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Eurobonds Seventh Continent, 2007 (CLN)
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Issue information:

• Issuer, issue number: Seventh Continent, 2007 (CLN)
• Income calculation: Enter issue price %
• Type of bond: Eurobonds-CLN
• Issue status:redeemed
• Currency:USD
• Amount:90 000 000
• ISIN:XS0230581620
• Start of placement:Sep 2005
• End of placement:Sep 21 2005
• Issue price:100
• Coupon:7.25%
• Coupon frequency:1 time(s) per year
• Settlement date:Sep 27 2005
• Maturity date:Sep 27 2007
• Early redemption terms:1 year put/call at 100% ,
date: 27.09.06, price: 100.
• Arrangers:Lead: MDM Bank
• Additional information:Issuer: Drezdner Bank AG (London)
• Investment banks: Lead manager:
 MDM Bank

Borrower:

• Issuer: Seventh Continent
• Full issuer name: open joint stock company The Seventh Continent
• Country:Russia
• Web site:http://www.7cont.ru/
•Other issues of the issuer:  Seventh Continent, 2 - Domestic bonds
 Seventh Continent, 1 - Domestic bonds
• Issuer profile:About company JSC “The Seventh Continent” was established in 1994 and today is an international retail chain and one of the leading Russian national chains. The Company operates in two major formats: ...
• Industry:Trade
Issuer ratings: » rating history

National Rating Agency A National scale (Russia) 02/15/2007

Complete profile

Financial accounting:

RAS
2008 1Q. 2Q. 3Q. 4Q.
2007 1Q. 2Q. 3Q. 4Q.
2006 1Q. 2Q. 3Q. 4Q.
2005 1Q. 2Q. 3Q. 4Q.
2004 1Q. 2Q. 3Q. 4Q.

Quarterly FFMS Reports:

20081 Q.2 Q.3 Q.4 Q.
20071 Q.2 Q.3 Q.4 Q.
20061 Q.2 Q.3 Q.4 Q.
20051 Q.2 Q.3 Q.4 Q.
20041 Q.2 Q.3 Q.4 Q.

Trading info (OTC Market, Aug 24 2007):

Quote bid/offer: 99.75/100.13
YTM bid/offer: 7.46%/7.08%
YTM: 7.27%

Trading info, archive >>>

Payment schedule:

Date Coupon, % p.a. Coupon size, USD Par redemption, USD Notes
21.09.2006 7.25 72500
21.09.2007 7.25 72500
21.09.2008 7.25 72500 1000000




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