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Issuer Metinvest B.V.
Notes U.S. $85,238,250 10.25 per cent. Guaranteed Notes due 2016
Maturity Date 31 January, 2016
Trustee BNY Corporate Trustee Services Limited
Principal Paying, Transfer and Conversion Agent The Bank of New York Mellon
Registrar The Bank of New York (Luxembourg) S.A.
Interest The Notes will bear interest from 20 May 2010 at a rate of 10.25 per cent per annum payable semi-annually in arrear on 20 November and 20 May in each year, commencing on 20 November 2010
Form and Denomination The Notes are in registered form in the denomination of U.S.$100,000 each and integral multiples of U.S.$1,000 in excess thereof.
Security Codes Regulation S ISIN: XS0511379066
Regulation S Common Code: 051137906
Rule 144A ISIN: US591555AA54
Rule 144A Common Code: 051137922
Rule 144A CUSIP: 591555AA5
Prospectus Prospectus
As of 18 May 2010
Information contained in this Offering Memorandum (“Prospectus”) has been prepared using information available as of 18 May 2010 (“Publication Date”). The information contained in this Prospectus is valid only as of the Publication Date.