September 5, 2007
1. General information. | |
1.1. Full official name of the issuer (name for non-commercial organisation) | Bank Vozrozhdenie |
1.2. Abbreviated official name of the issuer | V. Bank |
1.3. Residence of the issuer | 7/4, Luchnikov pereulok, building 1, Moscow, 101999, Russian Federation |
1.4. Basic state registration number of the issuer | 1027700540680 |
1.5. Taxpayer identification number of the issuer | 5000001042 |
1.6. Unique code attributed to the issuer by registration authority | 1439 |
1.7. Address of web site used by the issuer for disclosure of information: | |
2. Content of information |
2.1. Kind, category (type), series and other identification requisites of securities. Interest-bearing non-convertible secured documentary bonds of series 01 payable to bearer with obligatory centralized keeping and without option of early redemption with maturity of 1092 (one thosand ninety two) days from the initial date of bond issue. 2.2. State registration number of securities issue and date of state registration 40101439Âdated February 8, 2007. 2.3. Name of the registration authority that registered the securities issue. Central Bank of Russian Federation. 2.4. Governing body of the issuer adopting resolution to determine the size of interest (coupon) rate on bonds of the issuer. The level of the interest (coupon) rate is determined according to the Decision about the securities’ issue and the Prospectus of the securities’ issue, adopted by the Board of Directors of Bank Vozrozhdenie on December 29, 2006 (Minutes No6 dated December 29, 2006). The rate of the first coupon at the level 8.95 (eight and ninety five hundredth) percent per annum was approved by the Management Board of Bank Vozrozhdenie (Minutes No9 dated March 7, 2007). 2.5. Date of adopting resolution on size (the order of determining the size) of interest (coupon) on bonds of the issuer March 7, 2007 2.6. Date of drawing up the Minutes of competent governing body of the issuer adopting resolution to define the interest (coupon) rate for the bonds of the issuer. March 7, 2007 2.7. Total amount of interest or other income to be paid on the bonds of the issuer: 133,890,000.00 (One hundred thirty three million eight hundred ninety thousand) rubles. The volume of interest and/or other income to be paid on the one bond of the issuer: 44 (Forty four) rubles 63 kopeks. 2.8. Form of income to be paid on securities of the issuer. Payment in rubles of Russian Federation by funds transfer. 2.9. Date of obligation to pay income on securities of the issuer (income on bonds) fulfillment or the final date of a fixed term (period) in case if a certain term was set for fulfillment of obligation to pay income on the securities by the issuer: September 5, 2007. 2.10. Total amount of income paid on the issuer’s bonds of a certain issue (series). 133,890,000.00 (One hundred thirty three million eight hundred ninety thousand) rubles.
|
3.1. Deputy Chairman of the Management Board | (signature) | A. V. Dolgopolov |
| 3.2. September 05, 2007 | Stamp |
← Previous
Next →