Issue information:
| • Issuer, issue number: |
Gazprom, 2009 (LPN) |
| • Type of bond:
|
Eurobonds-LPN |
| • Issue status: | outstanding |
| • Par, currency of issue: | USD, 100000 |
| • Amount: | 700 000 000 |
| • ISIN: | XS0156366378 |
| • End of placement: | Oct 21 2002 |
| • Coupon: | 10.5% |
| • Coupon frequency: | 2 time(s) per year |
| • Settlement date: | Oct 21 2002 |
| • Maturity date: | Oct 21 2009 |
| • Early redemption terms: | Early redemption after 3 years of floatation, date: 21.10.05, price: 100, type: PUT. |
| • Arrangers: | Leads: Credit Swiss First Boston and Salomon Smith Barney
Senior Syndicate Co-managers: TRUST and Menatep SPb |
| • Trading floor, listing category:
|
Luxembourg S.E. |
| • Issue ratings: (rating history) |
| Standard&Poor's |
BBB |
Int. Scale (foreign curr.) |
|
| Moody's |
Baa1/Stable |
Int. Scale (foreign curr) |
07/19/2006 |
| Fitch Ratings |
BBB- |
Int. Scale (foreign curr.) |
09/08/2006 |
|
| • Files:
|
Gazprom due 2009 Issue Memorandum
|
| • Investment banks:
|
Placement participant(s): Citigroup Credit Suisse
|
|
Borrower:
Financial accounting:
Quarterly FFMS Reports:
|