Bonds

Issue Total value
(RUR)
Coupon
rate
Interest
payment
period
Maturity date Put option
date(1)
Date of
placement
01 1,352,000 0.10% 182 days 3 March 2020 - 12 March 2013
02 21,000 0.10% 182 days 3 March 2020 - 12 March 2013
03 24,072,000 0.10% 182 days 25 February 2020 - 5 March 2013
BO-03 538,465,000 7.25% 182 days 24 July 2025 28 January 2021(2) 06 August 2015
BO-06 50,000 7.00% 182 days 28 August 2025 02 September 2021(2) 10 September 2015
BO-001P-01 5,000,000,000 8.70% 182 days 26 May 2020 - 30 May 2017
BO-001P-02 10,000,000,000 8.65% 182 days 14 March 2029 23 March 2022 27 March 2019
BO-001P-03 10,000,000,000 6.80% 182 days 01 November 2029 10 November 2022 14 November 2019

Note:
(1) The period for submission of applications for the purchase of bonds by the Issuer is last five working days before the Put option date (inclusive). The date of purchase of bonds by the Issuer falls on the second working day after the Put option date.
(2) BO-03, BO-06, BO-001P-02 and BO-001P-03 issues have 3-year put option.

Information disclosure for bondholders