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Bonds

On June 22, 2010, SITRONICS OJSC placed non-convertible interest-bearing certified commercial bonds to bearer of BO-01 series totaling 2 billion rubles. The issue circulation period is 3 years, subject to a two-year offer.

On October 11, 2010, SITRONICS OJSC placed non-convertible interest-bearing certified commercial bonds to bearer of BO-02 series totaling 3 billion rubles. The circulation period is 3 years, subject to a two-year offer.

Information on the current bonds issues

Name: Interest-bearing certified bonds to bearer, issue 01 (series BO-01)

State registration number: 4В02-01-50038-А of 29/04/2010

ISIN code: RU000A0JQWZ2

Circulation period: 3 years

Placement type: Public offering

Issue Managers: Bank of Moscow OJSC

Trading floor, listing category: MICEX (quotation list B) and OTC market

Coupon: 1–4 coupons - 11.75% per annum, 5–6 coupons - as defined by the Company

Coupon frequency: Twice a year

Maturity date: 18/06/2013

Flotation date: 22/06/2010

Put option: 2 years

Issue amount, bonds : 2,000,000

Par value, RUR: 1,000

 

Name: Interest-bearing certified bonds to bearer, issue 02 (series BO-02)

State registration number: 4В02-01-50038-А of 29/04/2010

ISIN code: RU000A0JR233

Circulation period: 3 years

Placement type: Public offering

Issue Managers: Bank of Moscow OJSC and JSB IBRD

Trading floor, listing category: MICEX (Unlisted securities) and OTC market

Coupon: 1–4 coupons - 10.75% per annum, 5–6 coupons - as defined by the Company

Coupon frequency: Twice a year

Maturity date: 07/10/2013

Flotation date: 11/10/2010

Put option: 2 years

Issue amount, bonds: 3,000,000

Par value, RUR: 1,000

 

 

Credit Ratings

Rating Agency Rating Outlook Effective

Fitch Ratings

B-

Negative

08.02.2011

Moody’s

B3 Negative

21.02.2011