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Ruble Bonds

Series ’08

Issuer Mobile TeleSystems PJSC
Country Russia
Amount 15,000,000,000
Currency RUB
Issue Date 16 November 2010
Maturity Date 03 November 2020
Coupon 1-10 coupons - 8.15%,
11-12 coupons – 10.75%,
13-14 coupons – 9.75%,
15-16 coupons –7.5%,
17-20 coupons - 7.9%
Coupon Period Semi-annual
ISIN RU000A0JR4J2

Series BO-01

Issuer Mobile TeleSystems PJSC
Country Russia
Amount 10,000,000,000
Currency RUB
Issue Date 03 April 2013
Maturity Date 22 March 2023
Coupon 1-10 coupons - 8.25%,
11-14 coupons - 6.85%,
15-20 coupons – to be determined by the issuer
Coupon Period Semi-annual
ISIN RU000A0JTTA5

Series BO-02

Issuer Mobile TeleSystems PJSC
Country Russia
Amount 10,000,000,000
Currency RUB
Issue Date 02 September 2016
Maturity Date 15 August 2031
Coupon 1-4 coupons - 9.4%
5-6 coupons - 7.85%,
7-30 coupons – to be determined by the issuer
Coupon Period Semi-annual
ISIN RU000A0JWRV9

Series 001P-01

Issuer Mobile TeleSystems PJSC
Country Russia
Amount 10,000,000,000
Currency RUB
Issue Date 10 February 2017
Maturity Date 04 February 2022
Coupon 1-10 coupons – 9%
Coupon Period Semi-annual
ISIN RU000A0JXEV5

Series 001P-02

Issuer Mobile TeleSystems PJSC
Country Russia
Amount 10,000,000,000
Currency RUB
Issue Date 30 March 2017
Maturity Date 25 March 2021
Coupon 1-8 coupons – 8.85%
Coupon Period Semi-annual
ISIN RU000A0JXMH7

Series 001P-03

Issuer Mobile TeleSystems PJSC
Country Russia
Amount 15,000,000,000
Currency RUB
Issue Date 09 November 2017
Maturity Date 03 November 2022
Coupon 1-10 coupons – 7.70%
Coupon Period Semi-annual
ISIN RU000A0ZYFC6

Series 001P-05

Issuer Mobile TeleSystems PJSC
Country Russia
Amount 10,000,000,000
Currency RUB
Issue Date 07 March 2018
Maturity Date 01 September 2021
Coupon 1-2 coupons – 7.10%
Coupon Period Semi-annual
ISIN RU000A0ZYWX7

Series 001P-06

Issuer Mobile TeleSystems PJSC
Country Russia
Amount 10,000,000,000
Currency RUB
Issue Date 07 March 2018
Maturity Date 26 February 2025
Coupon 1-14 coupons – 7.25%
Coupon Period Semi-annual
ISIN RU000A0ZYWX7

Series 001P-07

Issuer Mobile TeleSystems PJSC
Country Russia
Amount 10,000,000,000
Currency RUB
Issue Date 29 January 2019
Maturity Date 23 January 2024
Coupon 1-20 coupons – 8.70%
Coupon Period Quarterly
ISIN RU000A100238

Series 001P-08

Issuer Mobile TeleSystems PJSC
Country Russia
Amount 5,000,000,000
Currency RUB
Issue Date 22 April 2019
Maturity Date 17 October 2022
Coupon 1-14 coupons – 8.40%
Coupon Period Quarterly
ISIN RU000A100A58

Series 001P-09

Issuer Mobile TeleSystems PJSC
Country Russia
Amount 7,500,000,000
Currency RUB
Issue Date 22 April 2019
Maturity Date 14 October 2024
Coupon 1-22 coupons – 8.60%
Coupon Period Quarterly
ISIN RU000A100A66

Series 001P-10

Issuer Mobile TeleSystems PJSC
Country Russia
Amount 15,000,000,000
Currency RUB
Issue Date 03 July 2019
Maturity Date 25 June 2025
Coupon 1-24 coupons – 8.00%
Coupon Period Quarterly
ISIN RU000A100HU7

Series 001P-11

Issuer Mobile TeleSystems PJSC
Country Russia
Amount 10,000,000,000
Currency RUB
Issue Date 17 July 2019
Maturity Date 08 July 2026
Coupon 1-28 coupons – 7.90%
Coupon Period Quarterly
ISIN RU000A100L55

Series 001P-12

Issuer Mobile TeleSystems PJSC
Country Russia
Amount 15,000,000,000
Currency RUB
Issue Date 31 October 2019
Maturity Date 26 October 2023
Coupon 1-16 coupons – 6.85%
Coupon Period Quarterly
ISIN RU000A100ZK0

Eurobonds

Eurobond ’20

Issuer MTS International Funding Limited
Country Ireland
Amount 750,000,000
Currency USD
Issue Date June 2010
Maturity Date June 2020
Coupon 8.625% Fixed
Coupon Period Semi-annual
1st Coupon date 22 December 2010
Security Codes ISIN Reg S: XS0513723873
CUSIP Reg S: 55377WAA6
ISIN 144A: US55377WAA62
CUSIP 144A: 51372387
Secondary Markets Irish Stock Exchange
Payment Agent The Bank of New York Mellon
Depositary The Bank of New York Mellon

Eurobond ’23

Issuer MTS International Funding Limited
Country Ireland
Amount 500,000,000
Currency USD
Issue Date May 2013
Maturity Date May 2023
Coupon 5.00% Fixed
Coupon Period Semi-annual
1st Coupon date 30 November 2013
Security Codes ISIN Reg S: XS0921331509
Common Code Reg S: 092133150
ISIN 144A: XSUS5537WAB46
CUSIP 144A: 55377WAB4
Common Code 144A: 078394960
Secondary Markets Irish Stock Exchange
Payment Agent Deutsche Bank AG
Depositary The Bank of New York Mellon

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