Eurobonds 2023
Redeemed at maturity date
Issuer
- Metinvest B.V.
Notes
- U.S.$944,515,000 Senior Notes
Maturity Date
- 23 April 2023
Trustee
- Madison Pacific Trust Limited
Principal Paying Agent
- The Bank of New York Mellon, London Branch
Registrar
- The Bank of New York Mellon SA/NV, Luxembourg Branch
Interest rate
- 7.750% per annum
Interest Payment Date
- 23 February and 23 August
Form and Denomination
- The Notes are in registered form in the denomination of U.S.$200,000 and integral multiples of U.S.$1,000 in excess thereof
Security Codes
- ISIN Regulation S Notes: XS1806400534
- ISIN Rule 144A Notes: US591555AD93
- Common Code Regulation S Notes: 180640053
- CUSIP Rule 144A Notes: 591555 AD9
Documents
- Final Offering Memorandum (19 April 2018)
- Information contained in the final offering memorandum (“Final Offering Memorandum”) has been prepared using information available as of 19 April 2018. The information contained in the Final Offering Memorandum is valid only as of its date.
Nothing in this document constitutes an offer of securities for sale in the United States or any other jurisdiction where it is unlawful to do so. The notes have not been and will not be registered under the U.S. securities act of 1933, as amended (The “U.S. Securities Act”), or with any securities regulatory authority of any state of the United States or other jurisdiction and may not be offered, sold, pledged or otherwise transferred in the united states except pursuant to another exemption from, or in a transaction not subject to, the registration requirements of the U.S. securities act.