Information
| • Loan: | Rosneft, 7.2008 |
| • Country: | Russia |
| • Status: | Granted |
| • Type of placement: | Syndication |
| • Amount, USD: | 2 850 000 000 USD |
| • Margin: | LIBOR+1.25% |
| • Calculated rate at closing of syndication: | 4.04% |
| • Ending date of syndication: | july 2008 |
| • Maturity of the credit: | 60 months |
| • Maturity date: | july 2013 |
| • lead arranger(s) / bookrunner (s): | Deutsche Bank |
| • Other members of the syndicate: | Santander, Bayerische Hypo-und Vereinsbank AG, BNP Paribas, Commerzbank Aktiengesellschaft, HSH Nordbank AG, ING Bank N. V., OJSC Orgresbank (Nordea group), Sumitomo Mitsui Finance Dublin Ltd., BP Oil International, Royal Bank of Scotland plc, Shell International Trading and Shipping Ltd. Vitol S. A. |
| • Purpose of loan: | Refinancing |
Structure and type of loan |
| • Term loan | |
| • Secured | |
Investment banks |
Lead manager: Deutsche Bank
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Issuer
Other loans:
Rosneft, 2.2008
Rosneft, 7.2007
All loans of borrower
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