 (Eighteenth), 19 (Nineteenth) and 20 (Twentieth) as equal to the rate of the 11 (Eleventh) coupon (Clause 1 of the present Order).

 

2.4. Date of the decision on determining the amount of interest (coupon) on the issuer's bonds: January 31, 2018

 

2.5. Date of drawing up and the number of the minutes of the Meeting (session) of the issuer's authorized management body where the decision was taken to determine the amount of interest (coupon) on the issuer's bonds in the event that such decision was taken by the issuer's collegial management body of the issuer: Order of the Sole executive body: Acting Chairman of the Management Board - Chief Executive Officer No. 48 as of January 31, 2018

 

2.6. Reporting (coupon) period (year, quarter or dates of commencement and termination of the coupon period) for which the yield on issuer's equity securities shall be paid:

11th coupon period: From February 08, 2018 till August 09, 2018

12th coupon period: From August 09, 2018 till February 07, 2019

13th coupon period: From February 07, 2019 till August 08, 2019

14th coupon period: From August 08, 2019 till February 06, 2020

15th coupon period: From February 06, 2020 till August 06, 2020

16th coupon period: From August 06, 2020 till February 04, 2021

17th coupon period: From February 04, 2021 till August 05, 2021

18th coupon period: From August 05, 2021 till February 03, 2022

19th coupon period: From February 03, 2022 till August 04, 2022

20th coupon period: From August 04, 2022 till February 02, 2023

 

2.7. Total amount of interest and/or other yield payable on the bonds of the issuer of a certain issue (series) and the amount of interest and/or other yield payable per bond of the issuer of the certain issue (series) for the relevant reporting period (coupon period):

11th coupon period: 0.1% (zero point one tenth) percent per annum; it corresponds to the coupon yield per coupon period and amounts to 50 kopecks (Fifty kopecks) per bond.

12th coupon period: 0.1% (zero point one tenth) percent per annum; it corresponds to the coupon yield per coupon period and amounts to 50 kopecks (Fifty kopecks) per bond.

13th coupon period: 0.1% (zero point one tenth) percent per annum; it corresponds to the coupon yield per coupon period and amounts to 50 kopecks (Fifty kopecks) per bond.

14th coupon period: 0.1% (zero point one tenth) percent per annum; it corresponds to the coupon yield per coupon period and amounts to 50 kopecks (Fifty kopecks) per bond.

15th coupon period: 0.1% (zero point one tenth) percent per annum; it corresponds to the coupon yield per coupon period and amounts to 50 kopecks (Fifty kopecks) per bond.

16th coupon period: 0.1% (zero point one tenth) percent per annum; it corresponds to the coupon yield per coupon period and amounts to 50 kopecks (Fifty kopecks) per bond.

17th coupon period: 0.1% (zero point one tenth) percent per annum; it corresponds to the coupon yield per coupon period and amounts to 50 kopecks (Fifty kopecks) per bond.

18th coupon period: 0.1% (zero point one tenth) percent per annum; it corresponds to the coupon yield per coupon period and amounts to 50 kopecks (Fifty kopecks) per bond.

19th coupon period: 0.1% (zero point one tenth) percent per annum; it corresponds to the coupon yield per coupon period and amounts to 50 kopecks (Fifty kopecks) per bond.

20th coupon period: 0.1% (zero point one tenth) percent per annum; it corresponds to the coupon yield per coupon period and amounts to 50 kopecks (Fifty kopecks) per bond.

 

2.8. Form of payment of yield on the securities of the issuer (cash, other property) Monetary funds in the currency of the Russian Federation in cashless form.

 

2.9. The date on which the obligation to pay yield on the issuer's equity securities for the bonds shall be fulfilled; in the event that the obligation to pay yield on the issuer's equity securities for the bonds shall be fulfilled within the certain period of time, the expiration date of such period:

11th coupon period: August 09, 2018

12th coupon period: February 07, 2019

13th coupon period: August 08, 2019

14th coupon period: February 06, 2020

15th coupon period: August 06, 2020

16th coupon period: February 04, 2021

17th coupon period: August 05, 2021

18th coupon period: February 03, 2022

19th coupon period: August 04, 2022

20th coupon period: February 02, 2023

 

 

 

3. Signature

3.1. Member of the Management Board, First Deputy Chief Executive Officer of PJSC "RusHydro"

(by virtue of Power of Attorney No. 7503 of 20.01.2017)

 

 

A. V. Kazachenkov

 

 

(signature)

 

 

 

3.2. Date

31

"

January

20

18

year

L. S.

 

 

 

 

 

 

The information in this press release may contain projections or other forward-looking statements regarding future events or the future financial performance of RusHydro. You can identify forward looking statements by terms such as "expect," "believe," "anticipate," "estimate," "intend," "will," "could," "may" or "might," the negative of such terms or other similar expressions. We wish to caution you that these statements are only predictions and that actual events or results may differ materially from these statements. We do not intend to update these statements to reflect events and circumstances occurring after the date hereof or to reflect the occurrence of unanticipated events. Many factors could cause the actual results to differ materially from those contained in our projections or forward-looking statements, including, among others, general economic conditions, our competitive environment, risks associated with operating in Russia, rapid technological and market change in our industries, as well as many other risks specifically related to RusHydro and its operations.

