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Details for securities transfer orders for Clients of Head Office

Russian securities

Московская Биржа (MOEX)

Depository: NKO AO NSD
Depositor: KIT Finance JSC
Identifier: PC0094600000
Contract between Depositor and Depository: №946/ДМС-2 от 22.12.2000
Depositary account: TL 1212070232
Nontrade section: 00000000000000000 (17 zeros) – RUB
Nontrade section: 70000000000000000 – USD
Custody account of nominal holder AS KIT Finance Europe in KIT Finance JSC: № 3163 от 23.12.2005 г.

Custodial services contract № K-___ dd ____20__


Securities traded on LSE, XETRA, American exchanges:

1. Euroclear

A. EUROCLEAR BRUSSELS, BIC: MGTCBEBE
Acc JP Morgan Chase Bank NA RE KIT Finance Europe
Acc № 13852
B. EUROCLEAR BRUSSELS, BIC: MGTCBEBE
Acc Deutsche Bank
Acc № 11224
С. For eurobonds: EUROCLEAR BRUSSELS, BIC MGTCBEBE
Acc Vneshekonombank
Acc № 25430


2. UK CREST

A. JPMorgan Chase Bank NA
Crest account № 3EMAY
B. Deutsche Bank AG (London) DEUTGB2LCUS
CREST Account 3HUAA
Account Deutsche Bank AG (Frankfurt) 390000900


3. DTC

JPMorgan Chase Bank/Correspondence Clearing services 2
1.DTC acc № 2164
Subacc № G68203
Agent Bank № 27222
Institutional Number 49024
2. DTC acc № 0997, State Street Bank and Trust Company (Boston), SBOSUS3UIMS
Subacc № BJRJ, Deutsche Bank


4. Clearstream

Clearstream Banking Luxembourg (non-domestic securities settled via CBL): CEDELULLXXX, account # 67015

Clearstream Banking Frankfurt (domestic securities): Deutsche Bank DAKVDEFFXXX, account # 7015000

For fixed-income securities: Clearstream Banking Luxembourg (non-domestic securities settled via CBL): CEDELULLXXX, account # 19261


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