/CORRECT/ European Bank for Reconstruction and Development raised
KZT33.0 bn on KASE via subscription, by placing two-year international
bonds XS3004202225 (EBRDe27) with a margin of 0.00 %
24.02.25 14:51
/KASE, February 24, 2025, bid parameters have been changed/ – As announced
earlier, an initial offering of international bonds XS3004202225 (sector "securities
of international financial organizations", EBRDe27; KZT33.0 bn; 24.02.25 –
24.02.27; floating quarterly coupon – compound interest rate TONIA + fixed
margin; actual/365) of the European Bank for Reconstruction and Development
was conducted in the trading system of Kazakhstan Stock Exchange (KASE, or
the Exchange) on February 20, 2025 by way of subscription. Below are the bid
parameters and subscription results.
Tengri Partners Investment Banking (Kazakhstan) JSC (Almaty) acted as the
seller during the subscription to these bonds.
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BID PARAMETERS:
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Number of participants: 7
Number of orders submitted (all / active ones), 13 / 9
incl.:
– limit: 13 / 9
– market: 0 / 0
Volume of active orders*, mln tenge, 52,000.0
incl.:
– limit: 52,000.0
– market: 0.0
Bid to ask: 167.7 %
Rate of margin on orders submitted, % (on all / active ones):
– minimum 0.0000
– maximum 2.0000
– weighted average 0.1714 / 0.1971
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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.
Of the total volume of active applications, banks accounted for 42.3 %, broker-dealer
organizations – for 2.9 %, other institutional investors – for 35.6 %, and other legal
entities – for 19. 2%.
OFFERING RESULTS:
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Volume of orders executed, bonds: 33,000,000,000
Volume of orders executed, KZT: 33,000,000,000.0
Number of orders executed: 6
Number of participants, whose orders 6
were executed:
Volume of orders executed, % of plan: 106.5
Rate of margin in executed orders, %: 0.0000
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In terms of the main categories of investors, 12.1 % of the total volume was
purchased by banks, 1.5 % – by broker-dealer organizations, 56.1 % – by other
institutional investors, and 30.3 % – by other legal entities.
According to the Central Securities Depository (Almaty), deals based on the
results of subscription to said bonds have been settled by the time of
publication of this information, the subscription has been completed.
OFFERING TERMS:
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Subscription date: 20.02.25
Nominal offering volume, tenge: 31,000,000,000
Type of purchase orders: limit and market
Order collection time: 09:30–12:00
Date and time of transactions: 20.02.25, 15:00
Date and time of settlement: 24.02.25, 09:30
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[2025-02-24]