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Payment of interest and maturity of Unipetrol’s bond nominal value

16-12-2013  

UNIPETROL, a.s. announces the payment of interest for 2013 in the amount of CZK 254 080 555.60 and maturity of the bond with the nominal value of CZK 2 000 000 000.00 payable on 28 December 2013.
 
Administrator of the payment is:
 
The Royal Bank of Scotland plc
Jungmannova Plaza
Jungmannova 745/24
111 21 Prague 1
Czech Republic
 
 
The bond UNIPETROL VAR/13 (ISIN CZ0003501041) was issued on 28 December 1998 with maturity on 28 December 2013 and interest rate of 12.53% p.a.
 
In Prague, 16 December 2013
UNIPETROL, a.s.
Reg. Announc. No. 26/2013

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