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20 January 2026, 13:40
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Market and Company News
19.01.2026 17:42 #Trading information

Garanti Leasing on January 19 raised KZT 183.6 mln on KASE via subscription by placing bonds KZ2P00016264 (GLLKb1) at yield to maturity of 24.00 % APR

/KASE, January 19, 2026/ – An initial offering of bonds KZ2P00016264 (KASE alternative market, "commercial bonds" category, GLLKb1; KZT 1,000, KZT 500.0 mln; 18.12.25 – 18.12.26; monthly coupon, 24.00 % APR; 30/360) of Garanti Leasing LLP was held in the trading system of Kazakhstan Stock Exchange (KASE) today, by way of subscription to them. Below are parameters of the bid and results of the special trading session.

BID PARAMETERS:

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Number of participants:                                 1                    
Number of participants' accounts:                       26                   
Number of orders submitted (all / active ones):         29 / 24              
Volume of active orders*, mln tenge:                    184.9                
Bid to ask:                                             58.2 %               
Weighted average "clean" price on orders                99.9799 / 99.9989    
submitted, % of face value (on all / active ones):                           
Yield on orders submitted, % APR (on all / active       24.0004 / 24.0007    
ones):                                                                       
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*active orders – orders not annulled by trade participants at expiry of order
 submission period including those confirmed by Confirmation System           
 participants.
                                                               
The total volume of active orders came from individuals                      
                                                                            
OFFERING RESULTS:                                                            
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Volume of orders executed, bonds:                       183,500              
Volume of orders executed, KZT:                         183,621,232.3        
Number of orders executed:                              4                    
Number of participants whose orders were executed:      1                    
Number of participants' accounts:                       4                    
Volume of orders executed, % of plan:                   57.8                 
"Clean" price in orders executed, % of face value:      99.9994              
Yield of bonds to maturity for buyer, % APR:            24.0000              
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According to the Central Securities Depository JSC (Almaty), the deals based on the results of the subscription for the specified bonds, by the time of publication of this information were settled, the subscription was completed.

OFFERING TERMS:

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Subscription date:             19.01.26       
Current maturity:              329 days       
Nominal offering volume, KZT:  317,653,000    
Type of purchase order:        limit          
Order collection time:         10:00–15:00    
Price per bond, KZT:           1,000          
Date and time of transactions: 19.01.26, 15:30
Date and time of settlements:  19.01.26, 15:30
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[2026-01-19]