Update on clarification regarding the coupon payment for the 5.375% Eurobond 2023
22 March 2022 - further to the announcement made on 21 March 2022, EVRAZ plc (the "Issuer", the "Company") wishes to communicate that the Bank of New York Mellon, London Branch (the "Principal Paying Agent"), informed the Issuer that the amount for a regular coupon payment due on 21 March 2022 under outstanding principal amount of US$704,099,000.00 Notes due 2023 is now settled with the relevant account of the Principal Paying Agent.
The Company is fully committed to fulfil its payment obligations due on 4 April 2022 under its $700,000,000.00 Notes due 2024.
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For further information:
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Investor Relations:
+7 495 232 1370
+44 207 290 1095
ir@evraz.com
Media Relations:
+7 495 937 6871
+44 207 290 1096
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