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On September 29, 2017 the Chief Executive Officer of LSR Group has made the following decision regarding non-convertible interest-bearing certified exchange-traded bonds of the 001Р-03 series to the bearer with the obligatory centralized custody, placed under the Exchange Bond Program with the identification number of 4-55234-Е-001P-02E as of September 14, 2016:
1. Set the commencement date of the placement on October 3, 2017.
2. Set the following amortization schedule:
— 30% (thirty percent) of the face value of the exchange-traded bonds at the end of 16th coupon period;
— 30% (thirty percent) of the face value of the exchange-traded bonds at the end of 18th coupon period;
— 40% (forty percent) of the face value of the exchange-traded bonds at the end of 20th coupon period;
3. The Offers shall be submitted from 11 AM to 4 PM Moscow time on September 29, 2017.
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