STATEMENT OF MATERIAL FACT Stages of Issuer Securities Placement

1. General information

1.1. Full name of the Issuer

Public Joint Stock Company Mining and Metallurgical Company Norilsk Nickel

1.2. Address of the issuer, listed in the Unified State Register of Legal Entities

1 ul. Morozova, Dudinka, Taimyr Dolgano-Nenets District, Krasnoyarsk Krai, 647000

1.3. Primary State Registration Number of the Issuer (OGRN)

1028400000298

1.4. Taxpayer Identification Number of the Issuer (INN)

8401005730

1.5. Unique code assigned to the Issuer by the Bank of Russia

40155-F

1.6. Internet website used by the issuer to disclose information

http://www.e-disclosure.ru/portal/company.aspx?id=564https://www.nornickel.ru/investors/disclosure/nornickel-disclosure/

1.7. The date of the event (material fact) in respect of which the statement was made

26/03/2024

2. Subject matter

Information on end of securities floatation

2.1. Identification properties of the securities: exchange-traded non-convertible interest-bearing uncertificated bonds of PJSC MMC Norilsk Nickel series БО- 001Р -07 par value of RUB 1,000, floated under a public offering under Exchange Bond Program Series 001R, identification number 4-40155-F-001P-02E dated November 30, 2018, assigned by PJSC Moscow Exchange, issue registration number 4B02-07-40155-F-001P dated 21/03/2024 (Exchange-Traded Bonds Series BO-001P-07).

International Securities Identification Number (ISIN): classification of financial instruments (CFI): DBVUFB

RU000A1083A6

2.2 Maturity or maturity determination procedure of the bonds or options of the Issuer or details specifying that the maturity of bonds is not to be determined (for bonds without maturity):

The Exchange-Traded Bonds Series БО-001Р -07 are subject to redemption of the unpaid portion of the nominal value at the date falling on the 1800th day from the Exchange-Traded Bonds БО-001Р -07 floatation start date. Dates of beginning and end of the Exchange-Traded Bonds Series БО-001Р -07 maturity match.

2.3. Entity responsible for registering the issue (secondary issue) of securities (Bank of Russia, registering organization):

registering organization - Public Joint-Stock Company Moscow Exchange MMVB-RTS (PJSC Moscow Exchange).

2.4 Face value (for shares and bonds) per security: RUB 1,000.

  • 2.5. Method of securities placement: public offering.

  • 2.6. Date of actual start of securities placement (date of the first transaction for disposal of securities to the first owner):

26/03/2024

2.7. Date of actual end of securities floatation (date last entry on account (custodian account) of the initial holder, and if not all the securities in the issue (secondary issue) were offered - date of set timeline for offering of securities): 26/03/2024

2.8 Number of actually placed securities: 100,000,000 securities.

2.9. Share of the actually placed securities as percentage of the overall number of securities in the issue (additional issue) to be placed: 100%.

2.10. Actual offer price(s) and the number of securities offered at each of the prices: at offering price of RUB 1,000, which amounts to 100% from face value of Exchange-Traded Bond Series БО-001Р -07, 100,000,000 of Exchange- Traded Bond Series БО-001Р -07 were floated.

2.11. Form of payment of the placed securities and if the placed securities have been paid with cash or other property (non-monetary assets)- specify the number of the offered securities paid with cash and the number of the offered securities paid with other property (non-monetary assets):

In cash in Russian rubles 100,000,000 securities of the Exchange-Traded Bond Series БО-001Р -07 were paid for.

Director,

Corporate Relations Department

(Power of Attorney No. GMK-115/87-nt dd. 10/07/2023)

N.Yu. Yurchenko

March 26, 2024

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Disclaimer

OJSC MMC Norilsk Nickel published this content on 26 March 2024 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 28 March 2024 13:15:04 UTC.