20.08.2021

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. 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.
1.8. Date of an event occurrence (material fact), about which the message was compiled (if applicable)
20.08.2021
2. Statement content
2.1. Kind, category (type), series and other identification features of the issuer's securities for which income is accrued:
Exchange-traded debentures interest-bearing non-convertible bearer bonds with mandatory centralized storage of series 001P-03 (hereinafter – Exchange-Traded Bonds) placed within The program of exchange bonds with identification number 4-65116-D-001P-02E as of 08.02.2017.
International security identification code (number) (ISIN):
RU000A101FY1.

2.2. The state registration number of the issue (additional issue) of the issuer's securities and the date of its state registration (identification number of the issue (additional issue) of the issuer's securities and the date of its assignment if, in accordance with the Federal Law "On the Securities Market", the issue (additional issue) of the issuer's securities is not subject to state registration):
the Identification number of the issue No. 4B02-03-65116-D-001P as of 17.02.2020.

2.3. Reporting (coupon) period (year; 3, 6, 9 months of the year; another period; dates of coupon period starts and ends), for which the income on the Issuer’s securities was paid:
Third coupon period:
commencement date of the third coupon period - 19.02.2021;
expiration date of the third coupon period - 20.08.2021.

2.4. The total amount of accrued (payable) income on the issuer's securities and the amount of accrued (payable) income per one issuer's security; the total amount of interest and (or) other income to be paid on the issuer's bonds of a certain issue (series), and the amount of interest and (or) other income to be paid on one bond of the issuer of a certain issue (series) for the corresponding reporting (coupon) period) :
Total accrued (payable) income:
306,700,000.00 rub. (Three hundred six million seven hundred thousand rubles).
The amount of payable income per one bond – 6,15 (Six-point fifteen hundredths) per cent per annum, 30,67 rubles (thirty rubles sixty-seven cents) per one bond.

2.5. The total number of the Issuer’s securities (number of the Issuer's shares of the corresponding category (type); the number of bonds of the relevant issue (series), the payable income):
10 000 000 (Ten million) bonds, 001Р-02 series.

2.6. Form of payment of income on the issuer's securities (cash, other property):
Cash.

2.7. The date on which persons who were entitled to receive income paid on the Issuer's securities were determined:
August 19, 2021 (end of the trading day).

2.8. The date on which the obligation for income payment on the issuer’s securities (dividends on shares, incomes (percentage interests, nominal value, the part of the nominal value) on bonds) must be completed, in case if the obligation to pay the income on securities must be completed by the Issuer within a certain term (period of time), the expiration date of this period:
Coupon income for the fourth coupon period is paid in August 20, 2021.

2.9. Total amount of income paid on the Issuer's securities (total amount of dividends paid on the Issuer's shares of a certain category (type); total amount of interest and/or other income paid on the Issuer's bonds of a certain issue (series) for the corresponding reporting (coupon) period):
306 700 000,00 RUB (Three hundred and six million seven hundred thousand rubles 00 cents) - coupon income for the third coupon period.
The amount of payable income per one bond – 6,15 (Six-point fifteen hundredths) per cent per annum, 30,67 rubles (thirty rubles sixty-seven cents) per one bond.

2.10. If income on the issuer's securities has not been paid or the issuer has not paid in full, the reasons for non-payment of income on the issuer's securities:
Coupon income for the third coupon period has been paid in full.
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 «20 August 20 21 stamp here» Seal 

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