Corporate Governance and Securities of the Company

Securities. Capitalization. Indicators for 2010


JSC "Lenenergo" was one of the first distribution grid companies to perform the procedure of listing of its shares at the MICEX and RTS Stock Exchanges.

Historical Overview
(Quotation of shares at MICEX and RTS Stock Exchanges)
Event (date)
RTS Stock Exchange
Ordinary shares
Start of trades 01.09.1995
Included in Quotation List B 25.12.2007
Included in Quotation List A2 02.02.2009
Preferred shares
Start of trades 19.09.1996
Included in Quotation List B 25.12.2007
Included in Quotation List A2 02.02.2009
MICEX Stock Exchange
Ordinary shares / Preferred shares
Start of trades 16.07.2003
Included in Non-listed securities of MICEX Stock Exchange 31.12.2004
Included in Quotation List B 27.12.2007

JSC "Lenenergo" shares were admitted for trade at the RTS and MICEX Stock Exchanges without a listing procedure up to December 2007.

JSC "Lenenergo" was the first among Russian electric grid companies with its shares to be included into Quotation List A2.


Name Ticker RTS MICEX
Ordinary shares SNG/ LSNGG 926,021,679 and 4/100 926,021,679 and 4/100
A-type preferred shares LSNGP/LSNGPG 93,264,311 93,264,311
Start of trades (Ord./Pref.) 23.11.2004 16.07.2003

With a view of compliance with the requirements of stock exchanges on maintenance of shares in Quotation lists B and A2, JSC "Lenenergo" constantly performs monitoring of trades of the Company’s shares at stock exchanges, interaction with the Market-maker of the Company, RTS and MICEX Stock Exchanges.


Global Depositary Receipts


At present, the Company participates in four Global Depositary Receipt programs:

No. Type of Security Program Date of Start Ratio Number
of receipts
1 Ordinary shares 144А 24.10.2008 1:10 0 pcs.
2 Preferred shares 144А 28.10.2008 1:10 0 pcs.
3 Ordinary shares Reg S 24.10.2008 1:10 7,496 pcs.
4 Preferred shares Reg S 28.10.2008 1:10 0 pcs.

Depositary bank – The Bank of New York Mellon


Bonds


Non-convertible certified interest 02 series bonds payable to bearer with obligatory centralized custody.

Type, category, form Number, pcs. Par Value, RUR Registration Date State Number Series Redemption period
Bonds payable to bearer, certified 3,000,000 1,000.00 14.11.2006 4-02-00073-А 02 27.01.2012

Non-convertible certified interest 03 series bonds payable to bearer with obligatory centralized custody.

Type, category, form Number, pcs. Par Value, RUR Registration Date State Number Series Redemption period
Bonds payable to bearer, certified 3,000,000 1,000.00 27.03.2007 4-03-00073-А 03 18.04.2012

Capitalization of the Company on Stock Exchanges

Stock Exchange (Capitalization) 2008 2009 2010 Growth, %
MICEX, RUR mln 12,434 25,571 27,372 107.0
RTS, RUR mln 11,739 25,703 27,516 107.1

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