Admitting BPS-Sberbank’s bonds to placement and trading
Admitting BPS-Sberbank’s bonds to placement and trading

In accordance with BPS-Sberbank’s statements as of 10.14.2019 No. 06/03-20/2953 and No. 06/03-20/2954 and with paragraphs 20 and 34 of the BCSE Listing Rules approved by the minutes of the BCSE Supervisory Board as of 11.09.2017 No. 23:

1. Bonds with the following parameters have been admitted to placement in a forward mode since 18.10.2019:

Issuer

Securities

Issue code

Period of placement

1

BPS-Sberbank, JSC

interest, inscribed, book-entry  bonds

BY52802С5416

18.10.2019;

18.10.2019-01.09.2026

 

2. Bonds with the following parameters are admitted to trading and included into the list of out-of-list securities:

Issuer

Securities

Issue code

Period of trading

1

BPS-Sberbank, JSC

interest,inscribed, book-entry bonds

BY52802С5416

18.10.2019-01.10.2026

3. The BCSE trading system will not provide centralized calculation of yield, current value, accumulated interest (coupon) yield and other price rates and indicators required for transactions with these bonds (Issue code BY52802С5416).