KZ
RU
EN
11 July 2026, 03:11
KZ
RU
EN
Login
Information/
Market and Company News
02.07.2026 17:51 #Trading information

Housing Construction Savings Bank Otbasy Bank JSC raised on KASE 100.0 bln KZT on July 2 by placing five-year bonds KZ2C00018059 (JSBNb13) at 17.45% per annum

/KASE, July 2, 2026/ – Today, the KASE's trading system hosted the placement of bonds KZ2C00018059 (KASE's main board, bonds category, JSBNb13; 1,000 KZT; 100.0 bln KZT; 02.07.26 – 02.07.31; 30/360) of Housing Construction Savings Bank Otbasy Bank JSC by subscription to them. Below are the demand parameters and subscription results.

The seller for subscription to the specified bonds was Housing Construction Savings Bank Otbasy Bank JSC.

DEMAND PARAMETERS:

----------------------------------------------------- -----------------
Number of participants:                               1                
Number of orders submitted (total / active),          2 / 1            
Volume of active orders*, mln KZT:                    100,000.0        
Demand vs. offering:                                  100.0%           
Coupon rate on submitted orders, % per annum          17.4500          
(for all / active):                                                    
-----------------------------------------------------------------------
* active orders – orders that have not been cancelled by the trading   
  participants at the time of the order submission period expiration,  
  including those confirmed by participants of the Confirmation System.

PLACEMENT RESULTS:

-------------------------------------------------- -----------------
Volume of executed orders, bonds:                  100,000,000      
Volume of executed orders, KZT:                    100,000,000,000.0
Number of executed orders:                         1                
Number of participants which orders were executed: 1                
Volume of executed orders, % of plan:              100.0            
Coupon rate in executed orders, % per annum:       17.4500          
--------------------------------------------------------------------

According to data from Central Securities Depository JSC, the transaction after subscription to the specified bonds was settled by the time of publication of this information, and the subscription was completed.

PLACEMENT CONDITIONS:

------------------------------ ---------------
Subscription date:             02.07.26       
Nominal placement volume, KZT: 100,000,000,000
Type of purchase orders:       limit          
Order acceptance time:         14:30-15:00    
Date and time of transactions: 02.07.26, 16:00
Date and time of settlement:   02.07.26, 16:00
----------------------------------------------

[2026-07-02]