 

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
STRSDMFMFFASESF
Date   Source Headline
21st Nov 20187:09 amEQSPJSC RusHydro: RusHydro has successfully closed the bid book on RUB-denominated Eurobonds
20th Nov 20189:02 amEQSPJSC RusHydro: RusHydro signs a loan agreement in context of Eurobond issue
20th Nov 20188:49 amEQSPJSC RusHydro: Listing Particulars of RusHydro's Eurobond issue published
15th Nov 20182:54 pmEQSPJSC RusHydro: CORRECTION: RusHydro has successfully closed the bid book on debut dim sum bond issue
15th Nov 20182:26 pmEQSPJSC RusHydro: RusHydro has successfully closed the bid book on debut dim sum bond issue
2nd Nov 20181:00 pmEQSPJSC RusHydro: Notice of renewal of RusHydro's certificate
2nd Nov 20187:54 amEQSPJSC RusHydro: RusHydro announces results of JSC FEGC tender
30th Oct 20188:58 amEQSPJSC RusHydro: RusHydro announces 9M 2018 RAS results
29th Oct 20186:52 amEQSPJSC RusHydro: Results of the Board of Directors Meeting on October 25, 2018
29th Oct 20186:49 amEQSPJSC RusHydro: Results of the Board of Directors Meeting on October 24, 2018
24th Oct 20187:48 amEQSPJSC RusHydro: RusHydro paid coupons on series 09 bonds
23rd Oct 20187:30 amEQSPJSC RusHydro: Notice of management transactions
22nd Oct 20183:31 pmEQSPJSC RusHydro: RusHydro Group announces 3Q and 9M 2018 operating results
17th Oct 20187:47 amEQSPJSC RusHydro: Agenda of the Board of Directors on October 24, 2018
16th Oct 20187:45 amEQSPJSC RusHydro: RusHydro paid coupons on series 02 bonds
16th Oct 20187:40 amEQSPJSC RusHydro: RusHydro paid coupons on series 01 bonds
16th Oct 20187:26 amEQSPJSC RusHydro: Agenda of the Board of Directors on October 25, 2018
15th Oct 20188:30 amEQSPJSC RusHydro: CORRECTION: Notice of management transactions
15th Oct 20187:36 amEQSPJSC RusHydro: Notice of change in shareholder
8th Oct 20187:42 amEQSPJSC RusHydro: Hydroinvest purchases RusHydro's shares
5th Oct 20188:27 amEQSPJSC RusHydro: Results of the Board of Directors Meeting on October 03, 2018
5th Oct 20188:23 amEQSPJSC RusHydro: Results of the Board of Directors Meeting on October 02, 2018
4th Oct 20184:27 pmEQSPJSC RusHydro: RusHydro paid coupons on series BO-P04 bonds
25th Sep 20187:41 amRNSAgenda of the Board of Directors on October 3 2018
25th Sep 20187:39 amRNSAgenda of the Board of Directors on October 2 2018
10th Sep 20187:58 amRNSRusHydro inaugurates Vostochnaya CHP
5th Sep 201811:26 amRNSCorporate governance rating upgrade
28th Aug 20182:23 pmRNSRusHydro publishes its Securities Prospectus
28th Aug 20181:00 pmRNSRusHydro announces 1H 2018 IFRS results
28th Aug 20187:54 amRNSRegistration of additional share issue
21st Aug 20188:21 amRNSNotice of 1H 2018 IFRS results and conference call
13th Aug 20187:32 amRNSRusHydro has paid the dividend for 2017
10th Aug 20187:47 amRNSResults of the BoD on August 07, 2018
10th Aug 20187:44 amRNSRusHydro paid coupons on series 08 bonds
10th Aug 20187:42 amRNSRusHydro paid coupons on series 07 bonds
7th Aug 20183:06 pmRNSCorrection of pre-emptive right record date
1st Aug 20185:26 pmRNSFitch upgrades RusHydro's rating
1st Aug 20187:46 amRNSAgenda of the Board of Directors on August 7, 2018
30th Jul 20182:21 pmRNSRusHydro announces 1H 2018 RAS results
23rd Jul 20187:57 amRNSRusHydro has paid the dividend for 2017
20th Jul 201811:02 amRNSNotice of 2Q and 1H 2018 operating results
16th Jul 20182:48 pmRNSRusHydro publishes Articles of Association
12th Jul 20181:27 pmRNSRusHydro signs loan agreement with Alfa-Bank
10th Jul 20184:06 pmRNSNotice of renewal of RusHydro's license
6th Jul 20182:28 pmRNSExclusion of bonds from MOEX quotation list
5th Jul 20184:05 pmRNSApplication for registration share issue filed
4th Jul 20183:22 pmRNSRedemption of bonds
4th Jul 20182:58 pmRNSRusHydro paid coupons on series BO-P03 bonds
4th Jul 20182:56 pmRNSRusHydro paid coupons on series BO-P02 bonds
4th Jul 20182:54 pmRNSRusHydro paid coupons on series BO-P01 bonds

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