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LUKOIL International Finance B.V. - Direct Payment Option

ADDITIONAL INFORMATION FOR HOLDERS OF THE NOTES ISIN XS0919504562 DUE APRIL 24, 2023


22 FEBRUARY 2023


Full announcement available via LONSE.


Also available (including procedures and forms) at Lukoil

PJSC LUKOIL (hereinafter - the Company) reminds that the holders of the U.S.$1,500,000,000 4.563 per cent. Notes of LUKOIL International Finance B.V. guaranteed by the Company due April 24, 2023 ISIN XS0919504562 can apply for redemption of their Notes on the maturity date via direct payment option.

The direct payment option implied by Condition 8 (Payments) of the Conditions of the Notes allows the Issuer fulfill its obligations to Noteholders directly without involvement of international clearing systems (Euroclear, Clearstream, DTC). The application of the direct payment option is due to the current situation when the payments on LUKOIL Group Notes made in October-November 2022 have not been properly executed to date by international clearing systems.

Direct payment will be performed in USD in full amount (including principal and final interest) as soon as the Proof of Holding as of the Record Date is received from the respective Noteholder."

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