Subscription to international bonds XS2555207096 of European Bank for Reconstruction and Development on KASE will be held on November 15

14.11.22 15:20
/KASE, November 14, 2022/ – Kazakhstan Stock Exchange (KASE, or the Exchange) announces that an initial offering of international bonds XS2555207096 of European Bank for Reconstruction and Development will be conducted in KASE's trading system on November 15, 2022 by way of subscription to them. Tengri Partners Investment Banking (Kazakhstan) (Almaty) (hereinafter – the Seller) will act as the seller during the subscription to the said bonds. The nominal amount of bonds being offered – KZT15,000,000,000. The total nominal volume of the bonds planned to be offered is preliminary and is subject to change upon notification of the initiator of the said subscription. According to the information provided by the Seller: the maturity of the bonds is two years, the circulation start date is November 17, 2022, the circulation end date is November 17, 2024, the coupon payment frequency is once a year, the time base is actual/365. As the price an order must indicate the value of the coupon rate, expressed in annual percentage with accuracy of up to two decimal places. The number of financial instruments in an order must be represented by the nominal volume in tenge. The lot is equal to one bond. The minimum order volume is KZT1,000. Orders for the subscription will be collected on November 15, 2022 from 09:30 to 11:30 o'clock, Astana time. Limit and market orders will be accepted during the subscription. The date of provision to the Seller of the register of orders accepted by the Exchange is November 15, 2022; the date of provision of the register of executed orders by the Seller to the Exchange is November 15, 2022; the settlement date and time is November 17, 2022, 9:30 o'clock, Astana time. The Central Securities Depository JSC will carry out settlements. Orders for participation in the subscription are submitted to the Exchange only through KASE stock market members. The full list of KASE members by category is available on http://kase.kz/en/membership According to this subscription's terms the additional information on the investor disclosed to the Seller of the said bonds must include the surname, first name, patronymic (if available) of the individual or the name of the legal entity. The Rules of Subscription to Securities are available on KASE website – http://kase.kz/files/normative_base/rules_ipo_eng.pdf [2022-11-14]