Light Line
8 800 220-0-220 Contact CenterOn the process stages of the Issuer's securities issue Information on the state registration of the issue (additional issue) of securities
18.09.2020
1. General information
|
|
1.1. Issuer’s full business name
|
Public Joint-Stock Company "Rosseti Moscow Region"
|
1.2. Issuer’s shortened business name
|
PJSCompany "Rosseti Moscow Region" |
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. Web page in the Internet used by the issuer for information disclosure.
|
|
1.8. Date of an event occurrence (material fact), about which the message was compiled (if applicable)
|
09/18/2020
|
2. Statement content
|
|
2.1. Kind, category (type), series and other identification signs of securities:
exchange interest-bearing non-convertible uncertificated bonds with centralized accounting of the rights of 001P-03 series of PJSC MOESK, placed by public subscription under the Program of Exchange-traded bonds, identification number 4-65116-D -001P-02E dated 02/08/2017, assigned by the PJSC Moscow Exchange (hereinafter referred to as the Exchange-traded bonds), the International Securities Identification Code (Number) of (ISIN) is not assigned as of the date of disclosure.2.2. Repayment period (for bonds and options of the Issuer): 3640 (Three thousands six hundreds fortieth) day from the date of the beginning of the placement of the Commercial papers.2.3. State registration number of the issue (additional issue) of securities and the date of state registration: Registration number of the issue of securities and the registration date 4B02-04-65116-D-001P dated September 18, 2020.2.4. Name of the registering authority that performed the state registration of the issue (additional issue) of securities: Name of the registering authority that carried out the state registration of the securities issue (additional issue):2.5. The number of securities to be placed and the par value (if the presence of the nominal value is stipulated by the legislation of the Russian Federation) of each security to be placed:The number of placed Exchange bonds will be indicated in the document containing the conditions for the placement of securities (hereinafter - the Terms of securities placement). The nominal value of each security in the issue:2.6. The method of placing securities, and in the case of placing securities through a closed subscription, also a circle of potential purchasers of securities: Open subscription.2.7. In case of providing to the shareholders (participants) of the Issuer and (or) other persons the pre-emptive right for securities acquisition, information about this circumstance and the date on which the persons who have the prerogative right to purchase the securities placed are determined (fixed): not applicable.2.8. The placement price of securities placed by subscription, or the procedure for determining it or information that the specified price or procedure for determining it will be established by the Issuer's authorized management body after state registration of an issue (additional issue) of securities and not later than the starting date of the placement of securities: The price of placement of the Exchange bonds will be indicated in the Terms of securities placement.2.9. The term of securities placement or the procedure for its determination: The term of placement of Exchange bonds will be indicated in the Terms of securities placement.2.10. The fact of registration (lack of registration) of the securities prospectus simultaneously with the state registration of the issue (additional issue) of these securities: the Exchange was provided with the securities prospectus at the stage of assigning an identification number to the Program of Exchange bonds.2.11. In case of registration of a securities prospectus, the procedure for providing access to the information contained in a securities prospectus: The securities prospectus (hereinafter - the Prospectus) is disclosed by the Issuer at:2.12. If securities of the issue (additional issue) admitted (allowed) to organized trading are placed by a public subscription with their payment by money or securities admitted to organized trading, the information on the intention of the Issuer to provide to the registration body after the completion of the placement of securities a report on the outcome of the issue (additional issue) of securities or Statement of the results of the issue (additional issue) of securities: not applicable for Exchange bonds. |
|
3. Signature
|
|
3.1. Corporate Secretary, acting on authority with the warranty of authority No.77/555-n/77-2020-2-1455 from 29.04.2020
|
______________ A.N. Svirin
|
(signature)
|
|
3.2. Date «18 of September, 2020» Seal
|