Tsesnabank on September 26 placed 3.0 bn bonds KZP15Y07E083 (KZ2C00002590; TSBNb23) on KASE at 10.0093 % p.a.
26.09.14 21:01
/KASE, September 26, 14/ – A special trading session to offer bonds KZP15Y07E083
(KZ2C00002590, KASE official list, Rated Debt Securities category, TSBNb23;
KZT1, KZT5.0 bn; April 10, 2014 – April 10, 2021; fixed semi-annual coupon
8.00 % APR; 30/360) of Tsesnabank JSC (Astana) was held in KASE trading system
today.
ISSUE PARAMETERS:
--------------------------------------------------------------------------
Security type: coupon bonds
National identification number: KZP15Y07E083
ISIN: KZ2C00002590
KASE trade code: TSBNb23
Nominal value, tenge: 1
First circulation date: April 10, 2014
Last circulation date: April 9, 2021
Repayment start date: April 10, 2021
Circulation term: 7 years (2,520 days)
Coupon rate: 8.00 % p.a.
Coupon payment periodicity: twice a year
Coupon payment start date: April 10 and October 10
Time base: 30 / 360
-------------------------------------------- -----------------------------
PLACEMENT TERMS:
-------------------------------------------- -----------------------------
Trade date: September 26, 2014
Term to maturity: 6.5 years (2,354 days)
Declared offering volume, KZT mln: 5,000.0
Trade subject: "net" price
Types of purchase orders: limited
Market order acceptance ratio, %: 0
Order submission method: open
Order receipt time: 11:30–15:00
Order confirmation time: 11:30–15:00
Striking time: 16:00
Payment date: September 26, 2014
Payment time: before 16:00 (Т+0)
Order acceptance method: at prices of counter orders
equal to the cut-off price or
those being more
favorable for buyer
Trade initiator: Tsesna Capital
JSC (Astana
Trading system sector: Debts_List_ST1
Trading system group: Rated_ST1
-------------------------------------------- -----------------------------
BID PARAMETERS:
-------------------------------------------- -----------------------------
Number of participants: 2
Number of orders submitted (total / active): 3 / 3
including:
– limited: 3
– market: 0
Volume of active orders*, mln tenge: 2,843.7
including:
– limited: 2,843.7
– market: 0
Bid to ask, %: 60.37
"Net" price on orders submitted, % (on all / on active):
– minimum 90.5182
– maximum 90.5183
– weighted average 90.5182
Yield on orders submitted, % APR (on all / on active):
– minimum 10.0092
– maximum 10.0093
– weighted average 10.0093
-------------------------------------------- -----------------------------
* active orders – orders not annulled by trade participants at
expiry of order submission period including those
confirmed by Confirmation System participants.
PLACEMENT RESULTS:
-------------------------------------------- -----------------------------
Volume of accepted orders, bonds: 3,018,520,000
Volume of accepted orders, tenge: 2,843,659,838.04
Number of orders accepted: 3
Volume of accepted orders, % of plan: 60.37
"Net" price in orders accepted, %: 90.5182
Yield to maturity of bonds for buyer, % APR: 10.0093
--------------------------------------------------------------------------
According to Central Securities Depository (Almaty), all deals on this placement
by the end of settlements by trade results were executed.
[2014-09-26]