26.01.2017

1. General information
1.1. Issuer’s full business name
Public Joint Stock Company “Moscow United Electric Grid Company”
1.2. Issuer’s shortened business name
Moscow United Electric Grid Company PJSC;
PJSC "MOESK"
1.3. Issuer’s location
Moscow, Russian Federation
1.4. Issuer’s General State Registration Number
1057746555811
1.5. Issuer’s Tax ID
5036065113
1.6. Issuer’s unique code assigned by the registration authority
65116-D
1.7. URL of the webpage provided by one of the stock market information distributors in the information and telecommunication network Internet and URL in the Internet whose electronic address includes a domain name title whereto belongs to the issuer.
2. Notice content
2. Report Contents
2.1. Kind, category (type), series and other identification characteristics of the Emitter’s securities, by which the income was accrued:
Certified, interest-bearing, inconvertible pay-to-bearer bonds, series БО-06 with obligatory centralized safe-keeping ensured, and an opportunity for advanced payment at the owner’s request and at the emitter’s discretion provided, as regards those placed by public subscription.
Issue identification number – No. 4B02-06-65116-D, dated July 9, 2013.
International code (number) of securities identification (ISIN) RU000А0JWNK1.
2.2. The state registration number of the issue (extra issue) of emitter’s securities and its state registration date (issue identification number (of extra issue) of emitter’s securities and the date of its assignment in case under the Federal Law " On Securities Market” the issue (extra issue) of emitter’s securities is not subject to the state registration):
Identification number – No. 4B02-06-65116-D, dated July 9, 2013, ISIN:
RU000А0JWNK1.
2.3. The accounting (coupon) period (year, quarter or date of coupon period beginning and expiry), which the income was paid for on the emitter’s securities:
The first coupon period:
date of beginning of the first coupon period - July 28, 2016; date of expiry of the first coupon period – January 26, .2017.
2.4. The overall amount of accrued income payable on the emitter’s securities and the amount of accrued (payable) income in terms of one emitter’s security; overall amount of interest and (or) of other-than-mentioned income payable on the emitter’s bonds of a specific issue (series), and the amount of interest and (or) other-than-mentioned income, payable on one emitter’s bond of a specific issue (series) for the respective accounting (coupon) period:
The overall amount of accrued (payable) income is.
240 600 000.00 rbls. (two hundred and forty million, six hundred thousand roubles 00 copecks).
The amount of income payable as to one bond is 9.65 (nine integers sixty five one hundredths) of annual interest rate (in terms of roubles – 48.12rbls. (forty eight roubles, twelve copecks) per one stock exchange bond.
2.5. The total quantity of emitter’s securities (number of the emitter’s stocks of the respective category (type); number of bonds of the respective issue (series), the yield on which is payable):
5 000 000 (Five million) pieces, series БО-06.
2.6. Form of income outpayment on the emitter’s securities (monetary resources, other property):
Monetary resources.
2.7. The date on which mention was made of the persons, who had the right to receive income paid on the emitter’s securities:
January 25, 2017 (end of transaction day).
2.8. The date, when the obligation of payment on the emitter’s securities income (stock dividend, income (interest, nominal value, part of nominal value) as to bonds must be fulfilled, while in case the obligation of payment of income on securities must be fulfilled by the emitter within a specified period of time , (time period), - the expiry of that period:
Coupon profit for the first coupon period is paid on January 26, 2017.
2.9. The overall amount of income paid out on the emitter’s securities (overall amount of dividend paid out on the emitter’s stocks of a specific category (type); overall amount of interest and (or) other income paid out on the emitter’s bonds of a specific issue (series) for the respective accounting (coupon) period):
240 600 000,00 ( Two hundred and forty million, six hundred thousand roubles 00 copecks) coupon yield for the first coupon period.
2.10. In case the income on the emitter’s securities is not paid by the emitter or is not paid by the emitter in full, the cause of failure to pay income on the emitter’s securities:
Coupon profit for the first coupon period has been paid in full .

3. Signature
3.1. Corporate Secretary, acting
in accordance with Power of Attorney
№2-2883 dated 08 Jule, 2016
______________ A.N. Svirin
(signature)
3.2. Date «26» January 2017 year

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