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The identification number of the issue is 4B02-05-55234-E-001P as of 28 October 2019 (ISIN RU000A100ZL8).
The third coupon interest rate was set at 8.40% per annum and amounted to RUB 20.94 per one bond.
6,000,000 bonds were placed as part of the bond issue on 31 October 2019, with a maturity of 1,820 days, divided into 20 coupon payment periods.
For further information please contact:
Director of Investor Relations and Sustainable Development
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