26.08.2019

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.
1.8. Date of an event occurrence (material fact), about which the message was compiled (if applicable)
August 26, 2019
2. Notice content
2. Statement content
August 26, 2019
2.1. Type, category (class), series and other identification features of the issuer's securities, for which income is accrued:
Documentary interest-bearing non-convertible bearer exchange bonds of the BO-9 series with mandatory centralized storage, with the possibility of early redemption at the request of the owners and at the discretion of the issuer, placed by public subscription. Identification number No. 4B02-06-65116-D dated July 09, 2013 International Securities Identification Code (Number) (ISIN):
RU000A0JXJS0.
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 "On the Securities Market", the issue (additional issue) of the issuer's securities are not subject to state registration):
Identification number No. 4B02-09-65116-D dated July 09, 2013, ISIN:
RU000A0JXJS0.
2.3. Reporting (coupon) period (year; 3, 6, 9 months of the year; another period; start and end dates of the coupon period) for which income was paid on the issuer's securities:
Fifth coupon period:
start date of the fifth coupon period - February 25, 2019;
end date of the fifth coupon period - August 26, 2019.
2.4. The total amount of interest and (or) other income to be paid on the bonds of the issuer 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 amount of accrued (payable) income:
456,200,000 rub. (four hundred fifty six million two hundred thousand) rubles. The amount of income payable per bond is 9.15 (nine point 15 hundredths) percent per annum (45.62 (forty-five rubles sixty-two kopecks) per exchange bond.
2.5. The total number of securities of the issuer (the number of shares of the issuer of the corresponding category (type); the number of bonds of the corresponding issue (series), income on which was payable):
10,000,000 (Ten million) pieces, BO-09 series.
2.6. Form of payment of income on the issuer's securities (cash, other property):
Cash.
2.7. The date on which the persons entitled to receive income paid on the issuer's securities were determined:
August 23, 2019 (end of the trading day).
2.8. The date on which the obligation to pay income on the issuer's securities (dividends on shares, income (interest, nominal amount, part of the nominal amount) on bonds) must be fulfilled, and if the obligation to pay income on securities must be fulfilled by the issuer within a certain period (time period), the expiration date of this period:
Coupon income for the fifth coupon period is paid on August 26, 2019.
2.9. The total amount of income paid on the issuer's securities (the total amount of dividends paid on the issuer's shares of a certain category (type); the 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):
456,200,000 rub. (four hundred fifty six million two hundred thousand) rubles, coupon income for the fifth coupon period.
2.10. If the income on the issuer's securities is not paid in full by the issuer, the reasons for non-payment of income on the issuer's securities in full are:
Coupon income for the fifth coupon period is paid in full.
.
3. Signature
3.1. Corporate Secretary, acting in accordance with Power of Attorney No. 77/555-n/77-2018-5-238 dd 15.05.2018
______________ A.N. Svirin
(signature)
3.2. Date «26» August 2019 year

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