31.05.2022

1. General Information
1.1. Issuer’s full company namePublic Joint-Stock Company "Rosseti Moscow Region"
1.2. Issuer's address specified in the Unified State Register of Legal Entities115114, Moscow, 2nd Paveletsky pass., 3, bld. 2
1.3. Primary State Registration Number (OGRN) of the Issuer1057746555811
1.4. Taxpayer Identification Number (TIN) of the Issuer5036065113
1.5. Unique Issuer Сode assigned by the Bank of Russia65116-D
1.6. Internet page address used by the Issuer to disclose informationhttp://www.e-disclosure.ru /portal/company.aspx?id=5563; http://www.rossetimr.ru
1.7. Date of occurrence of the event (material fact) about which the message was drawn up5/31/2022
2. Statement content
2.1. Kind, category (type), series (if any) and other identification features of the Issuer's securities specified in the decision on the issue of securities for which income was paid:
Exchange-traded documentary interest-bearing non-convertible bearer bonds with mandatory centralized storage of БО-05 series (hereinafter referred to as Exchange-Traded Bonds) placed within the Exchange Bonds Program with identification number 4B02-05-65116-D, dated July 9, 2013.
International Securities Identification Code (Number) (ISIN):
RU000A0JWJX2.
2.2. Registration number of the issue (additional issue) of securities and the date of its registration:
Identification number of the issue No. 4B02-05-65116-D dated July 9, 2013.
2.3. Category of payments on the Issuer's securities and (or) other payments due to the holders of the Issuer's securities (dividends on shares; interest (coupon income) on bonds; nominal value (part of the nominal value) of bonds; other payments):
interest (coupon income) on bonds.
2.4. Reporting (coupon) period (one year; 3, 6, 9 months within one year; other period; start and end dates of the coupon period) for which income was paid on the Issuer's securities:
Twelfth coupon period:
start date of the twelfth coupon period - 11/30/2021;
end date of the twelfth coupon period - 5/31/2022.
2.5. The total amount of income paid on the Issuer's securities, as well as other payments due to the owners of the Issuer's securities:
209,400,000.00 rubles. (Two hundred nine million four hundred thousand rubles 00 kopecks).
2.6. Amount of income paid, as well as other payments per one security of the Issuer:
Amount of income payable per bond – 8.40% (eight point forty hundredths) per annum, 41.88 rubles (forty-one rubles eighty-eight kopecks) per exchange-traded bond.
2.7. The total number of the Issuer's securities (the number of the Issuer's shares of a certain category (type); the number of bonds of a certain issue), on which income and (or) other payments were made:
5,000,000 (Five million) pieces, series БО-05.
2.8. Form of payment of income on the Issuer's securities and (or) making other payments due to the holders of the Issuer's securities (monetary means ):
Monetary means.
2.9. The date on which the persons entitled to receive dividends were determined, if the paid income on the Issuer's securities are dividends on the Issuer's shares:
May 30, 2022 (end of trading day).
2.10. The date on which the obligation to pay income on the Issuer's securities and (or) make other payments due to the owners of the Issuer's securities should be fulfilled, and if the specified obligation should be fulfilled by the Issuer within a certain period (period of time) - the end date of this term:
Coupon yield for the twelfth coupon period is paid on May 31, 2022.
2.11. The share (as a percent) of the fulfilled obligation from the total amount of the obligation to be fulfilled and the reasons for the fulfillment of the obligation not in full, if the obligation to pay income on the Issuer's securities and (or) to make other payments due to the owners of the Issuer's securities is not fulfilled by the Issuer in full:
209,400,000.00 rubles. (Two hundred nine million four hundred thousand rubles 00 kopecks) – the coupon income for the twelfth coupon period. 8.40% (eight point forty hundredths) percent per annum, 41.88 rub. (forty-one rubles eighty-eight kopecks) per exchange-traded bond.
3. Signature
3.1. Director of the Department of Corporate Governance and Shareholder Relations - Corporate Secretary (based on power of attorney No.77/555-н/77-2022-2-1274 from 18.03.2022)
(signature) A.N.Svirin
3.2. Date: The The th of May 2022 L.S.

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