С 1 апреля 2011 года ОАО «Уралсвязьинформ» является частью российской национальной телекоммуникационной компании «Ростелеком» и теперь будет осуществлять свою деятельность в качестве ее макрорегионального филиала «Урал»
Type of securities: non-convertible interest-bearing documentary bearer bonds of 08 series with obligatory centralized custody.
Maturity terms of the bond issue: The bonds shall be redeemed sequentially in installments on following terms:
- on the 1638th day from the start date of placement each Bond shall be redeemed partially in the amount of 50 (Fifty) % of the bond issue par value,
- on the 1820th day from the start date of placement each Bond shall be redeemed partially in the amount of 50 (Fifty) % of the bond issue par value.
State registration number: 4-11-00175-А
Date of state registration: 06.03.2008
State Body which performed the registration: Federal Commission for Securities Markets
The quantity of securities to be placed and par value of each bond: 2,000,000 (two million) bonds with par value of RUR 1,000 (one thousand).
Form of subscription: public.
No preference in acquiring the securities is given.
The price of placement or order of price determination:
The price of Bonds placement on the first and following days is equal to the Bonds par value – RUR 1000; from the second day of Bonds placement on, the buyer, when performing Bonds purchase and sale transactions, repays the accumulated coupon income (ACI) as well.
ACI = Nom * C1 * ((T - T0)/ 365)/ 100%
where
ACI - accumulated coupon income, RUR.;
Nom – par value of a Bond, RUR.;
С1 – first coupon annual interest rate;
T – the date of Bonds placement, on which ACI is calculated;
T0- the date on which Bonds placement is initiated.
Start date of placement: April 09, 2008.
Final date of placement:
Final date of placement is one of the following dates:
a) 15th working day since start date of placement;
b) Placement date of the last bond
Final date of placement should be within 1 (one) year since state registration.