Eurobonds AZOVSTAL, 2011 (LPN)
Issue information:
• Issuer, issue number:
AZOVSTAL, 2011 (LPN)
• Type of bond:
Eurobonds-LPN
• Issue status: outstanding
• Par, currency of issue: USD, 1000000
• Amount: 175 000 000
• ISIN: XS0244470570
• End of placement: Feb 16 2006
• Issue price: 100
• Coupon: 9.125%
• Coupon frequency: 2 time(s) per year
• Settlement Date: Feb 28 2006
• Maturity date: Feb 28 2011
• Early redemption terms: Call after 2y, 102%, date: 28.02.08, price: 102, type: PUT.
• Issue Managers: Lead mgrs: ING (Books), Moscow Narodny Bank Capital Markets
• Trading floor, listing category:
London S.E.
• Issue ratings: (rating history )
• Additional information: Guarantor: PJSC Azovstal Iron & Steel
Works/ Moscow Narodny Bank Limited.
SPV: Azovstal Capital BV
Rating: B3/B-
Spread at re-offer: 453bp over US Treasuries.
• Files:
Azovstal Prospectus
• Investment banks:
Lead manager(s): ING Wholesale Banking London VTB Capital
Borrower:
Trading info:
OTC MARKET, Jul 28 2009:
Payment schedule:
Date
Coupon, % p.a.
Coupon size, USD
Par redemption, USD
Notes
28.08.2006
9.125
45625
28.02.2007
9.125
45625
28.08.2007
9.125
45625
28.02.2008
9.125
45625
28.08.2008
9.125
45625
28.02.2009
9.125
45625
28.08.2009
9.125
45625
28.02.2010
9.125
45625
28.08.2010
9.125
45625
28.02.2011
9.125
45625
1000000
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