RusHydro starts paying out as part of redemption of Eurobond issue

03.10.2022

On September 28, 2022, RusHydro paid the face value and coupon income for the last coupon period on the issue of rouble-denominated Eurobonds with a nominal volume of RUB20 billion maturing on September 28, 2022 (ISIN: XS1691350455) to Russian holders of Eurobonds, whose rights are recorded in NPO NSD.

The payments...