Investor kit

Investor kit

IR Calendar 2022

Data

Event

January

1 01/12/2022 Distributing income on series 002P-01 exchange-traded bonds (3 coupon period) 

2 01/14/2022

Publication of the list of affiliates (as of 31/12/2021) 

February

3 02/18/2022

Publication of FY2021 RAS Financial statements 

March

4 03/05/2022

Publication of FY2021 IFRS audited Financial statements 

5 03/29/2022

Distributing income on series 003P-01 exchange-traded bonds (5 coupon period)  

April

6
04/01/2022

Distributing income on series 001Р-03R exchange-traded bonds (8 coupon period) 

7

april

The analyst day and investor of the group of companies of Gazprom energoholding

8

april

Publication of the Issuer's report for the 2021 
9

04/28/2022

Publication of RAS for 3 months 2022 

May

10

may

Publication of information on convening the Annual General Shareholders Meeting:
date and time of holding, closing date of register of shareholders

11 

may

Publication of 3M2022 IFRS Financial statements

June

12

june

Annual General Shareholders Meeting

13

june

Publication of Annual Shareholders' Meeting results

14

june

Publication of Annual report 2021

15 06/28/2022

Distributing income on series 003P-01 exchange-traded bonds (6 coupon period)

July

16 07/07/2022

Publication of the list of affiliates (as of 31/06/2022)

17 07/13/2022

Registration of issue of the exchange-traded bonds series 002P-01 (4 coupon period)

18

july

Publication of RAS for 6 months 2022

August

19

august

Publication of 6M2022 IFRS Financial statements

September

20

september

Publication of the Issuer's report for 6 months of 2022

21

09/27/2022 Distributing income on series 003P-01 exchange-traded bonds (7 coupon period)
22 09/30/2022  Distributing income on series 001Р-03R exchange-traded bonds (9 coupon period)

October

23

october

Publication of RAS for 9 months 2022

November

24

november

Publication of 9M2022 IFRS Financial statements

December

25

december

Energy Day of the Gazprom Energoholding Group of Companies

26 12/27/2022

Distributing income on series 003P-01 exchange-traded bonds (8 coupon period)