Issue information:

• Issuer, issue number: VimpelCom-Invest, 1
• Income calculation:
Date of trades
Price %
• Type of bond: Domestic bonds
• Issue status:outstanding
• Offering:public
• Par, currency of issue:RUR, 1000
• Amount:10 000 000 000
• Registration date:Aug 23 2007
• State registration number:4-01-36281-R
• ISIN:RU000A0JPX45
• Start of placement:Jul 25 2008
• End of placement:Jul 25 2008
• Date of circulation start:Aug 22 2008
• Issue price:100
• Coupon:1 coupon - at auction. Coupons 2-10 - in accordance with issue documents
• Coupon frequency:2 time(s) per year
• Settlement date:Jul 25 2008
• Maturity date:Jul 19 2013
• Early redemption terms:In accordance with issue documents, at par,
date: 26.01.10, price: 100.
• Arrangers:Arrangers: Raiffeisenbank, Troika Dialog
• Trading floor, listing category: MICEX
• Issue ratings: (rating history)
Standard&Poor's BB+ Int. Scale (foreign curr.) 07/04/2008
• Guarantors: VimpelCom
• Additional information:Guarantor - VympelCom
• Investment banks: Lead manager(s):
 Troika Dialog Investment Company
 Raiffeisen Bank

Co-lead manager(s):
BSGV
Region Group
Deutche Bank Russia
Dresdner Kleinwort Russia
 Kapital IG
 FK URALSIB
ING Wholesale Banking Russia

Underwriter(s):
Rossiyskiy Credit Bank
Ñommerzbank (Eurasija)
Standard Bank Moscow
Transcapitalbank
UniCredit Bank

Co-underwriter(s):
HSBC Bank (RR)
 TRUST Investment Bank
 Renaissance Capital
Promsvyazbank
Bank Saint Petersburg
PROJECT FINANCING BANK
 Bank of Moscow
 AK BARS Bank
 Absolut Bank
The Royal Bank of Scotland ZAO

Borrower:

• Issuer: VimpelCom-Invest
• List of affiliated companies: VimpelCom, Vimpelcom Finance
• Full issuer name: VimpelCom-Invest
• Country:Russia
• Web site:http://www.beeline.ru/vc/vcinvest/
•Other issues of the issuer (including related companies issues):  VimpelCom-Invest, 2 - Domestic bonds
• Issuer profile:VimpelCom-Invest is a part of VimpelCom Group. ...
• Industry:Communication

Complete profile

Financial accounting:

Quarterly FFMS Reports:

20071 Q.2 Q.3 Q.4 Q.

Trading info (MICEX, Dec 31 2008):

Quote bid/offer: 88.01/90.6
Yield to put bid/offer: 23.58%/20.17%
Weighted average price (Dec 31 2008): 90.57
Offert yield to put (Jan 26 2010), WA price : 20.21%

Trading info, archive >>>

Payment schedule:

Date Coupon, % p.a. Coupon size, RUR Par redemption, RUR Notes
23.01.2009 9.05 45.13
24.07.2009 9.05 45.13
22.01.2010 9.05 45.13
23.07.2010 The rate is set by issuer
21.01.2011 The rate is set by issuer
22.07.2011 The rate is set by issuer
20.01.2012 The rate is set by issuer
20.07.2012 The rate is set by issuer
18.01.2013 The rate is set by issuer
19.07.2013 1000 The rate is set by issuer

COMMENTS:

26.11.08  FK URALSIB: Dollar loses ground to bounce back?-Eurobonds close up-Ruble funding costs drop-Busy day for first-tier-A day without a default. Comments: LSR, Vimpelcom BONDS|MM|CURR