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Book building for Series 001R-03 bonds of CTPZ opens on March 22 at 11:00 (MSK)

March 21, 2017 | Cbonds

According to the Sberbank CIB placement materials, on March 22 from 11:00 to 16:00 (MSK), CTPZ plans to accept orders for Series 001R-03 bonds to the amount of 5 bln. rubles. The securities are placed as part of the program No. 4-00182-A-001P-02E as of 28.11.2016. Indicative rate of coupon is 9.7-9.9 % per annum, yield to maturity is 10.06-10.27 % per annum. Maturity period is 7 years. Nominal value of the securities is 1,000 rubles. The securities are placed at the price of 100 % of par by public subscription. Coupon period is quarterly. No offer is provided. Preliminary date of placement is March 30. The arrangers of the placement are Gazprombank, VTB Capital, UniCredit Bank, Sberbank CIB. The technical underwriter is Gazprombank. The placement and secondary conversion are carried out on the MICEX, the Second listing level. The issue meets the requirements for inclusion in the Lombard list of the Central Bank of the Russian Federation.

Company: Chelpipe

Full company namePJSC Chelpipe
Country of riskRussia
Country of registrationRussia
IndustryFerrous metals

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