Tsesnabank bonds KZP01Y10F951 (KZ2C00004430, TSBNb33), KZP02Y15F958 (KZ2C00004448, TSBNb34), KZP03Y05F957, KZ2C00004455, TSBNb35) and KZP04Y05F955 (KZ2C00004463, TSBNb36) underwent KASE listing procedure in category "bonds" of main market
12.10.18 16:52
/KASE, October 12, 2018/ – By a decision of Kazakhstan Stock Exchange (KASE)
Listing Commission of October 12, 2018, the following bonds of Tsesnabank (Astana)
were included in KASE official list's main market's "bonds" category:
- KZP01Y10F951 (KZ2C00004430; KZT1,000, KZT150.0 bn; 10 years, annual coupon
4.00 % APR, 30/360);
- KZP02Y15F958 (KZ2C00004448; KZT1,000, KZT200.0 bn; 15 years, annual coupon
4.00 % APR, 30/360);
- KZP03Y05F957 (KZ2C00004455; KZT1,000, KZT50.0 bn; 5 years, annual coupon
13.00 % APR, 30/360);
- KZP04Y05F955 (KZ2C000044631; KZT1,000, KZT100.0 bn; 5 years, annual coupon
4.00 % APR, 30/360).
The effective date of the Listing Commission's decision will be announced later
after the issuer fulfills terms set in item 1 of chapter 5 of appendix 2.2 to
KASE internal document "Listing Rules".
Opening of trading in these bonds on KASE will also be announced additionally.
Said bond issues are the first-fourth ones under the fifth bond program of
Tsesnabank registered by the National Bank of the Republic of Kazakhstan on
October 2, 2018 to the total amount of KZT500.0 bn.
Said bonds were assigned abbreviations (trade codes) TSBNb33, TSBNb34, TSBNb35
and TSBNb36, respectively.
More details of said bonds issues will be released on KASE website after said
decision of the Listing Commission becomes effective.
[2018-10-12]