CONSENT TO PERSONAL DATA PROCESSING

Pursuant to Federal Law No. 152-FZ “On Personal Data” dated July 27, 2006, I hereby freely, of my own accord and on my behalf, authorize Gazprombank (Joint Stock Company) (hereinafter – the Bank), location: Moscow, address of the Bank’s management bodies: 16 Nametkina st., bldg. 1, 117420, Moscow, to process my personal data specified in this application (collection, recording, systematization, accumulation, storage, modification (updating and revision), retrieval, use, transfer, depersonalization, blocking and destruction) with/without the use of automation tools in order to process this electronic application and send/provide a reply.

Consent is provided from the date on which this application is processed and shall be valid for the period specified in the current legislation of the Russian Federation.

I have been notified that Consent to Personal Data Processing may be revoked in accordance with Part 2, Article 9 of Federal Law No. 152-FZ “On Personal Data” dated July 27, 2006. In case of withdrawal of Consent for Personal Data Processing, the Bank shall be entitled to continue processing personal data without my consent if there are grounds specified in clauses 2-11, Part 1, Article 6, Part 2, Article 10 and Part 2, Article 11 of Federal Law No. 152-FZ “On Personal Data” dated July 27, 2006.

I agree that the Bank may use the information contained in this electronic application to clarify the information provided in the application and inform about progress in the review of this application.

The Bank informs you that electronic communications sent via the Internet are transmitted via unsecured communication channels. The Bank shall not be liable for maintaining the confidentiality of data when they are transmitted via the Internet.

Eurobonds

Outstanding
Senior Bonds
Outstanding
Currency Issue
volume
Date
of placement
Maturity
date
Coupon rate,
% per annum
Periodicity
of coupon payment
ISIN
EUR 1 000 000 000 07/01/2014 07/01/2019 4,00 Annual XS1084024584
USD 750 000 000 03/05/2014 09/05/2019 4,96 Semiannual XS1040726587
Subordinated bonds
Subordinated bonds
Currency Issue
volume
Date
of placement
Maturity
date
Coupon rate,
% per annum
Periodicity
of coupon payment
ISIN
USD 400 000 000 07/17/2013 07/17/2020 6,50 Semiannual XS0954024617
USD 1 000 000 000 10/25/2012 9,835 Semiannual XS0848137708
RUR 13 500 000 000 06/29/2012 06/29/2024 8,75 Annual XS0800582255
Redeemed
Redeemed
Currency Issue
volume
Date
of placement
Maturity
date
Coupon rate,
% per annum
Periodicity
of coupon payment
ISIN
USD 1 000 000 000 05/17/2012 05/17/2017 5,625 Semiannual XS0783291221
CNY 1 000 000 000 01/30/2014 01/30/2017 4,25 Semiannual XS1026025103
CHF 200 000 000* 12/09/2013 12/09/2016 2,375 Annual CH0222948710
EUR 1 000 000 000 10/30/2013 10/30/2018 3,984 Annual XS0987109658
RUB 20 000 000 000 11/24/2011 11/24/2016 7,4 Semiannual XS0707394531
CHF 420 000 000 12/09/2011 12/09/2013 4,375 Annual CH0142821377
RUB 20 000 000 000 01/24/2013 07/25/2016 7,875 Semiannual XS0877983642
USD 120 000 000 05/08/2009 05/08/2016 7,35 Annual XS0426517701
CNY 500 000 000 02/19/2013 02/24/2016 4,0 Semiannual XS0888100319
RUB 15 000 000 000 09/25/2012 12/15/2015 8,617 Semiannual XS0833264335
USD 1 000 000 000 09/22/2005 09/23/2015 6,50 Semiannual XS0230577941
CHF 500 000 000 07/30/2012 08/05/2015 3,375 Annual CH0188931916
USD 1 000 000 000 08/05/2010 12/15/2014 6,25 Semiannual XS0531270964
USD 500 000 000 06/30/2008 06/28/2013 7,933 Semiannual XS0372523281
CHF 500 000 000 08/13/2008 08/13/2010 6,53 Annual CH0044116355
USD 700 000 000 04/03/2007 04/04/2010 3M LIBOR + 0,90 Quarterly XS0294275853
RUB 10 000 000 000 02/21/2007 02/22/2010 7,25 Semiannual XS0286332464
USD 1 050 000 000 10/30/2003 10/30/2008 7,25 Semiannual XS0179102560
EUR 150 000 000 10/04/2002 10/04/2005 9,75 Annual XS0155356016
EUR 200 000 000 12/21/2001 12/22/2003 9,75 Annual XS0140415240
Redeemed (Subordinated bonds)
Redeemed (Subordinated bonds)
Currency Issue
volume
Date
of placement
Maturity
date
Coupon rate,
% per annum
Periodicity
of coupon payment
ISIN
CHF 350 000 000 02/13/2014 05/13/2024 5,125 Annual CH0229318099
USD 750 000 000 09/30/2013 12/28/2023 7,496 Semiannual XS0975320879
USD 62 600 000 08/21/2013 11/21/2018 5,75 Semiannual XS0964797194
USD 500 000 000 05/03/2012 05/03/2019 7,25 Semiannual XS0779213460