Company: KYIV
Filing Date: 2025-04-18
Form Type: DRS
Source: 0001213900-25-033341
Chunk: 542

Company: Kyivstar Group Ltd.
Filing Date: 2025-04-18
Form: DRS
Chunk 542
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idiaries, from time to time. “ Ukrainian Group Companies Equity Interests ” shall mean the Equity Interests of the Ukrainian Group Companies excluding the Kyivstar Minority Shares and the Helsi Minority Shares. Annex A-17 “ Unit Separation ” shall have the meaning set forth in Section 3.2(a) . “ VEON D&O Indemnified Party ” shall have the meaning set forth in Section 7.13(a)(i) . “ VEON Disclosure Schedule ” has the meaning set forth in the lead-in to Article IV . “ VEON Fundamental Representations ” shall mean the representations and warranties set forth in Sections 4.1 , 4.2 , 4.3 , 4.4 , 4.5(b) , 4.7 and 4.21 . “ VEON Group ” shall mean VEON Ltd. and its Affiliates from time to time, excluding the Company Parties and the Group Companies. “ VEON Intermediate Holdings ” shall mean VEON Intermediate Holdings B.V., a private company with limited liability ( besloten vennootschap met beperkte aansprakelijkheid ) incorporated under Dutch law and registered with the Dutch Chamber of Commerce ( Kamer van Koophandel ) under number 95883479. “ VEON Ltd. ” shall mean VEON Ltd., an exempted company with limited liability, incorporated and existing under the laws of Bermuda with registration number 43271, with its registered office at Victoria Place, 31 Victoria Street, Hamilton, HM10, Bermuda, and its principal business address at Index Tower (East Tower), Unit 1703, DIFC (Dubai International Financial Center), United Arab Emirates. “ VEON MidCo ” shall mean VEON MidCo B.V., a private company with limited liability ( besloten vennootschap met beperkte aansprakelijkheid ) incorporated under Dutch law and registered with the Dutch Chamber of Commerce ( Kamer van Koophandel ) under number 95883657. “ VEON Pre-Closing Steps ” shall mean (a) the Demerger; (b) the Old Bonds Repayment; (c) the New Bonds Repayment; (d) the 2027 Bonds Transfer; (e) completion of the exchange of any relevant Old Bonds for Exchange New Bonds to the extent the corresponding series of New Bonds remains outstanding when such exchange is requested by a relevant Old Bonds Holder, all in accordance with the terms and