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6 December 2025, 18:51
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Market and Company News
05.12.2025 09:00 #Trading information

Subscription for bonds KZ2P00016264 (GLLKb1) of Garanti Leasing is held on KASE today

/KASE, December 5, 2025/ – As announced earlier, an initial offering of bonds KZ2P00016264 (KASE alternative market, category "commercial bonds", GLLKb1) of Garanti Leasing LLP is conducted in the trading system of Kazakhstan Stock Exchange (KASE) today by way of subscription to them on the terms and conditions below (Astana time).

Alatau City Invest JSC (the Seller) acts as the seller during the subscription to these bonds.

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Type of securities:              coupon bonds                                           
ISIN:                            KZ2P00016264                                           
KASE trade code:                 GLLKb1                                                 
Face value, tenge:               1,000.0                                                
Issue volume, tenge:                                                                    
– registered:                    500,000,000                                            
– placed (at par):               –                                                      
Circulation start date:          date of the first successful                           
                                 trading on bond offering                               
Last  circulation day:           will be determined later                               
Repayment start date:            will be determined later                               
Maturity:                        360 days                                               
Coupon rate:                     will be determined later                               
                                 following the first successful
trading on bond offering
Coupon payment periodicity:      monthly                                                
Coupon payment start dates:      will be determined later                               
Time base:                       30 / 360                                               
-------------------------------- -------------------------------------------------------
Subscription date:               05.12.25                                               
Nominal placement volume, tenge: 300,000,000                                            
Type of purchase order:          limit                                                  
Order collection time:           10:00–15:00                                            
Price per bond, tenge            1,000                                                  
Date and time of transactions:   05.12.25, 16:00                                        
Date and time of settlements:    05.12.25, 16:00                                        
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According to the terms of this subscription, the list of additional information about the investor disclosed to the Seller of the specified bonds includes:

1)the last name, first name, and patronymic (if any) of an individual or the name of a legal entity;

2) the individual's IIN or the legal entity's BIN.

Orders for participation in the subscription are submitted only through KASE members of the "stock" category. The full list of KASE members by category is available at see more

Settlements are carried out by Central Securities Depository JSC.

The Rules for subscription to securities are available at see more

More detailed information about the issue of these bonds is available at see more

[2025-12-05]