Bank Bank RBK raised KZT731.9 mln on KASE via subscription by placing bonds KZ2C00008845 (INBNb11) with weighted average yield to maturity of 18.25 % APR
27.02.23 18:25
/KASE, February 27, 2023/ – On February 27, 2023, initial offering of bonds
KZ2C00008845 (KASE main market, category "bonds", INBNb11; KZT1,000, KZT20.0 bn;
17.10.22 – 17.10.32; half-year coupon, 17.50 % APR; 30/360) of Bank Bank RBK JSC
(Almaty) through subscription to them was carried out in KASE's trading system.
Centras Securities JSC (Almaty) acted as the seller during the subscription to
said bonds.
Bonds with a nominal volume of KZT1.0 bn were offered for placement. During the
subscription, only limit orders were accepted.
Orders for the subscription were collected on February 27, 2023 from 11:30 to
13:00 o'clock, Astana time.
Two members of KASE took part in the trades. A total of two limit orders were
submitted to the trading system in the amount of KZT731.9 mln (nominal volume of
KZT711.8 mln), which were recognized as active at the end of the order
collection. The clean price in the submitted active orders was 90.3787 % and
103.4567 % of the face value (16.75 % per annum and 19.75 % per annum,
respectively), the weighted average clean price was 96.5035 % of the face value
(18.25 % per annum). Demand made up 71.2 % of supply.
The entire volume of active orders fell on the share of institutional investors.
As a result of the offering, both active orders were executed in full. A total
of 711,823 bonds were placed for a total of KZT731,917,499.8. The weighted
average clean price was 96.5035 % of the face value (18.25 % per annum).
According to the data of Central Securities Depository JSC (Almaty) deals on the
results of subscription for the indicated bonds by the moment of publication of
this information are settled, the subscription is completed.
[2023-02-27]